1.128 CD

- (-%)

Range - - -   (-%)
Open -
Previous Close 1.128
Buy Price 1.124
Buy Volume 60
Sell Price 1.127
Sell Volume 49
Volume -
Value -
Remark CD
Measurement Type Value
EPS (USD) -
Trailing EPS (USD) -
NAV (USD) -
Cash In Hand (USD) -
Dividend -
Dividend Yield (%) -
PE -
Trailing PE -
Price / NAV -
Price / Cash In Hand -
Issued & Paid-up Shares 17,900,000
Treasury Shares -
Market Cap (M) 18.33
Par Value (USD) n.a.
Beta - 75 Days 0.45
R-Squared - 75 Days(%) 18.66
Beta - 500 Days 0.367
R-Squared - 500 Days(%) 8.51
ISIN Code SG1DB9000009
Under CPF Investment Scheme (CPFIS) Yes
Index Components
Delayed prices. Updated at 14 Jun 2019 17:16.
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Dividend

Ex-Date: 26 Jun 2019
Record Date: 27 Jun 2019
Payable Date: 10 Jul 2019
Rate: USD 0.0325 /sec
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