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Return

CapLand IntCom T

C38U

2.11

+ 0.01

GroupUnit Trust
CashSingapore Dollar

 

TRADING INFO


Open
2.11
Buy
2.1
Sell
2.11
High
2.12
Low
2.09
Previous Close
2.1
Volume(K)
11083.5
Buy Volume(K)
1560.2
Sell Volume(K)
186.6

KEY STOCK INFOUpdated: 16 Aug 2022


PE Ratio (FY)
NA
Dividend Yield % (FY)
-
Price to Book Ratio
-
Market Cap ($million)
-
Enterprise Value ($million)
7,223.47
52 Weeks High
2.36
52 Weeks Low
1.92
RSI
43.21 ( No Info )
Williams %R
-83.33 ( Oversold )

 

COMPANY INFORMATION Updated: 13 Aug 2022 Financial Info by


SIC
REAL ESTATE INVESTMENT TRUSTS
Address
HSBC INSTITUTIONAL TRUST SERVICES (SINGAPORE) LIMITED 10 MARINA BOULEVARD MARINA BAY FINANCIAL CENTRE TOWER 2 #48-01 SINGAPORE 018983
Phone
(65)
Fax
(65)
Profile
The principal activity of the Trust is to invest in shopping centres with the primary objective of achieving an attractive level of return from rental income and long-term capital growth.
AUDITOR
KPMG LLP

 

FINANICALS INFORMATION All values in $millions


Financial Year
Dec 31, 2020
Dec 31, 2020
Dec 31, 2021
Currency
SGD
SGD
SGD
KEY RATIOS
FY 2020
FY 2020
FY 2021

Operating Margin(%)
64.829
64.83
99.003
Return on Equity Capital(%)
3.358
3.36
8.094
Net Profit Margin(%)
46.942
46.94
82.992
Current Ratio
0.205
0.2
0.605
Debt to Capital at Book
0.39
0.39
0.36
INCOME STATEMENT
FY 2020
FY 2020
FY 2021

EBITDA
487.26
484.97
1,094.54
EBIT
914.94
912.65
1,089.68
Net Profit
349.82
349.82
1,083.09
Ordinary Dividend
-256.46
-369.38
0
BALANCE SHEET
FY 2020
FY 2020
FY 2021

Intangibles
0
0
0
Fixed Assets
7.06
7.06
6.12
Long Term Investments
726.8
508.12
320.35
Stock/Inventories
0
0
0
Cash
183.62
183.62
365.13
Current Liabilities
1,333.83
1,333.83
1,258.81
Long Term Debt
7,794.31
7,794.31
7,582.64
Provisions
0
0
0
Minorities
0
0
0
Total Shareholder Equity
13,067.94
13,067.94
13,695.7
PER SHARE INFO
FY 2020
FY 2020
FY 2021

EBITDA per share
-
-
-
EBIT per share
-
-
-
Profit Per Share
-
-
-
Book Value Per Share
-
-
-

 

 


Intraday Chart




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