LAST 5 YEARS ANNUAL RESULTS
2021
2020
2019
2018
2017
5-year trend
Net Income before Extraordinaries
INCOME STATEMENT
Sales/Revenue
4,157
4,529
0,407
9,928
9,330
Gross Income
155
(101)
2,495
2,662
2,195
SG&A Expense
711
706
972
852
962
EBIT
(556)
(805)
1,522
1,811
-
Interest Expense
382
332
332
156
115
Pretax Income
(964)
(1,852)
1,521
(4)
1,320
CASH FLOW STATEMENT
(1,148)
(2,138)
1,489
(4)
1,320
Funds from Operations
68
(337)
2,161
2,465
1,997
Net Operating Cash Flow
35
(850)
2,208
2,488
2,062
Capital Expenditures
(876)
(1,079)
(2,521)
(1,854)
(2,659)
Free Cash Flow
(830)
(1,920)
(310)
634
(597)
Free Cash Flow Yield -8.05%
Cash Dividends Paid - Total
(480)
(1,130)
(1,074)
(1,075)
(991)
Net Financing Cash Flow
2,747
(1,778)
(988)
1,502
1,679
BALANCE SHEET
4,641
2,845
7,306
8,508
6,196
ST Debt & Current Portion LT Debt
490
463
1,615
478
384
Long-Term Debt
13,297
9,775
9,263
9,283
6,591
Total Current Assets
5,526
3,965
8,063
9,339
7,059
Total Current Liabilities
3,046
2,978
4,727
3,383
3,253
Current Ratio
1.81
1.33
1.71
2.76
2.17
Quick Ratio
1.77
1.29
1.68
2.73
2.14
Cash Ratio
1.52
0.96
1.55
2.51
1.90
LAST 5 QTRS RESULTS
30-Sep-2022
30-Jun-2022
31-Mar-2022
31-Dec-2021
30-Sep-2021
5-qtr trend
INCOME STATEMENT
Sales/Revenue
2,271
2,176
1,721
1,889
826
ttm-Revenue 8,057
Gross Income
535
543
328
453
(66)
SG&A Expense
303
318
287
242
243
Interest Expense
142
135
170
104
95
Pretax Income
102
93
(67)
219
(348)
ttm-PBT 347
CASH FLOW STATEMENT
Fiscal year is January-December. All values MYR Thousands.
Net Income before Extraordinaries
95,672.0
50,620.0
(116,072.0)
162,226.0
(379,215.0)
Funds from Operations
394,910.0
472,556.0
192,591.0
580,900.0
(165,520.0)
Net Operating Cash Flow
636,401.0
526,595.0
101,251.0
813,439.0
(93,035.0)
Capital Expenditures
(184,111.0)
(116,436.0)
(137,682.0)
(207,040.0)
(247,623.0)
Free Cash Flow
452,290.0
410,159.0
(36,431.0)
617,699.0
(340,658.0)
Cash Dividends Paid - Total
(339,913.0)
-
(508,787.0)
55.0
-
Net Investing Cash Flow
(201,307.0)
(177,975.0)
(126,141.0)
(669,399.0) (272,969.0)
PROFILE SUMMARY
Average Growth Rates Genting Malaysia Bhd
Past Five Years
Ending 12/31/2021 (Fiscal Year)
Revenue
-11.09%
Net Income
-36.33%
Earnings Per Share
-36.41%
Capital Spending
-13.41%
Gross Margin
+31.42%
Cash Flow
+7.81%
KEY STOCK DATA
P/E Ratio (TTM)
317.86(12/16/22)
EPS (TTM)
RM0.01
Market Cap
RM15.09 B
Shares Outstanding
N/A
Public Float
2.69 B
Yield
4715 is not currently paying a regular dividend.
Latest Dividend
RM0.0599999987(09/29/20)
Ex-Dividend Date
09/10/20
?
SHORT INTEREST ()
N/A
?
STOCK MONEY FLOW
N/A
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