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Share Volume VWAP
Change Trade Value Open
Day Range Year Range Ref
Performance 1 Year 6 Months 3 Months 1 Month 1 Week
Change
Volume
6,167
2,906
0
0
0

Time & Sale Price & Volume
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Learn how to use the financial indicators
Market Capital (RM)
Number of Share
Revenue (TTM)
Net Profit (TTM)
Net Margin (TTM)
EPS (TTM)
P/E Ratio
ROE
P/B Ratio
NTA
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Business+
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YoY Score
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QoQ Score
5y CAGR - Revenue
5y CAGR - Profit
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Dividend (cent)
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Dividend Yield
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Dividend Policy
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Dividend Payout
Equity Growth
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Net Cash (RM)
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Net Cash/Share (RM)
Free Cash Flow (cent)
Debt/Asset Ratio


Financial Statements
Charting

Revenue
Net Profit

DateFinancial
Year
QuarterRevenue
(RM,000)
PBT (RM,000)Net Profit
(RM,000)
EPS (Cent)Div
(Cent)
NTA
(RM)
QoQ
(%)
YoY
(%)
29 Feb 2430 Jun 24Q2 Dec 233,673-2,996-2,996-1.320.000.380 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
24 Nov 2330 Jun 24Q1 Sep 239,892-2,092-2,092-0.920.000.390 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
30 Aug 2330 Jun 23 - Jun 238,250-94,142-94,329-41.460.000.730 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
25 May 2330 Jun 23 - Mar 2336,548-2,438-1,907-1.240.001.760 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
24 Feb 2331 Dec 22Q4 Dec 2290,9352,6442,8012.870.001.590 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
25 Nov 2231 Dec 22Q3 Sep 2283,2194,1044,2554.360.001.590 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
18 Aug 2231 Dec 22Q2 Jun 2284,6077,0736,8817.060.001.590 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
19 May 2231 Dec 22Q1 Mar 2266,37311,53111,54814.830.001.540 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
22 Feb 2231 Dec 21Q4 Dec 2197,32013,08413,28017.710.001.470 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
18 Nov 2131 Dec 21Q3 Sep 2180,67227,97327,97337.290.001.290 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
23 Aug 2131 Dec 21Q2 Jun 2140,3797,8277,86510.490.000.920 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
19 May 2131 Dec 21Q1 Mar 2146,1127,9757,97510.630.000.820 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
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Revenue - Record-high quarterly revenue Net Profit - Record-high quarterly profit after tax

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Total Shares (Quantity)
Total Shares (%)

Name%SharesPosition
Change
ValueRecord Date
NUSANTARA SELATAN SDN BHD4.844,720,000NEW448K31 Mar 22
CHIN KOK FOONG4.724,600,000-5,400,000437K31 Mar 22
CPINTERNATIONAL NETWORKING SDN BHD4.504,386,000NEW417K31 Mar 22
PSSBJAYA HOLDINGS SDN BHD4.304,194,2003,680,700398K31 Mar 22
BUMI PNBC SDN BHD4.003,900,000NEW371K31 Mar 22
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Learn how to use the dividend indicators.
Learn how to use the dividend indicators

DateEx-DateEntitlement
Date
Transfer
Date
TypeRatioRight Issue
Price
Details
03 Jan 2316 Jan 2317 Jan 2317 Jan 23Rights Issue4 : 30.000 Malaysia Stock -  Bonus/Rights Issue
22 May 0607 Jun 0609 Jun 0609 Jun 06Bonus Issue1 : 40.000 Malaysia Stock -  Bonus/Rights Issue

ANNUM (5082) : ANNUM BERHAD
kwok_39
Member Star
Posts: 439
Joined: May 2017
Male, MYS
24 Dec 2020, 01:38 PMPost #1

Please becareful.Sell call rm 1.20-1.23.Its already up more thn 6 times since 20 cents(in less thn 1 month).I wonder y no UMA or is coming.Number of shares 75 millions.

i4value
Member StarMember Star
Posts: 510
Joined: Aug 2020
Male, MYS
11 Aug 2023, 12:05 PMPost #2

The company seems to have turned profitable over the past 3 years. How much of this was due to the plywood business?

i4value
Member StarMember Star
Posts: 510
Joined: Aug 2020
Male, MYS
04 Oct 2023, 08:05 AMPost #3

For those thinking of investing in this company, have a look at Eskons. Eksons was originally a plywood manufacturer which then diversified into property development. In Jan 2023 Eksons ceased the plywood business.  Doesn’t this path sound familiar when you look at Annum?

i4value
Member StarMember Star
Posts: 510
Joined: Aug 2020
Male, MYS
01 Feb 2024, 10:29 AMPost #4

You have a stock portfolio to provide a balanced and risk-adjusted exposure to the stock market. But for this to be meaningful, the stocks in a portfolio should not be correlated.

 

This then begs the question. Should the correlation be based on price or some business fundamentals?

 

The ideal case is to have uncorrelated stocks based on both market price and business performance correlation. This will achieve diversification that addresses short-term volatility and aligns with long-term investment objectives.

 

In practice I seldom look at price correlation in my stock portfolio as I am a long-term investor. I look at correlation from a business perspective.

 

Take the example of Eksons and Annum. The former was in the plywood and is now attempting to be a bigger property developer. Annum is still in the plywood business although it has ventured into construction and property development. The top chart shows the ROE trends of the 2 companies while the bottom chart shows the share price trend.

Should they be in the same portfolio?


yeah doh drool lol mad notworthy question rant rolleyes sad shutup shy smile star sweat thumbup wub cry
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