0.625 CD

- (-%)
Range 0.620 - 0.635   (2.42%)
Open 0.625
Previous Close 0.625
Buy Price 0.625
Buy Volume 33.3
Sell Price 0.640
Sell Volume 11
Volume 1,045.3
Value 655,101
Remark CD
Measurement Type Value
EPS (GBP)
Trailing EPS (GBP)
NAV (GBP)
Cash In Hand (GBP)
Dividend
Dividend Yield (%) 8.4
PE -
Trailing PE -
Price / NAV 1.064
Price / Cash In Hand 16.929
Issued & Paid-up Shares 476,506,000
Treasury Shares -
Market Cap (M) 307.346
Par Value (GBP) n.a.
Beta - 75 Days 0.587
R-Squared - 75 Days(%) 17.85
Beta - 500 Days 0.317
R-Squared - 500 Days(%) 6.6
ISIN Code SGXC59097235
Under CPF Investment Scheme (CPFIS) No
Index Components
Delayed prices. Updated at 10 Aug 2022 17:16.
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Dividend

Ex-Date 15 Aug 2022
Record Date 16 Aug 2022
Payable Date 22 Sep 2022
Declared Rate: GBP 0.0256 per security/unit
Data powered by SGX.
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