HK$4.16
+ HK$0.04 (0.97%)
End-of-day quote: 05/13/2024
SEHK:8

PCCW Annual Report

Year Year 2023 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
HK$36.35B HK$38.85B HK$36.83B HK$38.38B HK$39.31B HK$33.28B HK$27.32B HK$25.32B HK$24.64B HK$22.96B HK$25.08B HK$31.95B HK$23.72B HK$25.64B HK$22.50B HK$23.00B
GM % Gross Margin %
50.16% 46.87% 50.20% 53.78% 51.76% 54.47% 52.00% 53.33% 53.74% 54.13% 51.13% 44.13% 55.56% 49.40% 53.48% 54.22%
OM Operating Margin
13.66% 13.48% 15.28% 14.40% 14.83% 12.13% 12.71% 13.24% 14.76% 15.26% 14.83% 13.35% 17.01% 14.69% 17.69% 17.77%
EPS Earnings Per Share
HK$0.00 HK$-0.06 HK$0.17 HK$0.33 HK$0.31 HK$0.28 HK$0.45 HK$0.26 HK$0.23 HK$0.21 HK$0.15 HK$0.20 HK$0.21 HK$0.22 HK$0.19 HK$0.25 HK$0.30
Div. Dividends
HK$0.38 HK$0.31 HK$0.21 HK$0.28 HK$0.25 HK$0.20 HK$0.20 HK$0.19 HK$0.16 HK$0.15 HK$0.13 HK$1.37 HK$0.20 HK$0.19 HK$0.19 HK$0.15
PR % Payout Ratio %
-633.33% 182.35% 63.64% 90.32% 89.29% 44.44% 76.92% 82.61% 76.19% 100.00% 65.00% 652.38% 90.91% 100.00% 76.00% 50.00%
Sha. Shares
7728.09m 7712.8m 7707.16m 7702.12m 7606.29m 7432.06m 7253.19m 7260.58m 7269.78m 7269.78m 6769.78m 6769.78m 6776.11m 6743.67m 6723.02m 5370.57m
OCF Operating Cash Flow
HK$13.35B HK$6.55B HK$10.32B HK$9.95B HK$12.52B HK$10.55B HK$7.31B HK$6.17B HK$6.78B HK$5.92B HK$7.94B HK$6.46B HK$5.12B HK$6.52B HK$4.64B HK$5.10B
FCF Free Cash Flow
HK$11.16B HK$2.64B HK$8.45B HK$6.77B HK$9.00B HK$7.35B HK$4.76B HK$3.89B HK$4.82B HK$4.12B HK$6.34B HK$3.18B HK$2.02B HK$3.35B HK$2.15B HK$3.13B
FCFS Free Cash Flow Per Share
HK$0.69 HK$-0.11 HK$0.57 HK$0.23 HK$0.64 HK$0.52 HK$0.31 HK$0.19 HK$0.40 HK$0.40 HK$0.79 HK$0.29 HK$0.18 HK$0.46 HK$0.33 HK$0.58