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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) |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
26 Aug 24 | Q2 Jun 24 | 2 | 31 Dec 24 | 19.41 | -2.64 | 1.64 | 8.5% | 0.00 | 0.53 | 19.0% | 34.3% | ||||||||||
23 May 24 | Q1 Mar 24 | 1 | 31 Dec 24 | 23.96 | 3.27 | 2.50 | 10.4% | 0.00 | 0.93 |
EPS | 2.31 sen |
Trailing PE (Sector Median: 16.3) | 11.2 |
PEG | 11.2 |
Altman Z | 1.7 |
Beaver | -0.004 |
Current Ratio | 2.49 |
Debt-Equity (DE) Ratio | 0.9 |
FCF Yield | -0.99 % |
Revenue QoQ | -18.97 % |
Revenue YoY | 0% |
Profit QoQ | -34.32 % |
Profit YoY | 0 % |
Profit Margin (Sector Median: 4.8) | 9.39 % |
ROE (ROIC: 8.29) | 12.79 % |
Dividend Per Share (DPS) | 0.0 sen |
Dividend Yield (DY) | 0.0 % |
Ratios below have been recalculated after adjusting for One Off Gain/Loss detected from Quarterly reports
EPS | |
Trailing PE (Sector Median: 16.3) | |
Profit QoQ | |
Profit YoY | |
Profit Margin (Sector Median: 4.8) | |
ROE (ROIC: 8.29) | |
Altman Z |
Discounted Cash Flow (DCF) 5% Growth | |
Discounted Cash Flow (DCF) 10% Growth | |
Relative Valuation | |
Average Analysts FV based on 3 rating(s) |
Graham Formula | |
Graham Number | |
Net Tangible Asset (NTA) | 0.29 | Consistent QR FV |
Forward PE FV Calculator | |
Latest Profit (adjusted) [M] | 1.64 |
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 |
Expected Growth (%) | 0 |
No transaction in the last 2 months.
Market Cap: 96 M.
Number of Shares: 369 M.
Adjusted Float: 0%.
Smart Asia is an investment holding company. Through its subsidiaries, Smart Asia Group principally involved in the development, manufacturing, distribution and sale of decorative paints and protective coatings for household and industrial applications. In addition, the Group also involved in the development, manufacturing, distribution and sale of related products, namely colourants, and binding and coating chemicals; sale and trading of painting tools and accessories, aerosol spray paints and other related products to complement its decorative paints and protective coatings offerings. Smart Asia Group also provide original design manufacturers services of decorative paints, protective coatings as well as binding and coating chemicals for third party brand owners.
Sectors: Industrial Products & Services, Building Materials, Penny Stocks
Code: 0306
Website: http://www.smart-paints.com/
Related Links: Bursa | Annual Report | Announcement
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