Syn Prop & Tech financials at a glance

Year Year 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
R$87.32M R$107.76M R$144.52M R$242.27M R$309.30M R$433.49M R$365.68M R$426.55M R$420.85M R$464.64M R$442.56M R$488.62M R$473.57M R$492.62M R$2.31B R$471.68M R$422.18M R$0.00M
GM % Gross Margin %
87.20% 90.95% 86.18% 69.78% 62.57% 64.64% 73.39% 69.76% 68.91% 64.77% 57.79% 58.06% 65.53% 63.52% 72.28% 43.40% 55.01% 0.00%
OM Operating Margin
71.31% 73.63% 71.19% 59.72% 52.16% 55.76% 61.88% 57.38% 58.64% 53.38% 106.44% 43.59% 57.24% 49.58% 70.65% 30.30% 40.83% 0.00%
EPS Earnings Per Share
R$0.72 R$1.09 R$1.28 R$1.84 R$1.80 R$1.18 R$0.19 R$-0.01 R$0.20 R$0.33 R$8.43 R$-0.23 R$0.08 R$0.00
Div. Dividends
R$0.00 R$0.00 R$0.17 R$0.26 R$0.33 R$0.00 R$0.45 R$0.28 R$0.05 R$0.00 R$0.00 R$0.00 R$0.16 R$0.88 R$8.71 R$0.52 R$0.12 R$0.00
PR % Payout Ratio %
0 0 23.61% 23.85% 25.78% 0 25.00% 23.73% 26.32% 0 0 0 80.00% 266.67% 103.32% -226.09% 150.00% 0
Sha. Shares
88.57m 88.57m 86.39m 86.37m 82.65m 82.65m 82.75m 82.75m 119.42m 119.42m 119.42m 119.66m 165.11m 152.64m 152.64m 152.64m 0m 152.64m
OCF Operating Cash Flow
R$136.30M R$30.45M R$10.55M R$60.06M R$72.54M R$-60.13M R$-582.98M R$-482.05M R$-271.09M R$648.98M R$146.65M R$146.72M R$179.59M R$120.36M R$2.20B R$17.62M R$74.19M R$0.00M
FCF Free Cash Flow
R$-606.00M R$2.47M R$9.46M R$23.22M R$81.22M R$-60.22M R$-583.30M R$-482.66M R$-272.92M R$0.00M R$139.97M R$0.00M R$172.92M R$117.15M R$2.20B R$14.19M R$73.10M R$0.00M
FCFS Free Cash Flow Per Share
R$-6.84 R$0.03 R$0.11 R$0.69 R$0.82 R$-0.73 R$-7.03 R$-5.81 R$-2.26 R$5.43 R$1.17 R$1.65 R$1.05 R$0.77 R$14.41 R$0.09 R$0.48 R$0.00