¥55.31
¥0.00 (0.00%)
End-of-day quote: 05/18/2024
SZSE:000538

Yunnan Baiyao Group Co.,Ltd Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
¥36.49B ¥36.37B ¥32.74B ¥29.66B ¥27.02B ¥24.31B ¥22.41B ¥20.74B ¥18.81B ¥15.81B ¥13.82B ¥11.31B ¥10.08B ¥7.17B ¥5.72B ¥4.26B ¥3.20B ¥2.45B
GM % Gross Margin %
26.14% 27.10% 27.37% 27.89% 31.24% 31.04% 29.82% 30.51% 30.07% 29.62% 30.52% 29.94% 30.47% 30.29% 30.18% 31.14% 29.02% 27.96%
OM Operating Margin
10.44% 11.38% 11.80% 9.51% 15.75% 13.48% 14.35% 14.49% 14.58% 12.41% 13.00% 11.82% 10.13% 9.17% 9.17% 10.94% 10.57% 10.96%
EPS Earnings Per Share
¥0.00 ¥2.67 ¥2.05 ¥1.86 ¥1.62 ¥1.41 ¥2.00 ¥1.91 ¥1.85 ¥1.79 ¥1.56 ¥1.28 ¥1.07 ¥0.81 ¥0.63 ¥0.40 ¥0.34 ¥0.25 ¥0.21 ¥0.21
Div. Dividends
¥1.52 ¥1.14 ¥2.79 ¥2.14 ¥1.43 ¥1.07 ¥0.57 ¥0.43 ¥0.36 ¥0.24 ¥0.21 ¥0.08 ¥0.05 ¥0.07 ¥0.11 ¥0.04 ¥0.04 ¥0.03
PR % Payout Ratio %
74.15% 61.29% 172.22% 151.77% 71.50% 56.02% 30.81% 24.02% 23.08% 18.75% 19.63% 9.88% 7.94% 17.50% 32.35% 16.00% 19.05% 14.29%
Sha. Shares
1784.26m 1795.8m 1260.7m 1277.4m 1041.4m 1041.4m 1041.4m 1041.4m 1041.4m 1041.4m 1041.4m 1041.4m 1041.4m 1041.4m 1041.4m 943.9m 943.9m 943.9m
OCF Operating Cash Flow
¥3.21B ¥5.22B ¥3.83B ¥2.10B ¥1.55B ¥1.16B ¥2.98B ¥2.18B ¥1.59B ¥341.64M ¥789.38M ¥-447.79M ¥432.08M ¥460.55M ¥806.90M ¥71.02M ¥292.16M ¥286.28M
FCF Free Cash Flow
¥2.77B ¥4.69B ¥3.36B ¥1.33B ¥992.77M ¥1.02B ¥2.84B ¥2.04B ¥1.41B ¥266.61M ¥676.68M ¥-813.23M ¥-145.75M ¥-41.80M ¥489.14M ¥52.46M ¥195.08M ¥262.03M
FCFS Free Cash Flow Per Share
¥1.55 ¥2.64 ¥2.62 ¥1.04 ¥0.78 ¥0.92 ¥2.73 ¥1.96 ¥1.35 ¥0.26 ¥0.64 ¥-0.78 ¥-0.14 ¥-0.04 ¥0.52 ¥0.06 ¥0.21 ¥0.46