﷼34.05
﷼0.00 (0.00%)
End-of-day quote: 05/17/2024
SASE:3080

Eastern Province Cement Annual Report

Year Year 2023 2022 2021 2020 2018 2017 2014 2013 2012 2011 2009 2008 2007
Rev. Revenue
﷼984.58M ﷼784.20M ﷼757.73M ﷼742.43M ﷼565.74M ﷼640.61M ﷼845.12M ﷼828.72M ﷼854.88M ﷼812.57M ﷼778.58M ﷼798.83M ﷼923.95M
GM % Gross Margin %
31.37% 31.59% 34.44% 34.97% 23.18% 25.80% 41.18% 42.00% 49.15% 51.42% 51.65% 58.00% 61.13%
OM Operating Margin
24.42% 23.05% 27.24% 27.75% 12.17% 15.50% 34.83% 35.94% 43.80% 46.43% 49.71% 56.90% 61.35%
EPS Earnings Per Share
﷼0.00 ﷼2.30 ﷼1.67 ﷼2.34 ﷼1.80 ﷼0.81 ﷼1.25 ﷼4.34 ﷼3.59 ﷼4.57 ﷼4.23 ﷼4.06 ﷼5.05 ﷼6.30
Div. Dividends
﷼1.60 ﷼2.00 ﷼2.50 ﷼2.50 ﷼1.00 ﷼1.00 ﷼2.50 ﷼3.50 ﷼4.00 ﷼3.50 ﷼3.00 ﷼3.00 ﷼6.00
PR % Payout Ratio %
69.57% 119.76% 106.84% 138.89% 123.46% 80.00% 57.60% 97.49% 87.53% 82.74% 73.89% 59.41% 95.24%
Sha. Shares
86m 86m 86m 86m 86m 86m 86m 86m 86m 86m 86m 86m 85.94m
OCF Operating Cash Flow
﷼158.64M ﷼129.78M ﷼209.46M ﷼349.57M ﷼134.46M ﷼136.90M ﷼369.97M ﷼402.81M ﷼480.13M ﷼396.60M ﷼460.81M ﷼373.66M ﷼593.97M
FCF Free Cash Flow
﷼112.26M ﷼165.39M ﷼261.36M ﷼303.93M ﷼109.90M ﷼108.93M ﷼215.22M ﷼253.83M ﷼399.58M ﷼315.28M ﷼251.62M ﷼280.88M ﷼514.78M
FCFS Free Cash Flow Per Share
﷼1.31 ﷼0.55 ﷼2.24 ﷼3.53 ﷼1.25 ﷼1.27 ﷼2.27 ﷼2.95 ﷼4.40 ﷼3.67 ﷼0.00 ﷼3.27 ﷼5.99