﷼37.80
+ ﷼0.50 (1.34%)
End-of-day quote: 05/06/2024
SASE:7010

Saudi Telecom Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007
Rev. Revenue
﷼72.34B ﷼67.43B ﷼63.42B ﷼58.95B ﷼54.37B ﷼51.96B ﷼50.66B ﷼52.67B ﷼50.65B ﷼45.83B ﷼45.60B ﷼44.75B ﷼55.66B ﷼51.79B ﷼50.78B ﷼47.47B ﷼34.46B
GM % Gross Margin %
50.46% 52.81% 53.29% 57.60% 57.37% 56.51% 54.29% 53.99% 58.56% 59.69% 58.69% 55.27% 55.29% 57.60% 59.87% 57.94% 55.60%
OM Operating Margin
18.65% 20.78% 20.74% 21.60% 22.96% 23.57% 21.69% 18.89% 23.41% 26.25% 26.52% 22.21% 20.07% 21.20% 25.23% 32.31% 36.62%
EPS Earnings Per Share
﷼0.00 ﷼2.66 ﷼2.43 ﷼2.26 ﷼2.22 ﷼2.15 ﷼2.16 ﷼2.04 ﷼1.71 ﷼1.94 ﷼2.20 ﷼2.21 ﷼1.68 ﷼1.54 ﷼1.89 ﷼2.16 ﷼2.21 ﷼2.40
Div. Dividends
﷼1.60 ﷼1.60 ﷼1.60 ﷼1.60 ﷼1.60 ﷼1.60 ﷼1.60 ﷼1.60 ﷼1.60 ﷼1.40 ﷼0.90 ﷼0.80 ﷼0.80 ﷼1.20 ﷼1.20 ﷼1.50 ﷼2.00
PR % Payout Ratio %
60.15% 65.84% 70.80% 72.07% 74.42% 74.07% 78.43% 93.57% 82.47% 63.64% 40.72% 47.62% 51.95% 63.49% 55.56% 67.87% 83.33%
Sha. Shares
4984.51m 4982.18m 1997.15m 1997.02m 2,000m 2,000m 2,000m 2,000m 2,000m 2,000m 2,000m 2,000m 2,000m 2,000m 2,000m 2,000m 2,000m
OCF Operating Cash Flow
﷼22.42B ﷼26.35B ﷼11.22B ﷼28.32B ﷼9.92B ﷼19.13B ﷼15.92B ﷼18.38B ﷼20.72B ﷼18.78B ﷼19.67B ﷼15.72B ﷼16.49B ﷼21.18B ﷼15.96B ﷼21.15B ﷼18.54B
FCF Free Cash Flow
﷼8.38B ﷼18.65B ﷼3.01B ﷼17.50B ﷼-1448.10M ﷼9.38B ﷼8.01B ﷼8.96B ﷼11.47B ﷼12.68B ﷼12.17B ﷼3.32B ﷼8.94B ﷼9.83B ﷼318.91M ﷼4.87B ﷼10.21B
FCFS Free Cash Flow Per Share
﷼2.58 ﷼3.74 ﷼1.51 ﷼8.75 ﷼-0.72 ﷼4.69 ﷼3.99 ﷼4.18 ﷼5.18 ﷼6.03 ﷼6.03 ﷼4.55 ﷼3.66 ﷼3.00 ﷼1.05 ﷼-7.18 ﷼-1.32