SM Investments Corporation
PSE:SM
Php 866.00
Php-21.00 (-2.37%)
Php 866.00
Php-21.00 (-2.37%)
End-of-day quote: 05/15/2024

SM Investments financials at a glance

The revenue of SM Investments is reported as 571.30677 billion Pesos in the fiscal year 2023. The earnings were 63 Pesos per share in 2023, which was 22.5 higher than 2022. And about 126.80034 billion Pesos are reported as free cash flow in the financials of SM Investments 2023. Dividends of 10.33 Pesos per share were paid to shareholders of SM Investments stock PSE:SM in fiscal 2023.

Php571.31B
Revenue
Php63.00
Earnings Per Share
44.98%
Gross Margin %
Php122.19B
Free Cash Flow
Revenue
571,306.77
Earnings Per Share
63.00
Gross Margin %
44.98
Free Cash Flow
122,189.65

Financials

Year Year TTM 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue N/A Php571.31B Php517.95B Php401.29B Php394.19B Php501.65B Php449.80B Php396.15B Php362.83B Php295.88B Php275.72B Php253.29B Php223.88B Php200.28B Php179.30B Php160.05B Php147.50B Php122.50B Php68.40B
GM % Gross Margin % 44.03% 44.98% 42.14% 39.80% 38.15% 42.93% 42.25% 41.56% 40.31% 40.14% 39.99% 39.99% 40.56% 38.25% 37.61% 35.81% 35.63% 34.73% 37.85%
OM Operating Margin 22.62% 23.13% 21.23% 17.82% 14.68% 20.96% 19.26% 19.06% 18.40% 18.45% 18.13% 20.30% 20.94% 18.52% 18.05% 17.25% 14.70% 17.38% 18.08%
EPS Earnings Per Share Php61.10 Php63.00 Php51.43 Php31.96 Php20.11 Php39.65 Php30.78 Php27.33 Php25.90 Php23.79 Php23.77 Php23.23 Php19.99 Php18.47 Php16.09 Php13.96 Php12.22 Php9.23 Php9.05
Div. Dividends N/A Php10.33 Php8.97 Php4.25 Php4.25 Php9.12 Php8.20 Php7.77 Php10.63 Php7.07 Php6.89 Php6.89 Php6.29 Php5.55 Php4.82 Php3.15 Php3.15 Php2.89 Php2.40
PR % Payout Ratio % 0 16.40% 17.44% 13.30% 21.13% 23.00% 26.64% 28.43% 41.04% 29.72% 28.99% 29.66% 31.47% 30.05% 29.96% 22.56% 25.78% 31.31% 26.52%
Sha. Shares N/AM 1,222.02M 1,222.02M 1,204.58M 1,204.44M 1,204.44M 1,204.58M 1,204.58M 1,204.58M 1,204.44M 1,194.36M 1,194.26M 1,167.35M 1,146.27M 1,145.93M 1,145.5M 1,145.5M 1,145.5M 1,145.28M
OCF Operating Cash Flow N/A Php139.16B Php75.44B Php48.14B Php32.61B Php65.96B Php60.50B Php53.06B Php46.08B Php58.26B Php16.97B Php28.83B Php31.05B Php18.83B Php11.43B Php24.60B Php17.26B Php0.00M Php14.58B
FCF Free Cash Flow N/A Php122.19B Php66.14B Php-4,462.33M Php-5,281.55M Php21.61B Php26.49B Php22.19B Php14.07B Php6.84B Php12.45B Php23.70B Php25.71B Php14.04B Php7.03B Php21.73B Php15.51B Php0.00M Php4.82B
FCFS Free Cash Flow Per Share Php93.05 Php64.25 Php61.52 Php31.29 Php22.01 Php48.58 Php44.87 Php39.84 Php33.90 Php42.07 Php13.04 Php21.74 Php20.70 Php12.13 Php6.13 Php18.97 Php8.38 Php7.26 Php0.95