0.360 CD

- (-%)

Range 0.360 - 0.360   (-%)
Open 0.360
Previous Close 0.360
Buy Price 0.360
Buy Volume 53.5
Sell Price 0.370
Sell Volume 0.1
Volume 26.2
Value 9,432
Remark CD
Measurement Type Value
EPS (SGD) 0.061
Trailing EPS (SGD) 0.069
NAV (SGD) 0.686
Cash In Hand (SGD) 0.334
Dividend 0.018
Dividend Yield (%) 5.0
PE 5.882
Trailing PE 5.197
Price / NAV 0.525
Price / Cash In Hand 1.079
Issued & Paid-up Shares 380,486,000
Treasury Shares 4,543,000
Market Cap (M) 136.975
Par Value (SGD) n.a.
Beta - 75 Days 0.123
R-Squared - 75 Days(%) 0.54
Beta - 500 Days 0.287
R-Squared - 500 Days(%) 2.48
ISIN Code SG1E20001293
Under CPF Investment Scheme (CPFIS) Yes
Index Components FTSE ST Industrials
Delayed prices. Updated at 25 Feb 2020 17:15.
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Dividend

Ex-Date: 27 Feb 2020
Record Date: 28 Feb 2020
Payable Date: 12 Mar 2020
Rate: SGD 0.003 Per Security
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About Lum Chang

Lum Chang Holdings Limited is engaged in the holding of investments. The Company is engaged in the provision of management services. It operates through three segments: Construction, Property development and investment, and Investment holding and other. The Construction segment is engaged in the construction of buildings and building extensions, additions and alterations, refurbishment and restoration of buildings. The Property development and investment segment develops property for sale and/or holds properties for its own investment purposes. It includes a range of deluxe homes, condominiums and commercial properties in Singapore, Malaysia and the United Kingdom. The Investment holding and other segment is engaged in the holding of investments and provision of management services to the subsidiary companies. Its portfolio includes a local condominium, over two residential estates in Kuala Lumpur, Malaysia, and over three commercial properties in London, the United Kingdom.

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