Tai-Saw Technology 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
NT$767.29M NT$915.59M NT$1.38B NT$1.27B NT$1.51B NT$1.40B NT$1.96B NT$1.88B NT$1.70B NT$1.63B NT$1.75B NT$1.75B NT$1.94B NT$1.84B NT$1.85B NT$2.03B NT$2.14B NT$2.93B NT$3.36B NT$2.13B NT$0.00M
GM % Gross Margin %
27.85% 29.28% 34.40% 30.15% 22.90% 16.10% 17.94% 8.02% 9.68% 16.72% 19.10% 18.59% 17.90% 18.69% 19.56% 17.42% 15.46% 24.71% 27.64% 24.80% 0.00%
OM Operating Margin
14.98% 16.85% 23.40% 17.33% 10.58% 3.08% 6.82% -3.44% -2.41% 4.30% 5.90% 5.14% 4.39% 4.61% 3.87% 2.92% 0.60% 7.82% 14.25% 0.57% 0.00%
EPS Earnings Per Share
NT$1.37 NT$-0.58 NT$-0.07 NT$1.12 NT$1.55 NT$1.23 NT$1.19 NT$0.36 NT$0.33 NT$-0.34 NT$3.18 NT$-0.13 NT$0.00
Div. Dividends
NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00 NT$0.00
PR % Payout Ratio %
0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Sha. Shares
59.1m 60.22m 60.22m 69.03m 73.02m 73.31m 85.09m 84.84m 83.89m 85.04m 85.4m 86.14m 87.35m 96.37m 100.62m 101.18m 103.11m 102.87m 102.86m 0m 103.98m
OCF Operating Cash Flow
NT$137.06M NT$0.00M NT$339.59M NT$311.49M NT$98.18M NT$317.51M NT$42.04M NT$223.70M NT$374.36M NT$208.18M NT$214.09M NT$253.54M NT$124.47M NT$314.55M NT$82.19M NT$302.04M NT$114.84M NT$296.71M NT$689.76M NT$200.46M NT$0.00M
FCF Free Cash Flow
NT$33.28M NT$0.00M NT$76.70M NT$172.50M NT$-184.20M NT$199.94M NT$-192.88M NT$23.38M NT$304.66M NT$145.75M NT$122.67M NT$189.59M NT$-134.77M NT$237.13M NT$-172.60M NT$249.65M NT$35.74M NT$94.88M NT$626.85M NT$168.00M NT$0.00M
FCFS Free Cash Flow Per Share
NT$0.56 NT$0.00 NT$1.10 NT$2.38 NT$-2.53 NT$2.62 NT$-3.10 NT$0.25 NT$3.63 NT$1.72 NT$1.44 NT$2.21 NT$-1.59 NT$2.45 NT$-1.78 NT$2.47 NT$0.35 NT$0.91 NT$6.02 NT$0.70 NT$0.00