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End-of-day quote: 05/15/2024
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NARI Technology Annual Report

Year Year 2022 2004 2021 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
¥46.83B ¥474.31M ¥42.41B ¥32.42B ¥28.54B ¥24.19B ¥28.25B ¥9.71B ¥8.91B ¥9.58B ¥8.31B ¥4.66B ¥3.04B ¥1.78B ¥1.38B ¥1.08B ¥896.95M ¥749.15M
GM % Gross Margin %
26.75% 36.24% 26.69% 28.36% 28.64% 29.96% 24.46% 25.13% 27.13% 27.10% 28.79% 31.38% 30.92% 30.71% 31.74% 28.78% 30.50% 32.26%
OM Operating Margin
15.46% 15.18% 15.57% 15.55% 16.81% 17.50% 12.13% 13.05% 14.13% 15.62% 15.42% 17.63% 14.93% 11.03% 8.76% 9.86% 12.10% 14.43%
EPS Earnings Per Share
¥0.00 ¥0.87 ¥0.79 ¥0.69 ¥0.52 ¥0.47 ¥0.27 ¥0.34 ¥0.30 ¥0.30 ¥0.31 ¥0.27 ¥0.21 ¥0.12 ¥0.05 ¥0.03 ¥0.03 ¥0.03 ¥0.03 ¥0.02
Div. Dividends
¥0.33 ¥0.01 ¥0.28 ¥0.17 ¥0.21 ¥0.21 ¥0.17 ¥0.16 ¥0.09 ¥0.06 ¥0.09 ¥0.03 ¥0.01 ¥0.00 ¥0.00 ¥0.01 ¥0.00 ¥0.00
PR % Payout Ratio %
41.77% 50.00% 40.58% 32.69% 44.68% 77.78% 50.00% 53.33% 30.00% 19.35% 33.33% 14.29% 8.33% 0 0 33.33% 0.00% 0
Sha. Shares
8033.82m 2,571m 6654.52m 5546.54m 5500.4m 5042.36m 2914.74m 2914.74m 2914.74m 2914.74m 2646.9m 2646.9m 2646.9m 2,571m 2,571m 2,571m 2,571m 2,571m
OCF Operating Cash Flow
¥8.76B ¥117.09M ¥4.67B ¥4.68B ¥3.21B ¥3.31B ¥4.26B ¥1.20B ¥1.69B ¥737.54M ¥788.98M ¥435.35M ¥378.31M ¥147.16M ¥208.92M ¥140.57M ¥155.40M ¥91.21M
FCF Free Cash Flow
¥5.35B ¥92.49M ¥2.66B ¥1.76B ¥1.50B ¥2.11B ¥1.73B ¥950.30M ¥1.39B ¥572.85M ¥444.66M ¥293.83M ¥301.54M ¥65.69M ¥155.04M ¥44.51M ¥35.86M ¥7.45M
FCFS Free Cash Flow Per Share
¥0.67 ¥0.04 ¥0.40 ¥0.32 ¥0.28 ¥0.37 ¥0.68 ¥0.33 ¥0.48 ¥0.20 ¥0.23 ¥0.11 ¥0.12 ¥0.03 ¥0.06 ¥0.02 ¥0.01 ¥0.00