NT$76.00
NT$0.00 (0.00%)
End-of-day quote: 05/18/2024
TWSE:2313

Compeq Manufacturing Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012
Rev. Revenue
NT$67.08B NT$76.42B NT$63.05B NT$60.52B NT$56.17B NT$50.83B NT$53.96B NT$45.52B NT$44.38B NT$33.85B NT$30.90B NT$26.80B
GM % Gross Margin %
15.10% 20.22% 18.09% 18.18% 17.80% 14.22% 14.99% 12.69% 14.96% 14.24% 14.78% 12.90%
OM Operating Margin
7.78% 13.25% 10.81% 10.97% 10.94% 9.09% 10.67% 7.58% 10.08% 8.42% 8.96% 6.73%
EPS Earnings Per Share
NT$0.00 NT$3.50 NT$6.71 NT$4.29 NT$3.91 NT$3.19 NT$2.00 NT$2.99 NT$1.36 NT$2.40 NT$1.66 NT$1.55 NT$0.73
Div. Dividends
NT$1.50 NT$2.70 NT$1.80 NT$1.50 NT$1.20 NT$0.80 NT$1.20 NT$0.60 NT$1.00 NT$0.60 NT$0.50 NT$0.50
PR % Payout Ratio %
42.86% 40.24% 41.96% 38.36% 37.62% 40.00% 40.13% 44.12% 41.67% 36.14% 32.26% 68.49%
Sha. Shares
1191.82m 1191.82m 1191.82m 1191.82m 1191.82m 1191.82m 1191.82m 1191.82m 1191.82m 1191.82m 1191.82m 1191.82m
OCF Operating Cash Flow
NT$10.45B NT$13.67B NT$8.98B NT$8.61B NT$7.71B NT$5.13B NT$6.49B NT$5.38B NT$7.22B NT$4.28B NT$4.81B NT$864.12M
FCF Free Cash Flow
NT$4.70B NT$6.44B NT$144.61M NT$2.16B NT$3.39B NT$-318.13M NT$1.70B NT$-40.22M NT$1.44B NT$-526.99M NT$1.77B NT$-2193.42M
FCFS Free Cash Flow Per Share
NT$3.07 NT$5.19 NT$0.08 NT$1.78 NT$2.80 NT$-0.30 NT$1.32 NT$-0.06 NT$1.13 NT$-0.57 NT$1.45 NT$-1.92