0.990 CD

-0.030 (-2.94%)
Range 0.990 - 1.010   (2.02%)
Open 1.010
Previous Close 1.020
Buy Price 0.990
Buy Volume 38.2
Sell Price 1.000
Sell Volume 0.3
Volume 18
Value 18,041
Remark CD
Measurement Type Value
EPS (SGD) 0.475
Trailing EPS (SGD) 0.475
NAV (SGD) 2.577
Cash In Hand (SGD) 0.805
Dividend 0.095
Dividend Yield (%) 9.314
PE 2.146
Trailing PE 2.146
Price / NAV 0.396
Price / Cash In Hand 1.267
Issued & Paid-up Shares 78,600,000
Treasury Shares -
Market Cap (M) 80.172
Par Value (SGD) 0.16
Beta - 75 Days 0.495
R-Squared - 75 Days(%) 5.84
Beta - 500 Days 0.844
R-Squared - 500 Days(%) 5.93
ISIN Code SG1DG7000000
Under CPF Investment Scheme (CPFIS) Yes
Index Components FTSE ST Fledgling
Delayed prices. Updated at 20 Mar 2023 17:04.
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Upcoming Events

Dividend

Ex-Date 17 May 2023
Record Date 18 May 2023
Payable Date 31 May 2023
Rate: SGD 0.05 Per Security

Dividend

Ex-Date 17 May 2023
Record Date 18 May 2023
Payable Date 31 May 2023
Rate: SGD 0.03 Per Security
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