$5.61
$0.00 (0.00%)
End-of-day quote: 06/01/2024
SGX:C09

City Developments 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
$4.94B $3.29B $2.63B $2.11B $3.43B $4.22B $3.83B $3.91B $3.30B $3.76B $3.21B $3.35B $3.28B $3.10B $3.27B $2.95B $3.11B $2.55B $2.37B $2.38B
GM % Gross Margin %
33.36% 37.86% 37.23% 39.32% 47.79% 45.33% 43.98% 45.16% 49.83% 43.37% 51.69% 49.53% 55.32% 53.25% 49.96% 56.83% 52.41% 55.22% 52.89% 50.04%
OM Operating Margin
16.57% 6.67% 6.12% -14.50% 15.95% 22.73% 20.26% 20.58% 21.86% 18.39% 24.96% 23.46% 28.36% 24.90% 24.76% 24.76% 21.67% 20.10% 19.72% 17.23%
EPS Earnings Per Share
$0.00 $0.20 $1.48 $0.11 $-0.04 $0.64 $0.58 $0.56 $0.69 $0.81 $0.49 $0.72 $0.71 $0.84 $0.79 $0.62 $0.60 $0.67 $0.36 $0.21 $0.23
Div. Dividends
$0.17 $0.28 $0.12 $0.12 $0.20 $0.20 $0.18 $0.16 $0.16 $0.16 $0.16 $0.13 $0.18 $0.08 $0.08 $0.08 $0.30 $0.25 $0.08 $0.08
PR % Payout Ratio %
85.00% 18.92% 109.09% -300.00% 31.25% 34.48% 32.14% 23.19% 19.75% 32.65% 22.22% 18.31% 21.43% 10.13% 12.90% 13.33% 44.78% 69.44% 38.10% 34.78%
Sha. Shares
981.87m 906.9m 906.9m 906.9m 906.9m 906.9m 909.3m 909.3m 909.3m 909.3m 909.3m 909.3m 909.3m 909.3m 909.3m 909.3m 909.3m 909.3m 888.8m 871.99m
OCF Operating Cash Flow
$950.35M $-125.51M $1.13B $-356.15M $836.39M $-599.63M $1.09B $1.18B $77.83M $292.18M $676.73M $65.26M $982.96M $512.05M $986.02M $437.83M $260.36M $329.39M $525.05M $894.68M
FCF Free Cash Flow
$537.68M $-398.32M $991.10M $-749.62M $529.06M $-860.74M $922.11M $953.92M $-150.90M $-546.51M $381.48M $-143.50M $589.05M $383.08M $923.86M $-4.97M $-225.40M $165.33M $224.98M $782.42M
FCFS Free Cash Flow Per Share
$0.71 $-0.27 $1.09 $-0.70 $0.67 $-0.90 $1.06 $1.06 $-0.18 $-0.62 $0.46 $-0.17 $0.85 $0.45 $1.00 $-0.02 $-0.25 $0.18 $0.25 $0.90