HK$8.31
HK$-0.07 (-0.84%)
End-of-day quote: 05/30/2024
SEHK:341

Café de Coral Holdings Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
HK$8.02B HK$7.51B HK$6.71B HK$7.96B HK$8.49B HK$8.43B HK$7.90B HK$7.57B HK$7.36B HK$6.83B HK$6.39B HK$5.96B HK$5.33B HK$4.88B HK$4.67B HK$4.28B HK$3.89B HK$3.44B HK$3.04B
GM % Gross Margin %
8.76% 7.29% 5.59% 9.18% 14.45% 12.37% 13.39% 13.81% 13.91% 14.42% 14.20% 13.66% 15.07% 17.04% 16.19% 16.30% 16.75% 15.60% 15.48%
OM Operating Margin
2.75% 1.22% -1.05% 3.22% 9.22% 6.95% 7.96% 8.15% 8.83% 9.90% 9.06% 8.29% 9.88% 11.46% 11.00% 10.68% 10.60% 10.95% 11.56%
EPS Earnings Per Share
HK$0.00 HK$0.12 HK$0.04 HK$0.62 HK$0.12 HK$1.02 HK$0.83 HK$0.87 HK$0.86 HK$1.04 HK$1.00 HK$1.04 HK$0.83 HK$0.90 HK$0.91 HK$0.79 HK$0.73 HK$0.65 HK$0.56 HK$0.52
Div. Dividends
HK$0.38 HK$0.28 HK$0.38 HK$0.19 HK$0.84 HK$0.98 HK$0.81 HK$0.81 HK$0.78 HK$0.68 HK$0.90 HK$0.62 HK$0.62 HK$0.62 HK$0.68 HK$0.50 HK$0.42 HK$0.35 HK$0.28
PR % Payout Ratio %
316.67% 700.00% 61.29% 158.33% 82.35% 118.07% 93.10% 94.19% 75.00% 68.00% 86.54% 74.70% 68.89% 68.13% 86.08% 68.49% 64.62% 62.50% 53.85%
Sha. Shares
580.48m 579.19m 579.53m 580.02m 580.55m 580.3m 579.24m 577.77m 576.83m 577.3m 574.07m 569.56m 563.13m 558.87m 555.58m 552.58m 545.93m 540.81m 535.76m
OCF Operating Cash Flow
HK$1.70B HK$1.16B HK$1.69B HK$1.42B HK$1.89B HK$892.67M HK$875.82M HK$781.45M HK$831.35M HK$830.03M HK$694.82M HK$727.69M HK$586.84M HK$688.00M HK$652.04M HK$537.94M HK$522.84M HK$435.82M HK$453.14M
FCF Free Cash Flow
HK$1.24B HK$672.85M HK$1.41B HK$930.00M HK$1.60B HK$442.65M HK$280.82M HK$530.87M HK$438.26M HK$518.00M HK$203.46M HK$185.02M HK$276.47M HK$380.65M HK$409.58M HK$318.56M HK$334.47M HK$291.00M HK$329.43M
FCFS Free Cash Flow Per Share
HK$2.13 HK$1.16 HK$2.44 HK$1.58 HK$2.76 HK$0.76 HK$0.48 HK$0.72 HK$0.76 HK$0.91 HK$0.36 HK$0.35 HK$0.49 HK$0.68 HK$0.74 HK$0.58 HK$0.61 HK$0.54 HK$0.62