﷼8.84
﷼0.00 (0.00%)
End-of-day quote: 05/17/2024
SASE:2350

Saudi Kayan Petrochemical Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008
Rev. Revenue
﷼8.17B ﷼11.16B ﷼12.66B ﷼8.01B ﷼9.54B ﷼12.26B ﷼9.98B ﷼8.61B ﷼7.98B ﷼11.64B ﷼10.35B ﷼9.48B ﷼2.40B ﷼0.00M ﷼0.00M ﷼0.00M
GM % Gross Margin %
-9.29% -0.87% 28.11% 5.22% 11.11% 27.44% 22.32% 20.52% -2.62% 8.38% 6.04% 1.60% 1.35% 0.00% 0.00% 0.00%
OM Operating Margin
-17.14% -7.67% 22.15% -2.67% 3.76% 21.54% 16.15% 12.30% -7.44% 4.49% 2.49% -1.89% -2.79% 0.00% 0.00% 0.00%
EPS Earnings Per Share
﷼0.00 ﷼-1.42 ﷼-0.83 ﷼1.60 ﷼-0.52 ﷼-0.42 ﷼1.13 ﷼0.45 ﷼0.09 ﷼-0.83 ﷼-0.03 ﷼-0.23 ﷼-0.52 ﷼-0.16 ﷼-0.01 ﷼-0.01 ﷼0.33
Div. Dividends
﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00 ﷼0.00
PR % Payout Ratio %
-0.00% -0.00% 0.00% -0.00% -0.00% 0.00% 0.00% 0.00% -0.00% -0.00% -0.00% -0.00% -0.00% -0.00% 0 0
Sha. Shares
1,500m 1,500m 1,500m 1,500m 1,500m 1,500m 1,500m 1,500m 1,500m 1,500m 1,500m 1,500m 1,500m 1,500m 1,500m 1,500m
OCF Operating Cash Flow
﷼884.52M ﷼3.18B ﷼4.03B ﷼1.74B ﷼2.20B ﷼3.43B ﷼3.61B ﷼1.86B ﷼2.82B ﷼2.16B ﷼1.40B ﷼1.15B ﷼-862.04M ﷼-2758.01M ﷼-945.51M ﷼364.50M
FCF Free Cash Flow
﷼729.50M ﷼2.83B ﷼3.39B ﷼1.40B ﷼1.89B ﷼4.20B ﷼2.62B ﷼1.87B ﷼2.29B ﷼1.63B ﷼674.31M ﷼-71.84M ﷼-3916.29M ﷼-8467.57M ﷼-14355.28M ﷼-10904.44M
FCFS Free Cash Flow Per Share
﷼0.06 ﷼1.88 ﷼2.40 ﷼0.92 ﷼1.26 ﷼2.11 ﷼1.74 ﷼0.64 ﷼1.46 ﷼1.09 ﷼0.20 ﷼-0.05 ﷼-2.61 ﷼-5.65 ﷼-9.57 ﷼-7.28