Canadian General Medical Center Complex Company

TADAWUL:9518.SR

6.8 (SAR) • At close May 29, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) SAR.

202420232022202120202019
Revenue 110.803100.34281.22970.64364.21653.558
Cost of Revenue 83.78668.80256.25745.4540.18932.555
Gross Profit 27.01631.54124.97225.19324.02721.003
Gross Profit Ratio 0.2440.3140.3070.3570.3740.392
Reseach & Development Expenses 000000
General & Administrative Expenses 01.7661.7322.7951.4140
Selling & Marketing Expenses 00.8380000
SG&A 15.3512.6041.7322.7951.4144.705
Other Expenses 013.045.9836.0965.4520
Operating Expenses 15.35115.6447.7158.8926.8654.705
Operating Income 11.66515.89617.25716.30117.16116.298
Operating Income Ratio 0.1050.1580.2120.2310.2670.304
Total Other Income Expenses Net 1.2291.9660.7150.228-0.45-1.021
Income Before Tax 12.89417.86217.97216.52916.71115.277
Income Before Tax Ratio 0.1160.1780.2210.2340.260.285
Income Tax Expense 2.6252.1522.3182.4650.5580.404
Net Income 10.26915.7115.65414.06316.15314.874
Net Income Ratio 0.0930.1570.1930.1990.2520.278
EPS 0.130.20.20.180.21148.74
EPS Diluted 0.130.20.20.180.21148.74
EBITDA 17.43719.92321.67919.88520.1817.6
EBITDA Ratio 0.1570.1990.2670.2810.3140.329