Financial Information


Factsheet

Factsheet

Based on Closing Price on 22 September 2020

Closing Price RM 0.47
52-Week High2 RM 0.69
52-Week Low 2 RM 0.19
P/B Ratio 1,4
Current Price per Share / NAV
0.51

Fundamentals

2019 2018 2017
EPS
Profit / Issued Shares
-25.63 SEN -67.27 SEN 4.16 SEN
Historical NAV
(Total Assets - Total Liabilities) / Issued Shares
RM 0.93 RM 1.24 RM 1.96
Interest Coverage Ratio
Net Profit Before Interest & Income tax / Interest Expense
-2.25 -9.12 2.34

Growth

2019 2018 2017
Price / Revenue 3
Price per Share * Issued Shares / Revenue
1.15 0.80 1.47
Revenue Growth
(Current Revenue - Last Year Revenue) / Last Year Revenue
-4.94% -24.65% 22.57%
Profit Growth
(Current Profit - Last Year Profit) / Last Year Profit
-58.51% -1397.23% -66.27%

Profitability Ratio

2019 2018 2017
Profit Margin
Profit / Revenue
-55.33% -126.78% 7.36%
Return on Assets [ROA]
Profit / Total Assets
-9.98% -22.95% 1.44%
Return on Equity [ROE]
Profit / Total Equity
-33.40% -60.12% 2.92%

Activity Analysis Ratio

2019 2018 2017
Total Asset Turnover
Revenue / Total Asset
0.18 0.18 0.20

Liquidity Ratio

2019 2018 2017
Current Ratio
Total Current Assets / Total Current Liabilities
2.35 2.94 1.01

Capital Structure Ratio

2019 2018 2017
Debt Ratio
Total Liabilities / Total Assets
0.70 0.62 0.51
Debt To Equity
Total Liabilities / Total Equity
2.35 1.62 1.02
Gearing Ratio
Long Term Liability / Total Equity
1.73 1.34 0.90

Issued shares based on weighted averaged number of ordinary shares.

  1. based on latest full year report on 31 December 2019.
  2. based on unadjusted closing price data.
  3. based on closing price of the last trading day of the specified year.
  4. based on closing price - Tuesday, 22 September 2020.

Disclaimer:
Inaccuracies may sometimes arise in the provision of the financial numbers and calculations of the financial ratio. IRChartNexus Sdn. Bhd., its subsidiaries or partners accept no liability from any loss that may arise from the use of the financial data.
If you see any errors, please report here.