NT$212.00
NT$-6.00 (-2.75%)
End-of-day quote: 05/09/2024
TPEX:3548

Jarllytec Co. Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2008
Rev. Revenue
NT$8.22B NT$7.02B NT$7.45B NT$5.55B NT$5.76B NT$5.78B NT$5.47B NT$5.57B NT$3.87B NT$3.73B NT$3.13B NT$3.22B NT$3.34B NT$3.34B NT$3.16B
GM % Gross Margin %
18.04% 20.00% 16.50% 20.32% 22.44% 19.34% 22.85% 22.78% 21.75% 19.83% 22.24% 20.89% 13.47% 18.97% 16.49%
OM Operating Margin
7.01% 6.24% 2.83% 5.57% 8.96% 7.52% 9.77% 7.20% 4.81% 3.75% 3.75% 4.61% -0.13% 4.05% 4.13%
EPS Earnings Per Share
NT$0.00 NT$8.69 NT$7.88 NT$4.10 NT$5.00 NT$7.65 NT$7.32 NT$5.75 NT$7.12 NT$3.87 NT$3.36 NT$2.87 NT$2.41 NT$0.34 NT$1.80 NT$3.05
Div. Dividends
NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$1.20 NT$0.00
PR % Payout Ratio %
0 0 0 0 0 0 0 0 0 0 0 0 0 66.67% 0
Sha. Shares
64.82m 60.12m 60.12m 60.12m 60.12m 60.12m 60.12m 60.12m 50.12m 50.55m 50.55m 50.55m 50.55m 50.55m 49.74m
OCF Operating Cash Flow
NT$973.19M NT$1.15B NT$386.69M NT$586.33M NT$738.83M NT$261.53M NT$564.30M NT$754.11M NT$154.58M NT$235.07M NT$387.96M NT$-46.97M NT$50.71M NT$206.77M NT$212.08M
FCF Free Cash Flow
NT$1.80B NT$893.43M NT$-41.27M NT$117.70M NT$-149.56M NT$146.74M NT$323.24M NT$566.47M NT$65.60M NT$-609.16M NT$278.72M NT$-92.79M NT$-10.55M NT$146.22M NT$-306.40M
FCFS Free Cash Flow Per Share
NT$9.84 NT$14.72 NT$-1.08 NT$1.89 NT$-2.61 NT$2.19 NT$5.32 NT$10.71 NT$1.24 NT$0.43 NT$4.76 NT$-2.06 NT$-0.56 NT$2.79 NT$-6.41