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FREE TRIAL
AXJ-REITSETF Share Price Movement
Share Price
Buy-Q
/
Buy
Sell
/
Sell-Q
Share Volume
Open
0.960
123
0.950
0.965
12
6,439
0.960
Change
Day Range
Ref
0.005 (+0.5%)
0.955 - 0.965
0.955
Market Date: 05 Mar 2021
Trade Detail
Trade Value
617,610
VWAP
0.959
4wk Range
0.955 - 1.000
4wk Change (%)
-4.0
4wk Avg Volume
992
1Y Range
0.925 - 1.050
1Y Change (%)
-5.9
1Y Avg Volume
402
AXJ-REITSETF Financial Information
Market Capital (RM)
: 3.31m
Number of Share
: 3.45m
EPS (cent)
: -
P/E Ratio
: -
ROE (%)
: -
TTM Profit Margin (%)
: -
CAGR - Revenue (%)
: -
CAGR - PAT (%)
: -
Business+
: 0
YoY Score
: 0
QoQ Score
: 0
Dividend (cent)
: 0.000
Dividend Yield (%)
: 0.00
Dividend Policy (%)
: 0
NTA (RM)
: 0.980
P/B Ratio
: -
* Calculated based on the net profit of the trailing twelve months and latest number of shares issued.
AXJ-REITSETF Financial Highlights
QUARTERLY
ANNUAL
AXJ-REITSETF Quarter Report History
Date
Financial
Year
Quarter
Revenue
(RM,000)
PBT (RM,000)
Net Profit
(RM,000)
EPS (Cent)
Div
(Cent)
NTA
(RM)
QoQ
(%)
YoY
(%)
01 Dec 20
31 Mar 21
Q2 Sep 20
4
-11
0
-0.01
0.00
0.980
0%
0%
Revenue
- Record-high quarterly revenue
Net Profit
- Record-high quarterly profit after tax
AXJ-REITSETF Dividend History
------------------------ NO RECORD ------------------------
AXJ-REITSETF Bonus/Right Issue History
------------------------ NO RECORD ------------------------
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N/A
0.0
N/A
N/A
N/A
N/A
0
0
0
P/E Ratio
DY
ROE
TTM PM
3y CAGR Rev
3y CAGR PAT
Business+
YoY Score
QoQ Score
?
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Corporate Information
Website
: N/A
Corporate Name
: TRADEPLUS MSCI ASIA EX JAPAN REITS TRACKER
Symbol & Code
: AXJ-REITSETF (0837EA)
Board
:
ETF
Shariah
:
Non-Compliant
Sector
:
Exchange Traded Fund-equity
Sub-Sector
:
Equity Fund
Contact
: Click Here
: N/A
Shareholding Changes
Date of change
Shares
Director/
Substantial Shareholder
---- No Recent Changes ----
Latest Announcements
Date
Title
05 Mar 2021
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
04 Mar 2021
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
03 Mar 2021
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
03 Mar 2021
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
02 Mar 2021
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
(Amended Announcement)
02 Mar 2021
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
01 Mar 2021
OTHERS
26 Feb 2021
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
25 Feb 2021
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
24 Feb 2021
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
All Announcement
Annual Report
---- No Records Found ----
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