Thursday, July 25, 2013

SATS 1QFY13/14


Revenue                                    = $434.5m
Operating Profit                        = $40.7m
PATMI                                     = $46.3m
Underlying Profit From Ops     = $47.9M
Underlying Net Margin             = 11%
PATMI Margin                         = 10.6%
Debt-to-Equity                          = 0.09
EPS                                           = 4.1 cents
NAV                                         = $1.31
Cash & Cash Equiv                   = $490.7m
FCF                                           = $59m

Key costs are Staff Costs ($198m) and Raw Materials (87.8m)

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