₦321.50
₦0.00 (0.00%)
End-of-day quote: 05/17/2024
NGSE:TOTAL

TotalEnergies Marketing Nigeria Plc Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2010
Rev. Revenue
₦635.95B ₦482.47B ₦341.32B ₦204.72B ₦292.18B ₦307.99B ₦288.06B ₦290.95B ₦208.03B ₦240.62B ₦238.16B ₦217.84B ₦160.60B
GM % Gross Margin %
13.29% 12.14% 16.11% 15.02% 12.00% 11.29% 10.17% 16.88% 11.90% 11.60% 12.12% 11.50% 13.09%
OM Operating Margin
5.57% 5.69% 6.95% 1.69% 2.32% 3.23% 3.31% 10.29% 2.98% 3.71% 3.61% 3.87% 3.74%
EPS Earnings Per Share
₦0.00 ₦38.09 ₦48.40 ₦49.26 ₦6.61 ₦7.13 ₦23.45 ₦23.62 ₦43.58 ₦11.92 ₦13.03 ₦15.71 ₦13.76 ₦11.70
Div. Dividends
₦25.00 ₦25.00 ₦4.00 ₦6.08 ₦0.00 ₦17.00 ₦17.00 ₦17.00 ₦11.00 ₦11.00 ₦11.00 ₦11.00 ₦8.00
PR % Payout Ratio %
65.63% 51.65% 8.12% 91.98% 0.00% 72.49% 71.97% 39.01% 92.28% 84.42% 70.02% 79.94% 68.38%
Sha. Shares
339.52m 339.52m 339.52m 339.52m 339.52m 339.52m 339.52m 339.52m 339.52m 339.52m 339.52m 339.52m 339.52m
OCF Operating Cash Flow
₦-73.24M ₦1.66B ₦61.00B ₦44.60B ₦15.11B ₦-3538.96M ₦9.58B ₦17.06B ₦10.65B ₦15.61B ₦12.60B ₦-8428.60M ₦6.11B
FCF Free Cash Flow
₦31.53B ₦-8681.89M ₦52.16B ₦38.75B ₦8.13B ₦-13266.98M ₦2.49B ₦11.67B ₦6.44B ₦11.64B ₦9.04B ₦-13067.08M ₦2.15B
FCFS Free Cash Flow Per Share
₦-21.67 ₦-20.38 ₦154.68 ₦113.71 ₦23.94 ₦-39.29 ₦7.26 ₦34.35 ₦18.89 ₦34.13 ₦23.49 ₦-38.52 ₦6.34