Ruentex Engineering & Construction Co., Ltd.

Ruentex Engineering & Construction Co., Ltd.

2597.TW
Ruentex Engineering & Construction Co., Ltd.TW flagTaiwan Stock Exchange
167.00
TWD
- -
- -
43.24BMarket Cap
Ruentex Engineering & Construction Co., Ltd.
2597.TW
(Taiwan Stock Exchange)

Recent

price

167.00

P/E

ratio

- -

div

yld

- -

ROIC.AI

2010
2011
2012
2013
2014
2015
2016
2017
2018
2019
2020
2021
2022
2023
2024
2025
TTM
FRC
20.07
19.49
23.21
48.32
45.72
31.41
28.51
24.32
27.83
37.45
46.56
68.67
79.12
72.42
84.44
- -
94.97
Revenue per Share
0.94
0.68
0.94
3.7
3.64
2.23
1.95
1.11
2.13
2.19
3.25
5.93
6.63
6.12
8.93
- -
10.08
Basic EPS, GAAP
-2.03
0.48
1.04
4.62
2.29
1.92
4.42
0.08
2.67
0.5
1.3
3.49
2.83
5.49
13.8
- -
4.21
Free Cash Flow per Basic Share
1.99
0.83
0.61
0.83
3
3.26
2
1.74
1.02
2.09
1.96
2.82
5.36
5.95
3.21
- -
- -
Dividend per Share
5.4
4.84
5.58
8.34
7.99
6.6
6.33
5.5
6.67
6.54
7.6
11.94
12.64
12.17
17.33
- -
19.45
Book Value per Share
13.22
9.42
12.18
15.52
17.84
17.66
16.88
15.86
16.89
16.22
17.55
25.82
25.32
25.34
34.02
- -
32.99
Tangible Book Value per Share
305
311
311
311
311
311
311
311
311
311
311
311
311
311
311
- -
331
Basic Weighted Avg Shares
6,119
6,056
7,212
15,015
14,206
9,761
8,859
7,555
8,646
11,637
14,468
21,337
24,583
22,503
26,237
31,481
31,481
Sales/Revenue/Turnover
5.44
3.68
4.28
8.17
8.43
6.4
8.8
6.09
7.35
6.19
8
10.84
9.92
10.92
13.54
13.64
13.64
Operating Margin (%)
172
202
222
207
204
184
206
208
204
248
264
339
378
424
467
522
522
Depreciation Expense
286
210
292
1,148
1,131
694
607
344
661
680
1,010
1,842
2,061
1,902
2,774
3,340
3,340
Net Income, GAAP
22.61
17.58
15.77
14.15
9.35
12
15.32
17.47
15.02
16.95
18.68
19.76
19
18.79
18.99
18.31
18.31
Effective Tax Rate (%)
4.68
3.47
4.05
7.65
7.96
7.11
6.85
4.55
7.64
5.84
6.98
8.63
8.38
8.45
10.57
10.61
10.61
Profit Margin (%)
521
165
-240
-292
1,257
1,289
672
438
1,110
1,125
1,228
2,905
866
3,235
2,985
3,410
3,410
Working Capital
1,410
1,371
1,227
719
1,517
1,300
1,120
1,150
1,290
1,710
1,677
2,655
2,690
5,094
4,332
3,912
3,912
LT Debt
4,054
3,088
3,933
4,965
5,688
5,739
5,470
5,137
5,464
5,280
5,705
8,212
8,076
8,078
10,772
11,029
11,029
Total Equity
4.06
2.82
3.85
12.61
12.21
6.7
8.56
5.2
7.38
7.43
10.74
16.84
13.03
12.1
16.87
18.95
18.95
Return on Invested Capital (%)
7.19
5.41
6.58
18.49
14.77
10.27
9.21
5.19
11.42
10.58
13.99
23.06
17.13
13.94
19.45
20.76
20.76
Return on Capital (%)
16.29
13.33
18.05
53.09
44.56
30.62
30.24
18.72
34.97
33.13
45.99
60.71
53.97
49.36
60.53
56.46
56.46
Return on Common Equity (%)

Capital Structure

FRC

in mil. unless spec.
Jun'25
Sep'25
Dec'25
ST Debt
4,041
2,924
3,259
LT Borrowings
3,270
3,040
3,060
LT Finance Leases
873
869
852
Preferred Equity and Hybrid Capital
- -
- -
- -
Shares Outstanding
311
311
311
Market Capitalization
48,189
51,049
55,690

Working Capital

FRC

in mil. unless spec.
Jun'25
Sep'25
Dec'25
Total Current Assets
13,575
13,079
15,091
Cash, Cash Equivalents & STI
2,438
2,241
1,660
Accounts Receivable, Net
3,931
2,672
3,797
Inventories
753
784
852
Total Current Liabilities
11,941
10,708
11,681
Payables & Accruals
- -
- -
- -
ST Debt
4,041
2,924
3,259
Deferred Revenue
- -
- -
- -

Growth Rates

FRC

in mil. unless spec.

(avg. rate of change)

10 years
5 years
1 year
Total Equity
7.83%
15.61%
2.38%
Free Cash Flow
382.23%
65.67%
-67.48%
Net Income, GAAP
24.06%
30.56%
20.4%
Sales/Revenue/Turnover
14.02%
18.16%
19.99%
Total Cash Common Dividend
20.39%
39.77%
99.63%

Quarterly Revenue

FRC

in mil. unless spec.

Year

Q1
Q2
Q3
Q4
FY
2023
4,815
5,601
5,804
6,283
22,503
2024
5,357
6,780
6,881
7,218
26,237
2025
6,186
7,789
8,087
9,419
31,481

Quarterly Earnings Per Share

FRC

in mil. unless spec.

Year

Q1
Q2
Q3
Q4
FY
2023
0.75
1.17
1.95
- -
6.12
2024
1.27
1.69
2.31
- -
8.93
2025
1.77
2
3.08
- -
- -

Quarterly Dividends Per Share

FRC

in mil. unless spec.

Year

Q1
Q2
Q3
Q4
FY
2023
- -
- -
- -
- -
5.95
2024
- -
- -
- -
- -
3.21
2025
- -
- -
- -
- -
- -
Business
Ruentex Engineering & Construction Co., Ltd. (2597.TW) engages primarily in construction and civil engineering contracting in Taiwan. The company operates through Construction Business, Building Materials, and Interior Decoration Design divisions; it constructs residential buildings, office buildings, commercial buildings, public facilities, industrial plants, civil engineering projects, and hotels. Ruentex provides electrical and mechanical engineering, water supply engineering, refrigeration and air-conditioning engineering services; manufactures and sells precast concrete products such as beams, columns, floor slabs, and exterior walls; produces clay-based materials including wall primers, powder coatings, tile adhesives, self-leveling cements, and dry-mixed mortars; imports, distributes, and exports building materials and equipment; and offers interior decoration, garden greening design, construction planning, and consultancy for precast and civil engineering. Founded in 1975 and headquartered at No. 308, Sec. 2, Bade Road, Zhongshan District, Taipei, Taiwan, Ruentex serves domestic markets with approximately 1,010 employees and maintains subsidiaries like Ruentex Materials, in which it holds a 39.15% stake for cement and RT mix production. Recent developments include completion of 14 projects such as the Molie Quantum Energy Corporation Kaohsiung lithium battery plant in 2024, ongoing work on 26 projects including TransGlobe Life Insurance's new headquarters, strategic expansion into high-tech smart construction sectors through partnerships with Company T and Company N for virtual and automation markets, and enhanced focus on technology plant and precast projects amid AI-related demand growth.