$268.00
+ $0.58 (0.22%)
End-of-day quote: 05/16/2024
SNSE:AGUAS-A

Aguas Andinas Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
$575.47B $506.46B $478.77B $544.68B $530.40B $509.54B $492.25B $473.40B $440.73B $403.88B $382.89B $362.77B $328.96B $328.12B $299.20B $276.34B $249.32B $219.62B
GM % Gross Margin %
83.82% 87.56% 89.13% 89.72% 91.07% 91.70% 91.80% 92.11% 93.15% 93.21% 92.38% 90.76% 90.98% 91.52% 91.64% 61.19% 60.48% 59.69%
OM Operating Margin
39.80% 39.76% 35.20% 40.85% 43.71% 44.00% 45.61% 45.26% 47.09% 45.52% 48.89% 47.98% 47.28% 47.93% 48.81% 46.09% 46.93% 45.32%
EPS Earnings Per Share
$0.00 $22.99 $13.93 $16.45 $14.40 $23.16 $22.24 $22.82 $24.61 $21.10 $19.52 $19.07 $19.82 $18.33 $17.19 $20.11 $12.20 $15.86 $14.40 $12.78
Div. Dividends
$13.93 $10.65 $16.13 $23.16 $21.71 $22.12 $21.08 $21.08 $19.52 $19.07 $18.86 $5.60 $0.00 $17.74 $3.92 $0.00 $13.62 $12.42
PR % Payout Ratio %
100.00% 64.74% 112.01% 100.00% 97.62% 96.93% 85.66% 99.91% 100.00% 100.00% 95.16% 30.55% 0 88.21% 32.13% 0 94.58% 97.18%
Sha. Shares
6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m 6118.97m
OCF Operating Cash Flow
$242.90B $231.20B $185.29B $232.30B $245.50B $213.47B $234.10B $214.47B $207.04B $204.34B $203.42B $200.04B $167.82B $178.05B $139.53B $150.71B $128.82B $115.57B
FCF Free Cash Flow
$81.54B $69.61B $36.29B $90.36B $108.26B $101.17B $120.93B $126.41B $122.77B $87.33B $105.83B $79.92B $98.97B $91.43B $78.68B $106.03B $79.83B $81.36B
FCFS Free Cash Flow Per Share
$12.48 $11.25 $5.37 $14.76 $17.64 $16.42 $19.62 $20.25 $20.00 $14.27 $17.24 $13.04 $16.07 $14.94 $12.84 $15.91 $13.04 $13.29