Kč902.50
Kč0.00 (0.00%)
End-of-day quote: 05/11/2024
SEP:CEZ

CEZ, a. s. Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
Kč336.78B Kč285.53B Kč225.01B Kč209.65B Kč201.91B Kč181.49B Kč199.11B Kč202.10B Kč206.82B Kč195.58B Kč215.41B Kč210.51B Kč203.92B Kč193.46B Kč189.46B Kč179.86B Kč171.87B Kč149.44B Kč125.08B Kč102.67B
GM % Gross Margin %
47.72% 44.82% 45.34% 44.25% 42.84% 43.73% 37.53% 45.39% 45.54% 50.00% 51.76% 53.40% 54.15% 57.82% 60.26% 62.18% 56.85% 56.43% 56.24% 55.86%
OM Operating Margin
26.47% 34.42% 14.05% 17.41% 15.43% 11.79% 12.36% 14.73% 17.65% 20.60% 25.11% 27.66% 28.87% 32.35% 35.76% 36.01% 30.25% 24.63% 22.60% 18.64%
EPS Earnings Per Share
Kč0.00 Kč64.83 Kč146.05 Kč39.17 Kč42.58 Kč34.56 Kč21.87 Kč38.37 Kč31.10 Kč49.75 Kč53.71 Kč79.64 Kč78.82 Kč76.74 Kč89.13 Kč96.60 Kč86.60 Kč70.20 Kč46.80 Kč33.61 Kč22.10
Div. Dividends
Kč76.48 Kč79.61 Kč44.00 Kč52.00 Kč24.00 Kč33.00 Kč33.00 Kč40.00 Kč40.00 Kč40.00 Kč40.00 Kč45.00 Kč50.00 Kč53.00 Kč50.00 Kč50.00 Kč40.00 Kč20.00 Kč15.00 Kč8.00
PR % Payout Ratio %
117.97% 54.51% 112.33% 122.12% 69.44% 150.89% 86.00% 128.62% 80.40% 74.47% 50.23% 57.09% 65.16% 59.46% 51.76% 57.74% 56.98% 42.74% 44.63% 36.20%
Sha. Shares
536.81m 536.81m 536.73m 535.47m 535.44m 534.86m 534.38m 534.23m 534.23m 534.11m 534.12m 534.12m 534.11m 533.91m 533.44m 533.04m 541.84m 588.76m 589.77m 592.2m
OCF Operating Cash Flow
Kč137.57B Kč5.09B Kč59.16B Kč72.16B Kč42.93B Kč35.35B Kč45.81B Kč48.95B Kč72.58B Kč70.68B Kč72.20B Kč64.61B Kč61.77B Kč77.17B Kč87.35B Kč70.58B Kč59.22B Kč62.91B Kč43.90B Kč36.64B
FCF Free Cash Flow
Kč102.04B Kč42.17B Kč27.40B Kč41.07B Kč15.68B Kč12.45B Kč29.04B Kč13.40B Kč40.67B Kč35.12B Kč26.48B Kč11.09B Kč8.53B Kč15.50B Kč16.56B Kč24.40B Kč25.15B Kč39.16B Kč28.22B Kč19.72B
FCFS Free Cash Flow Per Share
Kč172.83 Kč-53.76 Kč50.22 Kč75.82 Kč24.53 Kč17.45 Kč28.31 Kč25.08 Kč76.13 Kč65.30 Kč49.76 Kč20.77 Kč15.98 Kč26.50 Kč31.06 Kč45.64 Kč44.13 Kč66.45 Kč47.80 Kč33.30