Beijing New Building Materials Public financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
¥1.46B ¥2.06B ¥2.93B ¥3.14B ¥2.50B ¥3.28B ¥4.37B ¥5.97B ¥6.69B ¥7.49B ¥8.30B ¥7.55B ¥8.16B ¥11.16B ¥12.56B ¥13.32B ¥16.80B ¥21.09B ¥19.93B ¥0.00M ¥0.00M
GM % Gross Margin %
13.48% 16.95% 19.72% 20.49% 22.29% 30.65% 26.86% 22.68% 26.32% 29.43% 29.76% 31.22% 34.11% 37.15% 35.17% 31.72% 33.61% 31.74% 29.20% 0.00% 0.00%
OM Operating Margin
3.06% 7.11% 7.90% 8.40% 9.40% 18.58% 15.97% 14.21% 17.50% 20.09% 19.89% 19.62% 21.06% 25.77% 23.30% 19.65% 19.77% 18.08% 14.85% 0.00% 0.00%
EPS Earnings Per Share
¥0.09 ¥0.10 ¥0.13 ¥0.27 ¥0.33 ¥0.40 ¥0.56 ¥0.71 ¥0.80 ¥0.60 ¥0.78 ¥1.34 ¥1.51 ¥1.40 ¥1.64 ¥2.02 ¥1.55 ¥2.15 ¥0.00
Div. Dividends
¥0.02 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.08 ¥0.15 ¥0.16 ¥0.22 ¥0.21 ¥0.18 ¥0.18 ¥0.36 ¥0.46 ¥0.08 ¥0.55 ¥0.66 ¥0.66 ¥0.70 ¥0.00
PR % Payout Ratio %
33.33% 0 0 0 0 0 24.24% 37.50% 28.57% 30.99% 26.25% 30.00% 23.08% 26.87% 30.46% 5.71% 33.54% 32.67% 42.58% 32.56% 0
Sha. Shares
1385.9m 1385.9m 1150.3m 1150.3m 1150.3m 1150.3m 1150.3m 1150.3m 1150.3m 1150.3m 1413.98m 1413.98m 1788.58m 1788.58m 1689.51m 1689.51m 1689.51m 1689.51m 1689.51m 0m 0m
OCF Operating Cash Flow
¥248.27M ¥0.00M ¥266.01M ¥142.90M ¥304.52M ¥785.38M ¥912.23M ¥1.11B ¥1.13B ¥1.51B ¥1.57B ¥1.91B ¥1.71B ¥2.65B ¥2.78B ¥1.98B ¥1.84B ¥3.83B ¥3.66B ¥0.00M ¥0.00M
FCF Free Cash Flow
¥-254.23M ¥0.00M ¥-6.17M ¥-299.09M ¥-351.20M ¥131.72M ¥-296.62M ¥-163.92M ¥-13.73M ¥506.59M ¥384.78M ¥1.07B ¥1.10B ¥1.77B ¥1.22B ¥-127.35M ¥471.75M ¥2.21B ¥2.75B ¥2.49B ¥0.00M
FCFS Free Cash Flow Per Share
¥0.00 ¥0.00 ¥-0.01 ¥-0.26 ¥-0.31 ¥0.11 ¥-0.26 ¥-0.14 ¥-0.01 ¥0.44 ¥0.32 ¥0.76 ¥0.74 ¥0.99 ¥0.72 ¥-0.08 ¥0.28 ¥1.30 ¥1.40 ¥0.00 ¥0.00