ANEKA | ANEKA JARINGAN HOLDINGS BERHAD

0.195 (8.33%)

T-O (am): 0.000 (08:59:00)
Last updated: 16:38

Fundamental
Technical
Total Score

ANEKA | ANEKA JARINGAN HOLDINGS BERHAD

iSaham Fundamental Trend

FCON: | Sharpe Ratio: | LTS:


Quarter Reports

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Ann. Date Qtr. Date Q FYE Revenue [M] PBT [M] NP [M] NPM DPS EPS R. QoQ R. YoY E. QoQ E. YoY TTM
EPS
Adj.
[M]
NP [M]
(adj)
NPM
(adj)
EPS
(adj)
E. QoQ
(adj)
E. YoY
(adj)
TTM EPS
(adj)
23 Jan 24 Q1 Nov 23 1 31 Aug 24 58.78 1.53 1.27 2.2% 0.00 0.20 14.1% 11.2% 116.8% 129.1%
26 Oct 23 Q4 Aug 23 4 31 Aug 23 51.52 1.25 0.59 1.1% 0.00 0.09 24.9% 1.1% 115.9% 104.8%
27 Jul 23 Q3 May 23 3 31 Aug 23 41.25 -2.42 -3.71 -9.0% 0.00 -0.63 4.0% 10.1% 27.6% 53.3%
27 Apr 23 Q2 Feb 23 2 31 Aug 23 42.98 -4.18 -5.12 -11.9% 0.00 -0.87 18.7% 2.3% 16.7% 23.8%
19 Jan 23 Q1 Nov 22 1 31 Aug 23 52.84 -4.50 -4.39 -8.3% 0.00 -0.74 3.7% 26.9% 63.9% 22.2%
31 Oct 22 Q4 Aug 22 4 31 Aug 22 50.95 -10.09 -12.14 -23.8% 0.00 -2.05 36.0% 82.8% 52.9% 45.1%
28 Jul 22 Q3 May 22 3 31 Aug 22 37.48 -7.58 -7.94 -21.2% 0.00 -1.46 10.8% 4.2% 18.2% 79510.0%
28 Apr 22 Q2 Feb 22 2 31 Aug 22 42.01 -5.82 -6.72 -16.0% 0.00 -1.25 0.9% 43.2% 19.1% 584.1%
27 Jan 22 Q1 Nov 21 1 31 Aug 22 41.64 -5.32 -5.64 -13.6% 0.00 -1.05 49.4% 29.7% 74.5% 1116.4%
29 Oct 21 Q4 Aug 21 4 31 Aug 21 27.88 -24.45 -22.12 -79.3% 0.00 -4.26 22.5% 10.4% 221310.0% 1681.2%
25 Aug 21 Q3 May 21 3 31 Aug 21 35.97 0.41 0.01 0.0% 0.00 0.00 22.6% 99.3%
30 Apr 21 Q2 Feb 21 2 31 Aug 21 29.34 1.97 1.39 4.7% 0.00 0.28 8.6% 399.1%
29 Jan 21 Q1 Nov 20 1 31 Aug 21 32.11 0.54 -0.46 -1.4% 0.00 -0.10 3.2% 133.2%
28 Oct 20 Q4 Aug 20 4 31 Aug 20 31.12 1.12 1.40 4.5% 0.00 0.35

Historical Dividends

Financial Ratios

EPS -1.07 sen
Trailing PE (Sector Median: 19.1) 0.0
PEG 0.0
Altman Z 1.0
Beaver -0.039
Current Ratio 1.31
Debt-Equity (DE) Ratio 1.64
FCF Yield -4.87 %
Revenue QoQ 14.1 %
Revenue YoY 11.23%
Profit QoQ 116.84 %
Profit YoY 129.06 %
Profit Margin (Sector Median: 5.2) -3.58 %
ROE (ROIC: -6.52) -7.49 %
Dividend Per Share (DPS) 0.0 sen
Dividend Yield (DY) 0.0 %

Adjusted Financial Ratios

Ratios below have been recalculated after adjusting for One Off Gain/Loss detected from Quarterly reports

EPS
Trailing PE (Sector Median: 19.1)
Profit QoQ
Profit YoY
Profit Margin (Sector Median: 5.2)
ROE (ROIC: -5.86)
Altman Z

Fair Value

Weighted Average Fair Value:

Discounted Cash Flow (DCF) 5% Growth
Discounted Cash Flow (DCF) 10% Growth
Relative Valuation
Graham Formula
Graham Number
Net Tangible Asset (NTA) 0.13
Consistent QR FV
The Fair Value numbers are not, and must not be construed to be, any recommendation, offer or invitation to buy or sell any securities, futures contracts or any other instrument. The figures shown here should be taken as educational purposes only

Advanced Calculators

Calculate the fair value of the stock based on expected growth / risk, contract / award value, forecasted profit or forecasted revenue.

Forward PE FV Calculator
Latest Profit (adjusted) [M] -0.93
Expected Profit (Next QR) [M]
Expected Profit (After QR above) [M]
Expected Profit (After QR above) [M]
Estimated Fair Value
Growth/Risk Fair Value Calculator
Expected growth (%)
Estimated downside / risk (%)
Estimated New DCF Fair Value
Contract/Award Contribution Calculator
Contract/Award Value (in Million)
Estimated Contribution to Stock Price
Estimated New DCF Fair Value
Profit-Based Calculator
Expected Profit (M)
for Year
Estimated New DCF Fair Value
Revenue-Based Calculator
Expected Revenue (M)
for Year
Estimated New DCF Fair Value
Market Pricing
Expected Profit (M) 0
Expected Revenue (M) 0.0
Expected Growth (%) 0
The Fair Value calculated using this calculators are not, and must not be construed to be, any recommendation, offer or invitation to buy or sell any securities, futures contracts or any other instrument. The purpose of this tool is to help investor to quickly calculate their own expected Fair Value based on their own research

Directors Share Purchases (Beta)


No transaction in the last 2 months.

Summary


Market Cap: 127 M.

Number of Shares: 652 M.

Adjusted Float: 35.7%.

Stock highly correlated with

TEXCYCL (72%)

NYLEX (70%)

SMI (69%)

MPAY (68%)

Aneka Jaringan Holding Berhad, an investment holding is engaged in the foundation and basement construction. The company specialize in bored piling, which is used to support buildings as well as elevated highways and rail infrastructure. It is involved basement construction for underground car parks, construct retaining walls ; stabilising structures built to hold back the pressures of soil and/or water for basement walls as well as tunnels. The company also offers the rental of construction machinery and equipment. Aneka Jaringan Holding Berhad is based in Bukit Jalil, Kuala Lumpur

Sectors: Penny Stocks, Construction

Code: 0226

Website: http://anekajaringan.com

Related Links: Bursa | Annual Report | Announcement

Warrant Info:
Symbol Price Ex.Price Premium Expiry
ANEKA-WA 0.08 0.135 10.26% 20-Jun-2025

Top Shareholdings

Updated on 01-Dec-2022

Shareholder % Value (M)
Chong Ngit Sooi 16.82% 21.4
Loke Kien Tuck 16.82% 21.4
Pang Tse Fui 16.82% 21.4
Tan Hoon Thean 13.81% 17.57
Ong Choo Meng 4.39% 5.59
Chiau Haw Choon 3.76% 4.78
Tan Hwa Sing 1.79% 2.28
Yeoh Hock Seng 1.69% 2.15
Por Teong Eng 0.73% 0.93
Chiau Beng Teik 0.68% 0.86
Cheah Ham Cheia 0.51% 0.65
Khoo Keow Pin 0.5% 0.64
Lim Koon Chee 0.49% 0.62
Liew Hau Seng 0.37% 0.47
Chen Farn Keith 0.34% 0.43
Chong Kok Keong 0.34% 0.43
Selisa Synergy Sdn Bhd 0.34% 0.43
Sow Sian 0.34% 0.43
How Chee Keong 0.33% 0.41
Chuah Teong Peng 0.31% 0.4
Teh Eng Hai 0.28% 0.36
Chong Mee Sin 0.26% 0.33
Tong Bee Lan 0.25% 0.32
Tan Sow Chan 0.25% 0.32
Loong Ding Tong 0.25% 0.32
Terence Ngu Tai Loong 0.23% 0.3
Leong Ngak Keong 0.18% 0.23
This calculator uses Malacca Securities (M+) cash upfront rate (min RM 8 or 0.08%) for all brokerage fee calculation.
This calculator uses Malacca Securities (M+) cash upfront rate (min RM 8 or 0.08%) for all brokerage fee calculation.