0.200 CD

+0.017 (+9.29%)
Range 0.191 - 0.200   (4.71%)
Open 0.191
Previous Close 0.183
Buy Price 0.192
Buy Volume 20
Sell Price 0.200
Sell Volume 133.5
Volume 36.5
Value 7,129
Remark CD
Measurement Type Value
EPS (SGD) 0.012
Trailing EPS (SGD) 0.012
NAV (SGD) 0.066
Cash In Hand (SGD) 0.031
Dividend -
Dividend Yield (%) 0.002
PE 15.749
Trailing PE 15.749
Price / NAV 2.79
Price / Cash In Hand 5.961
Issued & Paid-up Shares 161,623,000
Treasury Shares -
Market Cap (M) 29.577
Par Value (SGD) n.a.
Beta - 75 Days -0.162
R-Squared - 75 Days(%) 0.15
Beta - 500 Days -0.182
R-Squared - 500 Days(%) 0.12
ISIN Code SGXE51400773
Under CPF Investment Scheme (CPFIS) No
Index Components
Delayed prices. Updated at 01 Oct 2020 17:16.
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Dividend

Ex-Date 27 Oct 2020
Record Date 28 Oct 2020
Payable Date 10 Nov 2020
Rate: SGD 0.007 Per Security
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