NT$264.50
+ NT$7.50 (2.92%)
End-of-day quote: 05/17/2024
TWSE:2360

Chroma ATE Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
NT$18.68B NT$22.07B NT$17.58B NT$15.53B NT$13.91B NT$16.93B NT$14.90B NT$11.62B NT$9.69B NT$10.31B NT$10.17B NT$11.64B NT$14.15B NT$14.89B
GM % Gross Margin %
57.60% 51.47% 48.06% 48.57% 47.31% 44.05% 47.44% 46.70% 43.56% 39.26% 36.88% 29.11% 27.69% 28.70%
OM Operating Margin
25.02% 22.84% 17.49% 18.01% 14.81% 17.95% 20.42% 17.32% 12.59% 11.85% 11.49% 9.22% 11.59% 14.08%
EPS Earnings Per Share
NT$0.00 NT$9.37 NT$12.00 NT$9.89 NT$5.51 NT$4.42 NT$6.08 NT$6.18 NT$4.23 NT$3.10 NT$3.51 NT$3.21 NT$2.50 NT$4.06 NT$4.86
Div. Dividends
NT$6.60 NT$8.00 NT$7.00 NT$4.50 NT$3.00 NT$4.20 NT$4.50 NT$3.30 NT$2.40 NT$2.60 NT$2.50 NT$2.00 NT$2.50 NT$3.65
PR % Payout Ratio %
70.44% 66.67% 70.78% 81.67% 67.87% 69.08% 72.82% 78.01% 77.42% 74.07% 77.88% 80.00% 61.58% 75.10%
Sha. Shares
423.71m 423.74m 420.07m 419.49m 417.38m 414.86m 409.98m 387.97m 377.25m 376.87m 374.83m 374.83m 374.83m 374.83m
OCF Operating Cash Flow
NT$3.41B NT$5.30B NT$2.59B NT$2.71B NT$1.36B NT$1.27B NT$2.75B NT$2.00B NT$2.27B NT$1.23B NT$940.30M NT$1.47B NT$1.86B NT$2.43B
FCF Free Cash Flow
NT$2.42B NT$4.61B NT$1.51B NT$1.08B NT$256.22M NT$-387.79M NT$2.10B NT$906.89M NT$1.10B NT$1.11B NT$-366.44M NT$781.45M NT$1.65B NT$2.19B
FCFS Free Cash Flow Per Share
NT$4.21 NT$10.94 NT$3.52 NT$2.58 NT$0.61 NT$-0.95 NT$5.26 NT$2.39 NT$3.47 NT$2.95 NT$-0.98 NT$2.08 NT$4.40 NT$5.88