Chememan Human Chemical

“The group of companies aims at achieving lime capacity of more than 2,000,000 tons per year by 2025 to become a world-class leader in lime industry by conducting business with good governance that provides sustainability for all concerned parties.”

2,000,000
tons
per year by 2025
1Q2024 Key Financial Metrics
27.9%
Return on Equity
52 MB
Capital Expenditures
3,223 MB
Proportional Adjusted Net Debt
207 MB
Adjusted Free Cash Flow
1.5x
Total Liabilities to Equity
1.3x
Interest Bearing Debt to Equity

Note:

Return on Equity = Net incomeattributable to holders of company (annualized)/Equity attributable to owners of company (average)
Capital Expenditures = Cash outflow for capital expenditures
Proportional Adjusted Net Debt = Net debt + Employee benefit
Adjusted Free Cash Flow = Free cash flow + contributions from JV – distributions to JV
Total Liabilities to Equity = Total liabilities / Equity attributable to owners of company
Interest Bearing Debt to Equity = Total interest-bearing debt / Equity attributable to owners of company

Revenues
(Million Baht)
Net Income and Earnings per share attributable to CMAN
2022 2023 1Q2023 4Q2023 1Q2024
Statement of Comprehensive Income
Revenues (million baht) 3,660 3,505 1,063 817 1,044
Net income (loss) attributable to CMAN (million baht) 152 136 92 -29 173
Earnings (loss) per share attributable to CMAN (baht per share) 0.16 0.14 0.10 -0.03 0.18
Adjusted net income (loss) attributable to CMAN (*) (million baht) 172 220 72 -20 147
Adjusted earnings (loss) per share (*) (baht per share) 0.18 0.23 0.07 -0.02 0.15
Adjusted EBITDA excluding special items (*) (million baht) 745 820 233 127 307
2022 2023 1Q2023 4Q2023 1Q2024
Statement of Financial Position
Current Assets (million baht) 1,244 1,121 1,208 1,121 1,206
Total Assets (million baht) 6,768 6,395 6,676 6,395 6,515
Current Liabilities (million baht) 2,057 2,039 2,043 2,039 2,049
Total Liabilities (million baht) 4,416 3,975 4,243 3,975 3,871
Shareholders' Equity (million baht) 2,352 2,420 2,433 2,420 2,644
Financial Ratios
Current Ratio (times) 0.60 0.55 0.59 0.55 0.59
D/E Ratio (times) 1.94 1.68 1.80 1.68 1.50
Net Profit Margin (%) 3.92% 3.81% 8.53% -3.50% 15.79%
Return on Asset (%) 2.20% 2.07% 5.42% -1.82% 10.47%
Return on Equity (%) 6.80% 5.87% 15.93% -5.03% 27.94

Calculations:

(*) Excludes all significant non-cash items, such as unrealized foreign exchange gains/losses from translation adjustments and mark-to-market gains/losses from forward contracts

Net Profit Margin = Net Income(loss) attributable to CMAN(Annualized)/Total Revenues (Revenues from sales volumes, services and other revenues)

Return on Asset = Net Income(loss) attributable to CMAN(Annualized)/Average Total assets

Return on Equity = Net Income(loss) attributable to CMAN(Annualized)/Average Shareholders' equity

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