SMI

Management

Chairman and CEO

TOUMI Imad

Financial Manager

ZINE Nawal

Main shareholders

04/05/2023

MANAGEM80,26 %
DIVERS ACTIONNAIRES 14,71 %
CIMR5,03 %
Total100,00 %

Key indicators

Company information

Company name SMI
Corporate address 191. Twin Center. Tour A BP: 16016 Casablanca
External auditorsDeloitte Audit et Price Waterhouse
Date of creation12/06/1969
Date of IPO18/06/1997
Length of fiscal year12
Social object
Studies. extraction. operations and marketing of all types of mineral related or not to silver.

Key figures (1)

2023

2022

2021

Consolidated accountsNoYesNo
Share capital164 509 000,00164 509 000,00164 509 000,00
Equity1 339 609 303,171 171 153 718,841 135 967 027,83
Number of titles(2)1 645 0901 645 0901 645 090
Sales figures1 065 943 396,96798 391 526,94689 215 469,17
Operating result235 322 765,9733 435 662,57-67 660 232,15
Net income (4)168 455 584,3335 186 691,01-66 533 913,61

At the end of the financial year.

All lines of action combined.

(3) Equity of the consolidated group for companies publishing consolidated accounts

Net income Group share for companies publishing consolidated accounts.

Ratio

Ratios202320222021
BPA102,4021,39-40,44
ROE (in %)12,573,00-5,86
Payout (in %)---
Dividend yield (in %)---
PER12,9271,06-
PBR1,622,142,17

Investor Relations - Contacts

Contacts

Meryem TAZI, Hassan EL HANIMI, Mouna MAHFOUD

Phone

(212) 0522 95 65 65 / 05 22 95 65 19 / 05 22 95 65 51 / 05 22 95 65 73

Fax

(212) 05 22 95 64 97 / 05 22 95 65 52 / 05 22 95 64 51/ 0522 95 65 67

Corporate Website

www.managemgroup.com

Financial operation

Capital increase

Date

Capital after operation

Type of operation

Securities variation

Nominal value

Nominal value

Effective date

Fiscal period

EGM decision

Ratification authority

No results found

Dividend

Year

Dividend amount

Dividend type

Ex-date

Payment date

2020

50,00

Ordinary

22/06/2021

01/07/2021

2017

87,00

Ordinary

21/06/2018

02/07/2018

2016

150,00

Ordinary

06/07/2017

17/07/2017

2015

220,00

Ordinary

22/06/2016

01/07/2016

2014

200,00

Ordinary

22/06/2015

01/07/2015

2013

170,00

Ordinary

20/06/2014

01/07/2014

2012

120,00

Ordinary

20/06/2013

01/07/2013

2011

100,00

Ordinary

20/06/2012

29/06/2012

Bond issue

Ticker

Name or title

Bond type

nominal value

Rate

Eligibility date

Maturity date

Type of amortization

Amount issued

Remaining Capital

No results found

Date

Declarant

Quantity

Price

Treshold crossed in %

Direction

Intention of the declarant

31/12/2014

CIMR

1 050

3 100,00

5,00

Rise

Continu its purchases of the security

25/04/2008

AXA ASSURANCES MAROC

85 402

610,00

5,00

Decrease

-

The instruments of the issuer

Ticker

Instrument

SMI

SMI

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