2.52 (7.69%)

T-O: 0.0 (08:59:00)
Last updated: 17:00

Fundamental   6.3  
Technical   6.1  
Total Score   12.4  

 Insti+   SAT+   BTST+   MACD4+   Heikin Ashi+   Sector Trend+ 


iSaham Fundamental Trend

FCON: 0.57 | Sharpe Ratio: 0.3 | LTS: 6.41

Quarter Reports

Trailing Dividend

Financial Ratios

EPS 17.02 sen
Trailing PE (Sector Median: 24.4) 14.8
PEG 0.15
Altman Z 1.6
Beaver 0.418
Current Ratio 1.52
Debt-Equity (DE) Ratio 0.64
FCF Yield 8.03 %
Revenue QoQ 21.09 %
Revenue YoY 8.94 %
Profit QoQ 93.83 %
Profit YoY 902.84 %
All-Time Profit Margin (Sector Median: 4.1) 10.4 %
ROE (ROIC: 14.44) 17.62 %
Dividend Per Share (DPS) 6.9 sen
Dividend Yield (DY) 2.74 %

Fair Value

Weighted Average Fair Value: 2.79

Discounted Cash Flow (DCF) 5% Growth 1.63
Discounted Cash Flow (DCF) 10% Growth 2.15
Relative Valuation 2.96
Average Analysts FV based on 2 rating(s), +4.0% 2.62
Graham Formula 1.28
Graham Number 1.92
Net Tangible Asset (NTA) 0.97
Consistent QR FV N/APremium Access 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 7.19
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
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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) 61.55
Expected Revenue (M) 431.96
Expected Growth (%) 15.0

Directors Share Purchases (Beta)

No transaction in the last 2 months.



Market Cap: 486 M.

Number of Shares: 193 M.

Adjusted Float: 58.4%.

Stock highly correlated with



HLT (93%)

JCY (93%)

Manipulation Indicator: Hard to manipulate.

SCGM is principally engaged in investment holding. The principal activities of the subsidiary company are manufacturing and trading of plastic products. SCGM subsidiary Lee Soon Seng Plastic Industries Sdn Bhd, is involved in the manufacturing and trading of thermo-vacuum -formed plastic packaging and extrusion sheets.

Sectors: Industrial Products, Plastics, Packaging, Packaging Materials, Coronavirus, Industrial Products & Services

Code: 7247


Related Links: Bursa | Annual Report | Announcement

Top Shareholdings

Updated on 30-Jul-2020

Shareholder Value (M)
SCGM Lee Sdn Bhd 77.57
Dato' Sri Lee Hock Seng 45.03
Dato' Sri Lee Hock Guan 32.49
Dato' Sri Lee Hock Chai 32.49
Lee Hock Meng 30.05
Kumpulan Wang Persaraan (Diperbadankan) 20.05
PMB Shariah Growth Fund 8.73
Chai Siew Mooi 8.29
Chen Jia Yi 8.25
Public Islamic Opportunities Fund 5.42
Employees Provident Fund Board 4.39
Barclays Capital Securities Ltd 4.0
Etiqa Life Insurance Berhad 3.95
PB Islamic Smallcap Fund 3.66
J.P. Morgan Securities PLC 3.46
Teo Pui Meng 3.12
Etiqa Family Takaful Berhad 2.54
Beh Ah Bab 2.29
Goh Kong Wang 2.29
Public Emerging Opportunities Fund 1.76
Ng Gim Meng 1.71
Loh Hon Ann 1.61
Cheaw Yit Ming 1.56
Tokio Marine Life Insurance Malaysia Bhd 1.51
DBS Bank Ltd 1.51
Public Islamic Asean Growth Fund 1.46
Wong Kim Leng 1.41