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Return

CapLand IntCom T

C38U

1.96

+ 0.03

GroupUnit Trust
CashSingapore Dollar

 

TRADING INFO


Open
1.94
Buy
1.95
Sell
1.96
High
1.96
Low
1.92
Previous Close
1.96
Volume(K)
63301.9
Buy Volume(K)
1756.2
Sell Volume(K)
15339.4

KEY STOCK INFOUpdated: 31 Oct 2024


PE Ratio (FY)
NA
Dividend Yield % (FY)
-
Price to Book Ratio
-
Market Cap ($million)
-
Enterprise Value ($million)
8359.731
52 Weeks High
2.2
52 Weeks Low
1.82
RSI
29.66 ( Oversold )
Williams %R
-85.71 ( Oversold )

 

COMPANY INFORMATION Updated: 23 Nov 2024 Financial Info by


SIC
REAL ESTATE INVESTMENT TRUSTS
Address
HSBC INSTITUTIONAL TRUST SERVICES (SINGAPORE) LIMITED 10 MARINA BOULEVARD MARINA BAY FINANCIAL CENTRE TOWER 2 #48-01 SINGAPORE 018983
Phone
(65)
Fax
(65)
Profile
The principal activity of the Trust is to invest in shopping centres with the primary objective of achieving an attractive level of return from rental income and long-term capital growth.
AUDITOR
KPMG LLP

 

FINANICALS INFORMATION All values in $millions


Financial Year
2022-12-31
2022-12-31
2023-12-31
Currency
SGD
SGD
SGD
KEY RATIOS
FY 2022
FY 2022
FY 2023

Operating Margin(%)
67.448
67.448
77.016
Return on Equity Capital(%)
5.172
5.172
6.015
Net Profit Margin(%)
50.173
50.173
55.295
Current Ratio
0.205
0.205
0.134
Debt to Capital at Book
0.39
0.39
0.384
INCOME STATEMENT
FY 2022
FY 2022
FY 2023

EBITDA
1088.06
1081.383
1217.078
EBIT
1083.891
1134.471
1212.349
Net Profit
723.369
723.369
862.57
Ordinary Dividend
-702.4
-346.063
-715.7
BALANCE SHEET
FY 2022
FY 2022
FY 2023

Intangibles
0.0
0.0
0.0
Fixed Assets
5.311
5.311
4.948
Long Term Investments
542.187
542.187
348.581
Stock/Inventories
0.0
0.0
0.0
Cash
248.396
248.396
140.7
Current Liabilities
1605.157
1605.157
1453.751
Long Term Debt
8430.216
8430.216
8476.374
Provisions
0.0
0.0
0.0
Minorities
0.0
0.0
0.0
Total Shareholder Equity
14279.393
14279.393
14401.72
PER SHARE INFO
FY 2022
FY 2022
FY 2023

EBITDA per share
-
-
-
EBIT per share
-
-
-
Profit Per Share
-
-
-
Book Value Per Share
-
-
-

 

 


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