NT$104.50
+ NT$1.00 (0.97%)
End-of-day quote: 05/15/2024
TWSE:2301

Lite-On Technology Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
NT$148.33B NT$173.46B NT$164.83B NT$157.13B NT$177.95B NT$207.11B NT$214.56B NT$229.57B NT$216.93B NT$230.63B NT$213.21B NT$216.05B NT$230.52B NT$230.05B
GM % Gross Margin %
22.02% 19.18% 18.50% 17.43% 15.36% 13.09% 12.91% 13.62% 12.97% 12.25% 14.31% 14.14% 14.77% 15.77%
OM Operating Margin
9.79% 8.69% 7.91% 6.50% 5.25% 3.61% 3.89% 5.54% 3.99% 3.09% 4.71% 5.04% 5.30% 6.07%
EPS Earnings Per Share
NT$0.00 NT$6.36 NT$6.19 NT$5.92 NT$4.25 NT$3.98 NT$3.38 NT$1.13 NT$4.00 NT$3.16 NT$2.77 NT$3.77 NT$3.22 NT$3.08 NT$3.86
Div. Dividends
NT$4.50 NT$4.50 NT$4.50 NT$3.40 NT$3.20 NT$2.92 NT$2.92 NT$2.92 NT$2.18 NT$1.95 NT$2.72 NT$2.30 NT$2.21 NT$2.79
PR % Payout Ratio %
70.75% 72.70% 76.01% 80.00% 80.40% 86.39% 258.41% 73.00% 68.99% 70.40% 72.15% 71.43% 71.75% 72.28%
Sha. Shares
2306.13m 2300.5m 2283.56m 2323.56m 2324.03m 2324.03m 2324.03m 2324.03m 2319.76m 2338.31m 2331.16m 2312.98m 2308.38m 2294.12m
OCF Operating Cash Flow
NT$27.27B NT$25.04B NT$12.16B NT$17.56B NT$19.76B NT$13.48B NT$11.15B NT$14.51B NT$15.55B NT$14.13B NT$20.69B NT$12.85B NT$16.64B NT$14.21B
FCF Free Cash Flow
NT$14.73B NT$17.87B NT$8.42B NT$14.18B NT$14.59B NT$11.28B NT$7.03B NT$10.75B NT$10.40B NT$5.49B NT$14.49B NT$8.24B NT$7.71B NT$7.11B
FCFS Free Cash Flow Per Share
NT$10.25 NT$9.03 NT$3.57 NT$6.06 NT$6.16 NT$3.48 NT$2.90 NT$4.56 NT$4.37 NT$2.19 NT$6.18 NT$2.08 NT$3.32 NT$3.02