The Annual Report 2021 (Unofficial Translation)

       In the Fiscal Year 2021, PPWSA generated revenues amounting to KHR 369,145,257,000 increased by KHR 44,777,401,000 or 13.80% year on year and profit for the financial period amounting to KHR 129,273,917,000 increased by KHR 40,922,072,000 or 46.32% year on year. As at 31 December 2021, PPWSA has total assets of KHR 2,306,806,174,000 increased by KHR 442,188,034,000 or 23.71% and total equity of KHR 1,166,628,213,000 increased by KHR 184,575,556,000 or 18.79%.

The significant financial ratios in FY 2021:

1. Liquidity ratios:
1.1 Current ratio: 1.65 times
1.2 Quick ratio: 1.11 times
2. Profitability ratios:
2.1 Return on assets:6.20 %
2.2 Return on equity:12.03 %
2.3 Gross profit margin: 42.56 %
2.4 Profit margin:35.02 %
2.5 Earnings per share:KHR 1,486.37
3. Interest coverage ratio: 32.76 times

In the year 2022, PPWSA plans to produce 228,735,614m3 of clean water, expand 280,000m of additional distribution network, and generate total revenues of KHR 332,034,002,000 with total expenses of KHR 216,150,353,000 as approved by the Board of Director and the two parent ministries.

Please read full the annual report of 2021 by downloading as below:
PPWSA_Annual Report 2021 (Khmer Version)
PPWSA_Annual Report 2021 (English Version)

















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