0.630 CD

-0.005 (-0.79%)
Range 0.620 - 0.635   (2.42%)
Open 0.635
Previous Close 0.635
Buy Price 0.625
Buy Volume 999.8
Sell Price 0.630
Sell Volume 18.6
Volume 1,501.1
Value 943,476
Remark CD
Measurement Type Value
EPU (SGD) -
Trailing EPU (SGD) -
Distribution (SGD) -
Distribution Yield (%) -
Issued & Paid-up Units 1,171,795,000
NAV (SGD) 0.816
Cash In Hand (SGD) 0.067
PE -
Trailing PE -
Price / NAV 0.778
Price / Cash In Hand 9.506
Treasury Shares -
Market Cap (M) 744.09
Par Value (SGD) n.a.
Beta - 75 Days 1.01
R-Squared - 75 Days(%) 30.19
Beta - 500 Days 1.028
R-Squared - 500 Days(%) 29.93
ISIN Code SGXC61949712
Under CPF Investment Scheme (CPFIS) No
Index Components
Delayed prices. Updated at 13 Aug 2020 11:33.
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Upcoming Events

Dividend

Ex-Date 18 Aug 2020
Record Date 19 Aug 2020
Payable Date 15 Sep 2020
Rate: SGD 0.00938 Per Security

Dividend

Ex-Date 18 Aug 2020
Record Date 19 Aug 2020
Payable Date 15 Sep 2020
Rate: SGD 0.00286 Per Security

Dividend

Ex-Date 18 Aug 2020
Record Date 19 Aug 2020
Payable Date 15 Sep 2020
Rate: SGD 0.00534 Per Security
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