$2810.00
$0.00 (0.00%)
End-of-day quote: 05/22/2024
SNSE:ANDINA-B

Embotelladora Andina Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
$2.62T $2.66T $2.22T $1.70T $1.78T $1.67T $1.85T $1.78T $1.88T $1.80T $1.52T $1.17T $982.86B $888.71B
GM % Gross Margin %
38.82% 38.70% 37.95% 39.79% 41.07% 42.14% 42.18% 41.83% 41.05% 39.84% 39.88% 40.38% 41.13% 42.96%
OM Operating Margin
12.95% 12.96% 12.52% 13.55% 12.06% 12.53% 12.17% 11.01% 10.52% 9.94% 10.46% 12.23% 14.24% 16.18%
EPS Earnings Per Share
$0.00 $181.10 $132.60 $163.40 $128.90 $183.50 $102.10 $124.50 $95.60 $92.80 $79.80 $94.01 $109.30 $131.38 $136.30
Div. Dividends
$140.80 $127.60 $121.80 $109.20 $105.71 $94.60 $83.60 $74.80 $59.40 $53.14 $78.76 $88.54 $97.83 $42.83
PR % Payout Ratio %
77.75% 96.23% 74.54% 84.72% 57.61% 92.65% 67.15% 78.24% 64.01% 66.59% 83.78% 81.01% 74.46% 31.42%
Sha. Shares
946.57m 946.57m 946.57m 946.57m 946.57m 946.57m 946.57m 946.57m 946.57m 946.57m 946.57m 946.6m 760.27m 760.27m
OCF Operating Cash Flow
$366.83B $397.45B $305.05B $278.77B $255.15B $235.28B $247.96B $223.45B $264.91B $215.51B $172.08B $188.86B $138.95B $125.85B
FCF Free Cash Flow
$107.50B $210.75B $166.20B $192.89B $144.47B $114.22B $4.13B $95.23B $152.51B $101.30B $-11612.66M $45.09B $12.02B $30.39B
FCFS Free Cash Flow Per Share
$183.95 $222.65 $170.12 $203.56 $152.15 $120.66 $70.97 $100.60 $161.12 $107.02 $-12.27 $56.25 $15.81 $39.97