PetroVietnam Fertilizer and Chemicals Corporation - JSC 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
₫4.86T ₫6.48T ₫6.63T ₫6.62T ₫9.23T ₫13.32T ₫10.36T ₫9.55T ₫9.76T ₫7.92T ₫8.00T ₫9.30T ₫7.68T ₫7.76T ₫12.79T ₫18.63T ₫13.57T ₫0.00M
GM % Gross Margin %
39.33% 28.59% 29.94% 36.00% 43.74% 32.46% 32.35% 25.42% 32.28% 30.23% 26.41% 20.43% 18.25% 22.29% 37.43% 42.08% 12.17% 0.00%
OM Operating Margin
33.84% 21.70% 21.21% 24.79% 32.95% 22.62% 20.89% 12.10% 18.48% 14.65% 8.38% 8.62% 5.62% 8.58% 27.71% 33.84% 2.22% 0.00%
EPS Earnings Per Share
₫3.65k ₫3.56k ₫4.62k ₫8.29k ₫2.89k ₫3.29k ₫2.55k ₫1.53k ₫1.55k ₫863.00 ₫1.54k ₫7.75k ₫13.95k ₫1.06k ₫0.00
Div. Dividends
₫0.00 ₫0.00 ₫2.00k ₫0.00 ₫3.50k ₫4.50k ₫5.00k ₫3.00k ₫4.00k ₫3.00k ₫2.00k ₫1000.00 ₫1.20k ₫700.00 ₫5.00k ₫7.00k ₫5.00k ₫0.00
PR % Payout Ratio %
0 0 56.23% 0 42.23% 0 0 103.88% 121.43% 117.46% 130.55% 64.47% 139.05% 45.60% 64.54% 50.17% 470.37% 0
Sha. Shares
0m 128.39m 379.28m 377.65m 377.64m 377.55m 379.93m 379.93m 379.93m 391.33m 391.33m 391.33m 391.33m 391.33m 391.33m 391.33m 0m 391.33m
OCF Operating Cash Flow
₫-3635869.37M ₫673.86B ₫3.16T ₫2.94T ₫2.12T ₫3.28T ₫1.53T ₫607.60B ₫1.64T ₫1.84T ₫80.98B ₫381.06B ₫1.76T ₫787.27B ₫2.52T ₫4.96T ₫944.85B ₫0.00M
FCF Free Cash Flow
₫-3661370.00M ₫557.39B ₫2.40T ₫1.95T ₫1.34T ₫2.91T ₫1.26T ₫518.66B ₫773.48B ₫547.06B ₫-1297085.12M ₫-530081.68M ₫1.58T ₫705.53B ₫2.28T ₫4.88T ₫799.00B ₫0.00M
FCFS Free Cash Flow Per Share
₫-9635.18 ₫1.47k ₫6.32k ₫5.15k ₫3.56k ₫7.70k ₫3.32k ₫1.06k ₫1.79k ₫1.40k ₫-3350.40 ₫-1301.98 ₫4.19k ₫1.80k ₫5.87k ₫12.48k ₫1.80k ₫0.00