NT$121.00
+ NT$0.50 (0.41%)
End-of-day quote: 05/15/2024
TWSE:8114

Posiflex Technology Annual Report

Year Year 2023 2022 2021 2019 2018 2017 2016 2015 2014 2013 2011 2010 2006
Rev. Revenue
NT$9.87B NT$11.97B NT$9.21B NT$9.75B NT$9.83B NT$5.67B NT$3.79B NT$3.02B NT$2.82B NT$2.71B NT$2.18B NT$2.11B NT$1.98B
GM % Gross Margin %
38.11% 35.01% 35.42% 34.78% 32.43% 38.22% 43.01% 42.16% 41.75% 41.31% 40.43% 44.61% 45.42%
OM Operating Margin
11.52% 12.64% 11.47% 10.26% 7.20% 13.18% 20.31% 22.64% 23.23% 21.87% 17.82% 22.03% 27.49%
EPS Earnings Per Share
NT$0.00 NT$5.55 NT$11.25 NT$6.21 NT$5.67 NT$7.95 NT$7.39 NT$8.45 NT$8.19 NT$7.98 NT$7.06 NT$4.43 NT$5.57 NT$6.14
Div. Dividends
NT$4.99 NT$7.00 NT$4.50 NT$4.50 NT$6.20 NT$6.20 NT$7.80 NT$7.41 NT$6.93 NT$6.25 NT$0.00 NT$0.00 NT$2.48
PR % Payout Ratio %
89.91% 62.22% 72.46% 79.37% 77.99% 83.90% 92.31% 90.48% 86.84% 88.53% 0 0 40.39%
Sha. Shares
75.6m 75.48m 74.92m 74.92m 74.92m 74.92m 74.39m 70.7m 70.7m 70.7m 70.7m 69.56m 68.3m
OCF Operating Cash Flow
NT$2.03B NT$1.16B NT$240.88M NT$731.98M NT$694.86M NT$407.87M NT$888.76M NT$580.69M NT$463.86M NT$507.54M NT$359.27M NT$76.71M NT$477.45M
FCF Free Cash Flow
NT$2.63B NT$1.07B NT$118.89M NT$654.58M NT$519.06M NT$104.48M NT$500.66M NT$329.64M NT$240.46M NT$45.68M NT$276.49M NT$33.50M NT$399.00M
FCFS Free Cash Flow Per Share
NT$25.32 NT$14.05 NT$1.46 NT$8.33 NT$5.69 NT$1.22 NT$7.04 NT$4.38 NT$3.35 NT$0.61 NT$3.91 NT$0.47 NT$5.68