NT$120.00
+ NT$0.50 (0.42%)
End-of-day quote: 05/17/2024
TWSE:6278

Taiwan Surface Mounting Technology Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2006
Rev. Revenue
NT$46.50B NT$68.45B NT$65.72B NT$41.41B NT$37.91B NT$30.63B NT$26.33B NT$30.05B NT$30.15B NT$33.96B NT$41.25B NT$49.83B NT$46.42B NT$40.56B NT$29.51B NT$18.79B NT$13.95B
GM % Gross Margin %
11.35% 12.90% 12.33% 12.10% 12.48% 11.03% 8.02% 8.96% 8.96% 9.61% 8.72% 7.19% 8.42% 10.08% 9.38% 10.55% 10.16%
OM Operating Margin
5.35% 8.49% 7.15% 6.04% 6.84% 5.08% 1.68% 3.79% 3.71% 4.75% 4.72% 4.14% 5.85% 7.55% 6.87% 7.36% 7.91%
EPS Earnings Per Share
NT$0.00 NT$8.50 NT$13.65 NT$12.59 NT$7.50 NT$6.93 NT$2.67 NT$2.62 NT$1.94 NT$3.03 NT$3.56 NT$4.06 NT$3.46 NT$4.42 NT$5.62 NT$4.65 NT$2.78 NT$3.32
Div. Dividends
NT$5.00 NT$7.00 NT$6.00 NT$3.30 NT$0.00 NT$1.30 NT$1.30 NT$0.00 NT$1.50 NT$1.43 NT$1.37 NT$1.31 NT$1.63 NT$2.07 NT$1.68 NT$0.00 NT$0.00
PR % Payout Ratio %
58.82% 51.28% 47.66% 44.00% 0 48.69% 49.62% 0 49.50% 40.17% 33.74% 37.86% 36.88% 36.83% 36.13% 0 0
Sha. Shares
292.4m 292.4m 292.4m 292.4m 292.4m 292.4m 292.4m 292.4m 292.4m 295.4m 294.87m 294.87m 294.8m 294.8m 261.68m 261.68m 245.55m
OCF Operating Cash Flow
NT$6.35B NT$10.52B NT$3.94B NT$3.43B NT$4.86B NT$237.74M NT$1.71B NT$1.18B NT$1.36B NT$1.23B NT$3.68B NT$1.96B NT$3.17B NT$3.82B NT$-58.70M NT$3.07B NT$1.50B
FCF Free Cash Flow
NT$2.61B NT$8.43B NT$-2376.21M NT$594.78M NT$3.79B NT$-1188.03M NT$1.46B NT$788.35M NT$1.07B NT$432.31M NT$2.66B NT$898.54M NT$936.89M NT$1.16B NT$-751.61M NT$2.23B NT$436.75M
FCFS Free Cash Flow Per Share
NT$15.96 NT$28.84 NT$-8.13 NT$-3.79 NT$12.79 NT$-4.06 NT$5.16 NT$2.65 NT$3.63 NT$1.47 NT$9.02 NT$2.53 NT$3.00 NT$6.83 NT$-2.74 NT$8.36 NT$1.36