$14.03
$-0.07 (-0.50%)
End-of-day quote: 05/16/2024
SGX:V03

Venture Corporation 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
$3.03B $3.86B $3.11B $3.01B $3.63B $3.48B $4.00B $2.87B $2.66B $2.47B $2.33B $2.39B $2.43B $2.68B $3.41B $3.78B $3.87B $3.12B $3.24B $3.19B
GM % Gross Margin %
25.45% 24.33% 26.05% 26.33% 24.96% 27.37% 24.11% 24.42% 23.18% 23.19% 23.03% 22.18% 23.65% 22.85% 16.04% 20.13% 20.45% 19.88% 17.62% 16.81%
OM Operating Margin
9.79% 11.24% 11.15% 11.02% 11.13% 12.10% 10.63% 7.02% 6.38% 6.03% 5.58% 5.45% 6.17% 7.14% 4.57% 7.31% 7.16% 6.71% 5.28% 5.03%
EPS Earnings Per Share
$0.00 $0.93 $1.27 $1.07 $1.02 $1.25 $1.27 $1.27 $0.74 $0.56 $0.51 $0.48 $0.51 $0.57 $0.69 $0.58 $1.05 $1.16 $0.88 $0.74 $0.73
Div. Dividends
$0.75 $0.75 $0.75 $0.75 $0.70 $0.70 $0.60 $0.50 $0.50 $0.50 $0.50 $0.50 $0.55 $0.55 $0.50 $0.50 $0.58 $0.50 $0.50 $0.25
PR % Payout Ratio %
80.65% 59.06% 70.09% 73.53% 56.00% 55.12% 47.24% 67.57% 89.29% 98.04% 104.17% 98.04% 96.49% 79.71% 86.21% 47.62% 50.00% 56.82% 67.57% 34.25%
Sha. Shares
290.43m 291m 290.57m 290.03m 288.46m 287.83m 284.63m 278.79m 276.5m 274.76m 274.74m 274.32m 274.4m 274.26m 274.25m 274.25m 274.25m 272.66m 269.47m 263.58m
OCF Operating Cash Flow
$521.42M $269.09M $101.84M $453.15M $229.70M $254.22M $448.53M $231.31M $233.88M $167.89M $106.50M $128.85M $248.61M $68.31M $339.38M $358.34M $398.49M $253.29M $96.12M $76.15M
FCF Free Cash Flow
$520.02M $236.36M $91.04M $425.38M $194.63M $195.74M $411.56M $197.81M $219.27M $111.23M $71.61M $99.30M $227.70M $42.02M $323.01M $325.77M $358.80M $214.61M $46.36M $20.58M
FCFS Free Cash Flow Per Share
$1.63 $0.81 $0.31 $1.47 $0.67 $0.68 $1.46 $0.71 $0.79 $0.40 $0.25 $0.34 $0.78 $0.12 $1.13 $1.18 $1.31 $0.76 $0.17 $0.07