NT$121.50
NT$-1.00 (-0.82%)
End-of-day quote: 05/27/2024
TWSE:5388

Sercomm Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2007 2006
Rev. Revenue
NT$62.58B NT$64.57B NT$43.90B NT$36.10B NT$31.80B NT$33.38B NT$38.60B NT$36.70B NT$35.01B NT$23.19B NT$19.08B NT$19.27B NT$13.24B NT$8.64B NT$10.25B NT$9.13B
GM % Gross Margin %
16.40% 13.35% 12.91% 15.07% 15.97% 13.41% 13.03% 14.63% 14.24% 15.76% 16.09% 15.50% 14.95% 16.75% 14.88% 12.23%
OM Operating Margin
4.97% 3.74% 2.40% 3.14% 3.10% 2.70% 3.97% 4.83% 4.75% 5.09% 4.57% 5.35% 4.24% 4.08% 5.97% 4.31%
EPS Earnings Per Share
NT$0.00 NT$9.17 NT$7.22 NT$3.30 NT$3.56 NT$4.11 NT$3.25 NT$5.24 NT$5.85 NT$5.33 NT$3.93 NT$4.19 NT$3.45 NT$2.81 NT$1.77 NT$3.50 NT$2.29
Div. Dividends
NT$5.00 NT$4.93 NT$2.40 NT$2.60 NT$3.00 NT$2.50 NT$3.75 NT$4.20 NT$3.85 NT$3.00 NT$2.80 NT$2.75 NT$2.50 NT$1.55 NT$0.00 NT$0.00
PR % Payout Ratio %
54.53% 68.28% 72.73% 73.03% 72.99% 76.92% 71.56% 71.79% 72.23% 76.34% 66.83% 79.71% 88.97% 87.57% 0 0
Sha. Shares
267.08m 256.2m 252.39m 249.78m 249.06m 237.74m 245.65m 242.92m 241.13m 229.22m 205.25m 195.61m 182.63m 170.71m 157.8m 148.53m
OCF Operating Cash Flow
NT$1.58B NT$3.43B NT$-2779.73M NT$1.15B NT$1.46B NT$818.51M NT$2.51B NT$2.49B NT$1.59B NT$780.35M NT$931.41M NT$2.45B NT$720.39M NT$-28.48M NT$714.05M NT$594.77M
FCF Free Cash Flow
NT$2.67B NT$-744.00M NT$-3664.73M NT$-265.87M NT$905.03M NT$253.72M NT$2.05B NT$2.12B NT$1.04B NT$367.86M NT$493.00M NT$1.63B NT$204.35M NT$-747.72M NT$533.04M NT$423.70M
FCFS Free Cash Flow Per Share
NT$1.76 NT$10.23 NT$-15.87 NT$-1.80 NT$3.26 NT$0.61 NT$8.01 NT$8.40 NT$3.85 NT$1.12 NT$2.14 NT$7.92 NT$0.82 NT$-5.36 NT$2.94 NT$2.52