﷼78.80
﷼0.00 (0.00%)
End-of-day quote: 04/26/2024
SASE:2010

Saudi Basic Industries Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
﷼198.47B ﷼174.88B ﷼116.95B ﷼135.40B ﷼169.13B ﷼149.77B ﷼143.00B ﷼148.09B ﷼188.99B ﷼188.99B ﷼189.03B ﷼189.90B ﷼151.97B ﷼103.11B ﷼150.81B ﷼126.20B ﷼86.33B
GM % Gross Margin %
21.48% 29.42% 19.89% 23.16% 34.09% 34.21% 34.31% 29.06% 27.24% 29.26% 28.25% 32.72% 31.94% 27.76% 31.34% 37.99% 40.81%
OM Operating Margin
10.92% 17.36% 3.60% 9.50% 21.40% 20.02% 19.20% 19.79% 19.96% 22.51% 21.70% 25.72% 24.93% 19.38% 25.26% 32.52% 35.78%
EPS Earnings Per Share
﷼0.00 ﷼1.09 ﷼5.51 ﷼7.68 ﷼0.01 ﷼1.88 ﷼7.18 ﷼6.13 ﷼5.97 ﷼6.26 ﷼7.81 ﷼8.41 ﷼8.26 ﷼9.74 ﷼7.18 ﷼3.40 ﷼7.34 ﷼10.81 ﷼6.78
Div. Dividends
﷼4.25 ﷼4.00 ﷼3.00 ﷼4.40 ﷼4.20 ﷼4.20 ﷼4.00 ﷼5.50 ﷼5.50 ﷼5.00 ﷼5.00 ﷼5.00 ﷼3.50 ﷼1.50 ﷼3.00 ﷼3.33 ﷼0.00
PR % Payout Ratio %
77.13% 52.08% 30000.00% 234.04% 58.50% 68.52% 67.00% 87.86% 70.42% 59.45% 60.53% 51.33% 48.75% 44.12% 40.87% 30.80% 0
Sha. Shares
3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m 3,000m
OCF Operating Cash Flow
﷼35.81B ﷼39.23B ﷼22.15B ﷼33.83B ﷼44.77B ﷼38.68B ﷼40.03B ﷼53.78B ﷼53.89B ﷼59.95B ﷼49.99B ﷼42.14B ﷼29.26B ﷼26.83B ﷼46.23B ﷼46.66B ﷼34.73B
FCF Free Cash Flow
﷼25.59B ﷼28.74B ﷼8.46B ﷼15.74B ﷼30.53B ﷼28.05B ﷼27.00B ﷼35.50B ﷼38.51B ﷼48.35B ﷼40.52B ﷼31.05B ﷼13.52B ﷼2.84B ﷼19.63B ﷼15.80B ﷼15.98B
FCFS Free Cash Flow Per Share
﷼8.53 ﷼9.42 ﷼2.96 ﷼5.10 ﷼10.18 ﷼9.07 ﷼8.17 ﷼11.23 ﷼13.17 ﷼16.14 ﷼12.35 ﷼10.37 ﷼3.75 ﷼0.56 ﷼6.17 ﷼5.17 ﷼5.11