NT$56.80
NT$0.00 (0.00%)
End-of-day quote: 05/14/2024
TWSE:1303

Nan Ya Plastics Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Rev. Revenue
NT$259.76B NT$355.18B NT$411.67B NT$273.35B NT$286.30B NT$333.06B NT$306.14B NT$275.29B NT$299.78B NT$325.47B NT$311.01B NT$300.71B NT$331.00B
GM % Gross Margin %
7.41% 15.18% 25.23% 14.49% 9.83% 14.71% 16.31% 11.44% 12.12% 8.92% 10.50% 9.68% 15.53%
OM Operating Margin
0.77% 9.02% 19.69% 7.76% 3.45% 8.83% 9.75% 4.83% 6.20% 3.36% 4.76% 4.21% 10.08%
EPS Earnings Per Share
NT$0.00 NT$0.80 NT$4.05 NT$10.25 NT$3.24 NT$2.91 NT$6.65 NT$6.87 NT$6.16 NT$5.08 NT$4.01 NT$3.19 NT$0.53 NT$2.92
Div. Dividends
NT$0.91 NT$3.76 NT$7.50 NT$2.40 NT$2.20 NT$5.10 NT$5.10 NT$4.50 NT$3.30 NT$2.30 NT$1.91 NT$0.00 NT$0.00
PR % Payout Ratio %
113.75% 92.84% 73.17% 74.07% 75.60% 76.69% 74.24% 73.05% 64.96% 57.36% 59.87% 0 0
Sha. Shares
7930.82m 7930.82m 7930.82m 7930.82m 7930.82m 7930.82m 7930.82m 7930.82m 7930.82m 7930.82m 7930.64m 7930.64m 7930.64m
OCF Operating Cash Flow
NT$35.68B NT$75.30B NT$78.88B NT$41.63B NT$52.30B NT$55.56B NT$41.14B NT$46.39B NT$63.21B NT$20.33B NT$25.43B NT$34.59B NT$52.18B
FCF Free Cash Flow
NT$-8149.00M NT$44.05B NT$49.70B NT$11.50B NT$22.82B NT$33.42B NT$31.76B NT$36.21B NT$53.14B NT$14.09B NT$19.76B NT$19.56B NT$41.36B
FCFS Free Cash Flow Per Share
NT$1.48 NT$5.55 NT$6.27 NT$1.45 NT$2.88 NT$4.34 NT$4.00 NT$4.57 NT$6.70 NT$1.78 NT$1.98 NT$2.47 NT$5.21