Slide 1

Investor Relations

นักลงทุนสัมพันธ์

Financial Ratio


Financial Ratio Samart Telcoms Pcl. and Subsidiaries
  2021 2022 2023
LIQUIDITY RATIO
Current ratio (times) 1.41 1.49 1.52
Acid test ratio (times) 0.51 0.48 0.79
Cash turnover (times) 0.06 0.31 0.21
Receivable turnover ratio (times) 3.43 3.75 2.64
Average collection period (times) 105 96 137
Inventory turnover ratio (times) 21.14 36.83 30.99
Days sales outstanding (Days) 17 10 12
Payable turnover ratio (times) 8.18 8.31 7.2
Payment period (times) 44 43 50
Cash Cycle (Days) 78 63 99
PROFITABILITY RATIO
Gross profit margin (%) 12.63 12.77 13.39
Net profit margin (%) 1.32 4.95 1.56
Return on equity (%) 1.82 7.45 2.01
EFFICIENCY RATIO
Return on assets (%) 0.87 3.57 0.95
Return on fixed assets(1) (%) 37.57 48.88 37.17
Asset turnover (times) 0.66 0.72 0.61
FINANCIAL POLICY RATIO
Debt to equity (times) 1.12 1.10 1.16
Interest coverage (times) 2.49 6.02 2.23
Debt serviceability (times) 0.35 1.87 1.80
Dividend payout ratio (%) 31.27(2) 87.93(2) 51.73(3)
  1. Including the rights to use communications equipment.
  2. % of separate company net profit after deduction of all reserves complied with the company’s Articles of Association and related laws.
  3. % of consolidated net profit after deduction of all reserves complied with the Company’s Articles of Association and related laws (the Board of Directors No. 4/2023 on August 10, 2023 had resolved to approve to change the dividend policy from paying dividends not less than 50% of separate company net profit to paying dividends not less than 50% of consolidated net profit).