฿33.75
฿0.00 (0.00%)
End-of-day quote: 05/10/2024
SET:PTT

PTT Public Company 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
฿3.14T ฿3.37T ฿2.26T ฿1.62T ฿2.22T ฿2.34T ฿2.00T ฿1.72T ฿2.03T ฿2.61T ฿2.84T ฿2.79T ฿2.43T ฿1.90T ฿1.59T ฿2.00T ฿1.51T ฿1.21T ฿926.27B ฿644.67B
GM % Gross Margin %
11.49% 12.86% 15.88% 9.63% 10.56% 12.70% 14.70% 14.00% 10.27% 8.04% 6.93% 7.38% 8.14% 8.18% 8.34% 7.68% 9.53% 11.65% 12.43% 12.23%
OM Operating Margin
7.35% 6.88% 10.31% 4.67% 6.93% 9.59% 10.26% 9.73% 7.44% 6.04% 5.35% 5.89% 6.53% 6.53% 6.30% 6.32% 7.78% 9.89% 10.84% 10.00%
EPS Earnings Per Share
฿0.00 ฿3.53 ฿3.20 ฿3.95 ฿1.12 ฿2.72 ฿4.08 ฿5.01 ฿3.33 ฿2.13 ฿2.71 ฿3.31 ฿3.66 ฿3.69 ฿2.92 ฿1.94 ฿1.90 ฿3.56 ฿3.05 ฿2.86 ฿2.16
Div. Dividends
฿1.88 ฿2.00 ฿2.00 ฿1.00 ฿2.00 ฿2.00 ฿2.00 ฿1.00 ฿1.00 ฿1.10 ฿1.30 ฿1.30 ฿1.30 ฿1.03 ฿0.85 ฿1.15 ฿1.05 ฿1.43 ฿0.93 ฿0.68
PR % Payout Ratio %
53.26% 62.50% 50.63% 89.29% 73.53% 49.02% 39.92% 30.03% 46.95% 40.59% 39.27% 35.52% 35.23% 35.27% 43.81% 60.53% 29.49% 46.89% 32.52% 31.48%
Sha. Shares
28,563m 28,563m 28,563m 28,563m 28,563m 28,563m 28,563m 28,563m 28,563m 28,563m 28,563m 28,563m 28,563m 28490.42m 28337.85m 28240.57m 28173.88m 28049.26m 27972.46m 27972.46m
OCF Operating Cash Flow
฿382.05B ฿191.70B ฿322.42B ฿218.59B ฿265.11B ฿269.41B ฿306.10B ฿270.44B ฿293.34B ฿309.44B ฿165.51B ฿175.00B ฿177.29B ฿155.90B ฿95.68B ฿125.48B ฿121.25B ฿104.47B ฿89.85B ฿57.84B
FCF Free Cash Flow
฿133.57B ฿26.49B ฿182.55B ฿75.25B ฿120.77B ฿160.66B ฿195.74B ฿164.81B ฿136.92B ฿119.66B ฿52.21B ฿147.89B ฿69.44B ฿45.18B ฿-31908.49M ฿39.88B ฿30.05B ฿16.34B ฿3.84B ฿18.17B
FCFS Free Cash Flow Per Share
฿7.17 ฿0.67 ฿6.30 ฿2.41 ฿4.00 ฿5.47 ฿6.65 ฿5.64 ฿4.56 ฿4.29 ฿1.78 ฿2.03 ฿2.27 ฿1.71 ฿-1.32 ฿1.36 ฿1.04 ฿0.55 ฿0.11 ฿0.63