Name |
Description |
Definition |
Stock Data |
|
|
Market
Capitalization (SGD 'mil) |
Market
capitalization |
This
value is calculated by multiplying the current Price by the current number of
Shares Outstanding. |
Common
Shares Outstanding ('mil) |
Common
Shares Outstanding |
This
value is as per reported by the company. |
52 Week
High (SGD) |
Price -
12 month high |
This
price is the highest Price the stock traded at in the last 12 months. This
could be an intra-day high. |
52 Week
Low (SGD) |
Price - 12
month low |
This
price is the lowest Price the stock traded at in the last 12 months. This
could be an intra-day low. |
52 Week
Return (%) |
Price -
52 week price percent change |
This is
the percentage change in the company's stock price over the last fifty two
weeks. |
Average
Volume ('mil) |
Volume -
avg. trading volume for the last ten days |
This is
the daily average of the cumulative trading volume for the last 10 days. |
Beta |
Beta |
Beta is a
measure of a company's common stock price volatility relative to the market.
Reuters Beta is the slope of the 60 month regression line of the percentage
price change of the stock relative to the percentage price change of the
local index. Beta values are not calculated if less than 40 months of pricing
is available. |
Financial
strength |
|
|
Current
Ratio |
Current
ratio - most recent fiscal year |
This is
the ratio of Total Current Assets for the most recent fiscal year divided by
Total Current Liabilities for the same period. NOTE: This item is Not
Available (NA) for Banks, Insurance companies and other companies that do not
distinguish between current and long term assets and liabilities. |
Quick
Ratio |
Quick
ratio - most recent fiscal year |
The Quick
Ratio, also known as the Acid Test Ratio, is defined as Total Current Assets
minus Total Inventory for the most recent fiscal year divided by Total
Current Liabilities for the same period. NOTE: This item is Not Available
(NA) for Banks, Insurance companies and other companies that do not
distinguish between current and long term assets and liabilities. |
Long Term
Debt to Equity (%) |
LT
debt/equity - most recent fiscal year |
This
ratio is the Total Long Term Debt for the most recent fiscal year divided by
Total Shareholder Equity for the same period. |
Total
Debt to Equity (%) |
Total
debt/total equity - most recent fiscal year |
This
ratio is Total Debt for the most recent fiscal year divided by Total
Shareholder Equity for the same period. NOTE: This is Not Meaningful (NM) for
banks. |
Interest
Coverage Ratio (TTM) |
Net
Interest coverage - trailing 12 month |
Also
known as Times Interest Earned, this is the ratio of Earnings Before Interest
and Taxes for the trailing twelve months divided by the trailing twelve month
Total Interest Expense, Net. NOTE: If TTM Total Interest Expense, Net is less
or equal 0 (equivalent of Interest Income), then Interest Coverage is NM.
This item is not meaningful for Banks and Insurance companies. |
Free Cash
Flow to Firm (TTM) (SGD 'mln) |
Free Cash
Flow - trailing 12 month |
This
value is calculated from the Quarterly Statement of Cash Flows. It is
calculated as the TTM Cash From Operations minus Capital Expenditures and
Dividends Paid for the same period. |
Margin |
|
|
Gross
Margin (TTM) (%) |
Gross
Margin - trailing 12 month |
This
value measures the percent of revenue left after paying all direct production
expenses. It is calculated as the trailing 12 months Total Revenue minus the
trailing 12 months Cost of Goods Sold divided by the trailing 12 months Total
Revenue and multiplied by 100. NOTE: This item is only available for
Industrial and Utility companies. |
Operating
Profit Margin (TTM) (%) |
Operating
margin - trailing 12 month |
This
value measures the percent of revenues remaining after paying all operating
expenses. It is calculated as the trailing 12 months Operating Income divided
by the trailing 12 months Total Revenue, multiplied by 100. Operating Income
is defined as Total Revenue minus Total Operating Expenses. |
Net
Profit Margin (TTM) (%) |
Net
Profit Margin % - trailing 12 month |
Also
known as Return on Sales, this value is the Income After Taxes for the
trailing twelve months divided by Total Revenue for the same period and is
expressed as a percentage. NOTE: Most Banks and Finance companies do not
report revenues when they announce their preliminary quarterly financial
results in the press. When this happens, the trailing twelve month value will
not be available (NA). |
Dividend § |
|
|
Annual
Dividend per share (SGD) |
Dividend
per share - most recent fiscal year |
This is
the Dividend Per Share amount paid by the company for the most recent fiscal
year. |
Dividend
Yield (TTM) (%) |
Current
Dividend Yield - Common Stock Primary Issue, LTM |
This
value is the current percentage dividend yield calculated as the Dividends
paid per share to the primary common shareholders for the trailing twelve
months divided by the current Price Close, multiplied by 100. |
Dividend
Yield (Annual) (%) |
Current
Dividend Yield - Common Stock Primary Issue, LFI, Annualized |
This
value is the current percentage dividend yield calculated as the Annualized
Dividends paid per share to the primary common shareholders for the most
resent fiscal period divided by the current Price Close, multiplied by 100. |
Payout
Ratio (TTM) (%) |
Payout
ratio - trailing 12 month |
This
ratio is the percentage of the Primary/Basic Earnings Per Share Excluding
Extraordinary Items paid to common stockholders in the form of cash dividends
during the trailing twelve months. |
3-Year
Growth Rate |
Growth
rate% - dividend, 3 year |
The
Dividend Growth Rate is the compound annual growth rate in dividends per
share. DIVGR% is calculated for 3
years whenever 4 years of dividends are available. |
Valuation |
|
|
Historical
P/E Ratio |
P/E
excluding extraordinary items, most recent fiscal year |
This
ratio is calculated by dividing the current Price by the sum of the Diluted
Earnings Per Share from continuing operations BEFORE Extraordinary Items and
Accounting Changes for the latest annual period. |
P/E Ratio
(TTM) |
P/E
excluding extraordinary items - TTM |
This
ratio is calculated by dividing the current Price by the sum of the Diluted
Earnings Per Share from continuing operations BEFORE Extraordinary Items and
Accounting Changes over the last four interim periods. NOTE: If Diluted EPS Excluding
Extraordinary Items is not available or not valid (negative/zero) Basic EPS
Excluding Extraordinary Items will be used for the calculation. |
P/BV
(latest interim) |
Price to
Book - most recent quarter |
This is
the Current Price divided by the latest interim period Book Value Per Share. |
BVPS
(latest interim) (SGD) |
Book
value per share - most recent quarter |
This
is defined as the Shareholder's Equity divided by the Shares Outstanding at
the end of the most recent interim period. |
EPS TTM
(SGD) |
EPS
excluding extraordinary items - trailing 12 month |
This is
the Adjusted Income Available to Common Stockholders for the trailing twelve
months divided by the trailing twelve month Diluted Weighted Average Shares
Outstanding. |