NT$24.75
NT$-0.25 (-1.00%)
End-of-day quote: 05/15/2024
TWSE:2002

China Steel Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
NT$363.33B NT$449.57B NT$468.33B NT$314.78B NT$366.24B NT$400.67B NT$347.01B NT$293.06B NT$285.05B NT$366.51B NT$347.83B NT$358.34B NT$401.03B NT$350.21B
GM % Gross Margin %
4.59% 7.10% 21.07% 4.99% 7.59% 12.65% 11.56% 13.57% 7.49% 11.98% 10.80% 5.40% 9.13% 18.09%
OM Operating Margin
0.96% 4.07% 17.75% 0.91% 3.43% 8.84% 7.41% 8.69% 2.83% 8.12% 7.14% 2.23% 6.03% 14.78%
EPS Earnings Per Share
NT$0.00 NT$0.11 NT$1.15 NT$3.98 NT$0.05 NT$0.57 NT$1.57 NT$1.09 NT$1.03 NT$0.49 NT$1.43 NT$1.03 NT$0.37 NT$1.53 NT$2.56
Div. Dividends
NT$0.35 NT$1.00 NT$3.10 NT$0.30 NT$0.50 NT$1.00 NT$0.88 NT$0.85 NT$0.50 NT$1.00 NT$0.69 NT$0.49 NT$1.11 NT$1.81
PR % Payout Ratio %
318.18% 86.96% 77.89% 600.00% 87.72% 63.69% 80.73% 82.52% 102.04% 69.93% 66.99% 132.43% 72.55% 70.70%
Sha. Shares
15269.62m 15414.7m 15414.7m 15414.1m 15414.1m 15414.86m 15419.7m 15416.83m 15416.83m 15416.49m 15419.38m 15414.53m 15424.58m 14540.11m
OCF Operating Cash Flow
NT$38.69B NT$24.34B NT$71.30B NT$63.22B NT$39.95B NT$65.10B NT$49.47B NT$55.18B NT$49.28B NT$64.45B NT$54.27B NT$65.14B NT$16.52B NT$47.12B
FCF Free Cash Flow
NT$52.08B NT$-5947.51M NT$50.24B NT$36.40B NT$12.90B NT$46.40B NT$27.66B NT$35.53B NT$24.56B NT$33.48B NT$-6475.99M NT$397.38M NT$-40675.59M NT$-19056.12M
FCFS Free Cash Flow Per Share
NT$0.07 NT$-0.49 NT$3.26 NT$2.35 NT$0.83 NT$3.01 NT$1.79 NT$2.28 NT$1.56 NT$2.17 NT$-0.43 NT$0.26 NT$-2.73 NT$-1.33