NT$490.00
NT$-4.00 (-0.81%)
End-of-day quote: 05/21/2024
TPEX:5904

POYA International Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Rev. Revenue
NT$22.08B NT$19.48B NT$17.47B NT$17.54B NT$15.79B NT$14.08B NT$13.26B NT$12.42B NT$10.69B NT$9.17B NT$7.25B NT$6.27B NT$6.28B
GM % Gross Margin %
44.10% 43.16% 43.87% 43.18% 43.23% 43.80% 42.82% 41.11% 40.96% 40.48% 39.66% 37.72% 32.62%
OM Operating Margin
14.46% 13.58% 13.30% 15.11% 15.39% 14.89% 12.98% 10.95% 10.56% 9.76% 8.23% 7.16% 5.70%
EPS Earnings Per Share
NT$0.00 NT$24.31 NT$19.97 NT$17.82 NT$20.50 NT$18.31 NT$16.58 NT$13.88 NT$11.39 NT$9.29 NT$7.57 NT$5.50 NT$4.27 NT$3.33
Div. Dividends
NT$21.00 NT$14.96 NT$10.78 NT$17.80 NT$16.27 NT$14.99 NT$12.37 NT$10.08 NT$8.21 NT$6.84 NT$4.39 NT$3.71 NT$2.94
PR % Payout Ratio %
86.38% 74.91% 60.49% 86.83% 88.86% 90.41% 89.12% 88.50% 88.37% 90.36% 79.82% 86.89% 88.29%
Sha. Shares
103.49m 103.2m 101.87m 100.62m 97.69m 97.69m 97.69m 97.44m 97.19m 96.96m 96.68m 96.3m 95.63m
OCF Operating Cash Flow
NT$4.80B NT$4.59B NT$3.96B NT$3.77B NT$3.39B NT$2.04B NT$1.82B NT$1.42B NT$1.15B NT$1.14B NT$901.26M NT$638.31M NT$365.30M
FCF Free Cash Flow
NT$4.10B NT$3.23B NT$3.11B NT$2.78B NT$2.68B NT$1.35B NT$874.80M NT$445.44M NT$371.44M NT$524.18M NT$335.82M NT$451.42M NT$143.15M
FCFS Free Cash Flow Per Share
NT$37.02 NT$39.95 NT$30.58 NT$27.58 NT$27.46 NT$13.83 NT$8.96 NT$4.56 NT$3.82 NT$5.41 NT$3.48 NT$4.32 NT$1.51