﷼17.72
﷼-1.06 (-5.64%)
End-of-day quote: 05/15/2024
SASE:5110

Saudi Electricity Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
﷼75.33B ﷼72.08B ﷼69.34B ﷼68.71B ﷼65.04B ﷼64.06B ﷼50.68B ﷼49.86B ﷼41.54B ﷼38.34B ﷼35.55B ﷼33.56B ﷼30.49B ﷼27.91B ﷼23.85B ﷼22.29B ﷼20.84B ﷼19.71B
GM % Gross Margin %
20.60% 27.41% 29.63% 11.78% 9.42% 9.24% 13.20% 13.74% 6.22% 39.37% 39.25% 41.76% 40.06% 38.04% 36.24% 34.66% 37.29% 37.56%
OM Operating Margin
18.24% 23.88% 27.27% 12.30% 9.65% 9.00% 7.29% 12.82% 3.83% 9.74% 5.57% 8.64% 6.33% 6.63% 3.29% 3.43% 5.35% 5.86%
EPS Earnings Per Share
﷼0.00 ﷼0.62 ﷼1.79 ﷼1.62 ﷼0.50 ﷼0.33 ﷼0.43 ﷼1.66 ﷼0.51 ﷼0.37 ﷼0.87 ﷼0.73 ﷼0.61 ﷼0.53 ﷼0.55 ﷼0.28 ﷼0.27 ﷼0.37 ﷼0.21
Div. Dividends
﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.70 ﷼0.00
PR % Payout Ratio %
112.90% 39.11% 43.21% 140.00% 212.12% 162.79% 42.17% 137.25% 189.19% 80.46% 95.89% 114.75% 132.08% 127.27% 250.00% 259.26% 189.19% 0
Sha. Shares
4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m 4166.59m
OCF Operating Cash Flow
﷼32.62B ﷼42.44B ﷼46.28B ﷼28.14B ﷼25.71B ﷼25.14B ﷼36.86B ﷼30.27B ﷼30.98B ﷼31.08B ﷼2.78B ﷼22.00B ﷼17.55B ﷼17.00B ﷼24.70B ﷼18.46B ﷼17.45B ﷼14.32B
FCF Free Cash Flow
﷼474.00M ﷼9.03B ﷼20.12B ﷼4.81B ﷼4.29B ﷼-3132.65M ﷼-9529.04M ﷼-24495.00M ﷼-25227.68M ﷼-19230.78M ﷼-38151.81M ﷼-16469.59M ﷼-11638.16M ﷼-11484.68M ﷼-6215.53M ﷼-3820.43M ﷼2.67B ﷼2.65B
FCFS Free Cash Flow Per Share
﷼0.04 ﷼3.03 ﷼4.83 ﷼1.13 ﷼1.01 ﷼-0.82 ﷼-1.53 ﷼-6.14 ﷼-6.05 ﷼-4.64 ﷼-9.17 ﷼-3.92 ﷼-2.79 ﷼-2.77 ﷼-1.47 ﷼-0.93 ﷼0.64 ﷼0.64