¥89.90
¥0.00 (0.00%)
End-of-day quote: 05/18/2024
SHSE:600563

Xiamen Faratronic Annual Report

Year Year 2023 2022 2021 2020 2018 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
¥3.88B ¥3.84B ¥2.81B ¥1.89B ¥1.72B ¥1.39B ¥1.42B ¥1.33B ¥1.23B ¥1.33B ¥1.21B ¥761.84M ¥643.87M ¥577.92M ¥499.52M ¥399.30M
GM % Gross Margin %
38.11% 38.03% 41.83% 43.56% 42.72% 39.83% 37.29% 37.81% 35.91% 36.06% 36.54% 33.39% 30.11% 36.87% 39.21% 37.90%
OM Operating Margin
28.80% 27.83% 30.38% 30.70% 29.67% 26.21% 24.72% 24.61% 22.73% 24.53% 24.64% 19.78% 17.54% 25.05% 24.35% 23.49%
EPS Earnings Per Share
¥0.00 ¥4.44 ¥4.33 ¥3.27 ¥2.16 ¥1.96 ¥1.38 ¥1.32 ¥1.22 ¥1.04 ¥1.22 ¥1.04 ¥0.51 ¥0.41 ¥0.56 ¥0.48 ¥0.37
Div. Dividends
¥2.00 ¥1.80 ¥1.60 ¥1.30 ¥1.30 ¥1.00 ¥0.70 ¥0.70 ¥0.60 ¥0.00 ¥0.00 ¥0.00 ¥0.20 ¥0.00 ¥0.00 ¥0.00
PR % Payout Ratio %
45.05% 41.57% 48.93% 60.19% 66.33% 72.46% 53.03% 57.38% 57.69% 0 0 0 48.78% 0.00% 0 0
Sha. Shares
225m 225m 225m 225m 225m 225m 225m 225m 225m 225m 225m 225m 225m 225m 225m 225m
OCF Operating Cash Flow
¥1.12B ¥1.04B ¥907.63M ¥354.79M ¥579.18M ¥325.33M ¥302.47M ¥320.29M ¥315.71M ¥332.91M ¥245.05M ¥169.81M ¥202.48M ¥94.21M ¥135.53M ¥0.00M
FCF Free Cash Flow
¥675.00M ¥459.28M ¥604.73M ¥223.14M ¥454.63M ¥211.90M ¥190.53M ¥251.73M ¥287.46M ¥277.28M ¥148.67M ¥125.21M ¥59.86M ¥-55.98M ¥83.48M ¥0.00M
FCFS Free Cash Flow Per Share
¥2.90 ¥2.03 ¥2.69 ¥0.99 ¥2.02 ¥0.94 ¥0.85 ¥1.12 ¥1.28 ¥1.23 ¥0.66 ¥0.56 ¥0.27 ¥-0.25 ¥0.37 ¥0.00