PCSFF Dividend: PS Construction Co Ltd Yield Insights
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PCSFF
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PS Construction Co Ltd
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Ask AI About PCSFF
Income
Balance sheet
Cash flow
Annual
Quarterly
PCSFF Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
03/31/2025
03/31/2024
03/31/2023
03/31/2022
03/31/2021
Revenue
138,081
135,627
129,294
109,327
109,639
117,219
Revenue Growth (YoY)
4%
5%
18%
0%
-6%
11%
Cost of Revenue
114,845
112,594
110,506
93,799
93,873
99,586
Gross Profit
23,236
23,033
18,788
15,528
15,766
17,633
Selling, General & Admin
10,994
10,698
10,940
9,792
9,129
9,217
Research & Development
--
--
--
--
--
--
Operating Expenses
10,995
10,718
10,961
9,813
9,148
9,237
Other Non Operating Income (Expenses)
-12
17
11
-35
-42
68
Pretax Income
12,127
12,200
7,595
5,609
6,640
8,227
Income Tax Expense
4,056
3,982
2,540
1,819
2,100
2,635
Net Income
8,071
8,217
5,054
3,790
4,539
5,592
Net Income Growth
37%
63%
33%
-17%
-19%
74%
Shares Outstanding (Diluted)
46.75
46.71
46.56
46.55
46.67
46.53
Shares Change (YoY)
0%
0%
0%
0%
0%
0%
EPS (Diluted)
172.62
175.89
108.53
81.4
97.25
120.17
EPS Growth
37%
62%
33%
-16%
-19%
74%
Free Cash Flow
--
14,948
13,834
-18,312
1,314
-4,407
Free Cash Flow Per Share
--
319.98
297.09
-393.32
28.15
-94.71
Gross Margin
16.82%
16.98%
14.53%
14.2%
14.37%
15.04%
Operating Margin
8.86%
9.08%
6.05%
5.22%
6.03%
7.16%
Profit Margin
5.84%
6.05%
3.9%
3.46%
4.13%
4.77%
Free Cash Flow Margin
--
11.02%
10.69%
-16.74%
1.19%
-3.75%
EBITDA
--
13,463
8,959
6,746
7,431
9,156
EBITDA Margin
--
9.92%
6.92%
6.17%
6.77%
7.81%
D&A For EBITDA
--
1,148
1,132
1,031
813
760
EBIT
12,241
12,315
7,827
5,715
6,618
8,396
EBIT Margin
8.86%
9.08%
6.05%
5.22%
6.03%
7.16%
Effective Tax Rate
33.44%
32.63%
33.44%
32.43%
31.62%
32.02%
Follow-Up Questions
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