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Dividend
Ex-Date
14 Sep 2022
Record Date
15 Sep 2022
Payable Date
29 Sep 2022
Rate: SGD 0.01 Per Security
Data powered by SGX.
Measurement Type | Value | |
---|---|---|
EPS (SGD) | 0.093 | |
Trailing EPS (SGD) | 0.093 | |
NAV (SGD) | 4.422 | |
Cash In Hand (SGD) | 0.56 | |
Dividend | 0.02 | |
Dividend Yield (%) | 1.529 | |
PE | 14.092 | |
Trailing PE | 14.092 | |
Price / NAV | 0.296 | |
Price / Cash In Hand | 2.338 | |
Issued & Paid-up Shares | 870,706,000 | |
Treasury Shares | 80,896,000 | |
Market Cap (M) | 1,140.625 | |
Par Value (SGD) | n.a. | |
Beta - 75 Days | 0.413 | |
R-Squared - 75 Days(%) | 9.19 | |
Beta - 500 Days | 0.639 | |
R-Squared - 500 Days(%) | 13.4 | |
ISIN Code | SG2B80958517 | |
Under CPF Investment Scheme (CPFIS) | Yes | |
Index Components | FTSE ST Small Cap / FTSE ST All-share / FTSE ST All-Share Consumer Discretionary Index |
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