₩46700.00
+ ₩150.00 (0.32%)
End-of-day quote: 05/14/2024
KOSE:A064960

SNT Motiv Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Rev. Revenue
₩1.14T ₩1.04T ₩941.74B ₩940.75B ₩976.27B ₩918.91B ₩1.14T ₩1.15T ₩1.21T ₩1.10T ₩874.89B ₩905.11B ₩910.48B
GM % Gross Margin %
14.98% 16.08% 15.13% 14.32% 15.70% 12.14% 15.41% 15.21% 18.12% 13.50% 12.83% 10.82% 11.60%
OM Operating Margin
10.26% 10.71% 9.73% 9.50% 9.14% 6.33% 8.47% 6.21% 10.17% 6.28% 6.34% 3.80% 3.78%
EPS Earnings Per Share
₩0.00 ₩6.58k ₩6.47k ₩5.78k ₩3.95k ₩5.87k ₩4.00k ₩3.88k ₩2.28k ₩5.90k ₩3.56k ₩2.41k ₩1.57k ₩2.75k
Div. Dividends
₩1.63k ₩1.60k ₩1.60k ₩1.40k ₩1.40k ₩1000.00 ₩1000.00 ₩1000.00 ₩1000.00 ₩800.00 ₩600.00 ₩500.00 ₩400.00
PR % Payout Ratio %
24.81% 24.73% 27.68% 35.46% 23.87% 25.00% 25.75% 43.80% 16.95% 22.49% 24.88% 31.83% 14.54%
Sha. Shares
13.19m 13.23m 13.91m 13.75m 13.82m 13.32m 14.62m 14.62m 14.34m 14m 14m 13.69m 11.05m
OCF Operating Cash Flow
₩96.54B ₩108.54B ₩59.65B ₩139.34B ₩99.31B ₩90.37B ₩70.32B ₩106.10B ₩70.45B ₩43.79B ₩40.88B ₩40.45B ₩29.70B
FCF Free Cash Flow
₩75.05B ₩76.93B ₩29.08B ₩114.49B ₩66.76B ₩63.24B ₩49.43B ₩66.59B ₩43.90B ₩17.78B ₩22.36B ₩19.34B ₩-2264.25M
FCFS Free Cash Flow Per Share
₩5.17k ₩5.64k ₩1.99k ₩8.17k ₩4.77k ₩4.29k ₩3.01k ₩4.22k ₩2.91k ₩548.31 ₩1.71k ₩1.06k ₩-257.91