NT$144.00
NT$-1.00 (-0.69%)
End-of-day quote: 05/17/2024
TWSE:2455

Visual Photonics Epitaxy Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007
Rev. Revenue
NT$2.69B NT$2.60B NT$3.61B NT$2.65B NT$2.53B NT$2.06B NT$2.14B NT$2.18B NT$2.39B NT$2.07B NT$2.15B NT$2.25B NT$2.15B NT$1.77B NT$1.56B NT$1.17B NT$998.94M
GM % Gross Margin %
41.16% 41.83% 42.11% 41.50% 40.87% 37.55% 34.79% 37.06% 37.48% 34.77% 32.74% 33.72% 35.42% 37.48% 36.26% 16.74% 27.63%
OM Operating Margin
20.12% 22.27% 29.28% 25.99% 25.64% 22.50% 24.10% 26.94% 28.04% 25.30% 24.22% 25.28% 27.49% 29.01% 24.00% -1.83% 6.39%
EPS Earnings Per Share
NT$0.00 NT$2.43 NT$2.95 NT$4.60 NT$2.86 NT$2.78 NT$2.15 NT$2.15 NT$2.11 NT$3.19 NT$2.52 NT$2.48 NT$2.51 NT$2.79 NT$2.27 NT$2.10 NT$-0.50 NT$1.03
Div. Dividends
NT$2.20 NT$3.76 NT$4.00 NT$2.59 NT$2.50 NT$2.03 NT$2.50 NT$2.53 NT$2.87 NT$2.67 NT$2.67 NT$1.07 NT$2.42 NT$0.48 NT$0.00 NT$0.00 NT$0.00
PR % Payout Ratio %
90.53% 127.46% 86.96% 90.56% 89.93% 94.42% 116.28% 119.91% 89.97% 105.95% 107.66% 42.63% 86.74% 21.15% 0 0 0
Sha. Shares
184.91m 184.91m 184.91m 184.91m 184.91m 181.04m 184.91m 182.66m 184.91m 184.91m 184.91m 184.91m 180.13m 181.08m 177.49m 156.09m 157.67m
OCF Operating Cash Flow
NT$572.16M NT$643.52M NT$1.18B NT$851.23M NT$695.17M NT$777.07M NT$456.53M NT$851.91M NT$760.20M NT$596.44M NT$820.56M NT$850.24M NT$553.07M NT$556.86M NT$529.95M NT$191.43M NT$140.95M
FCF Free Cash Flow
NT$725.33M NT$646.00M NT$711.22M NT$756.10M NT$501.75M NT$-492.33M NT$272.69M NT$800.86M NT$706.28M NT$510.31M NT$695.69M NT$561.39M NT$64.40M NT$72.64M NT$180.02M NT$-238.34M NT$-38.82M
FCFS Free Cash Flow Per Share
NT$2.69 NT$1.21 NT$3.83 NT$4.08 NT$2.71 NT$-2.68 NT$1.49 NT$3.36 NT$3.81 NT$2.75 NT$3.76 NT$4.03 NT$0.35 NT$0.40 NT$1.11 NT$-1.45 NT$-0.28