• RM576 Save up to RM288 with the Yearly Premium Plan (Limited Time Only)
  • RM480 Save up to RM240 with the Yearly Advanced Plan (Limited Time Only)
Subscribe Now
premium Subscription Plan
add free StockBiz
YouTube MS Production


Share Price
Buy-Q Buy Sell Sell-Q
premium Premium Account Only
Live Quote
5 market depth level
Live intraday chart
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
87,682
35,975
39,320
27,534
23,059

Time & Sale Price & Volume
Hide Transaction Details
Hide Transaction Details

Learn how to use the financial indicators.
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
Check out our YouTube Video to learn how to use this indicator.
Business+
Check out our YouTube Video to learn how to use this indicator.
YoY Score
Check out our YouTube Video to learn how to use this indicator.
QoQ Score
5y CAGR - Revenue
5y CAGR - Profit
Check out our YouTube Video to learn how to use this indicator.
Dividend (cent)
Check out our YouTube Video to learn how to use this indicator.
Dividend Yield
Check out our YouTube Video to learn how to use this indicator.
Dividend Policy
Check out our YouTube Video to learn how to use this indicator.
Dividend Payout
Equity Growth
Check out our YouTube Video to learn how to use this indicator.
Net Cash (RM)
Check out our YouTube Video to learn how to use this indicator.
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
(%)
23 May 2431 Dec 24Q1 Mar 2430,543-26,515-23,601-4.360.000.590 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
29 Feb 2431 Dec 23Q4 Dec 2342,165-1,065-1,536-0.280.000.640 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
29 Nov 2331 Dec 23Q3 Sep 2358,4928,7456,2100.230.050.140 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
24 Aug 2331 Dec 23Q2 Jun 2355,8067,4844,4370.160.000.140 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
24 May 2331 Dec 23Q1 Mar 2343,325-2,274-4,255-0.160.000.130 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
28 Feb 2331 Dec 22Q4 Dec 2257,501168,236153,6345.680.670.136 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
24 Nov 2231 Dec 22Q3 Sep 2278,50812,1727,6510.280.000.146 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
25 Aug 2231 Dec 22Q2 Jun 2279,60713,8007,3120.270.000.143 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
26 May 2231 Dec 22Q1 Mar 2266,9516,1592,9620.110.000.140 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
28 Feb 2231 Dec 21Q4 Dec 2180,89410,2017,6770.280.000.140 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
28 Oct 2131 Dec 21Q3 Sep 2187,28321,36614,3720.530.000.137 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
25 Aug 2131 Dec 21Q2 Jun 2181,73621,05414,6820.550.000.131 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
1234

Subscriber Only Subscribe today to unlock feature below and many more
Revenue - Record-high quarterly revenue Net Profit - Record-high quarterly profit after tax

Learn how to use PE Chart.
Learn how to use PE Chart

Total Shares (Quantity)
Total Shares (%)

Name%SharesPosition
Change
ValueRecord Date
LIANNEX MARITIME SDN. BHD50.22272,000,000NEW293.76M29 Mar 24
HALLMARK ODYSSEY SDN BHD5.7831,290,350-1,485,161,40333.79M29 Mar 24
HADIAN BIN HASHIM4.4324,019,609-71,796,34125.94M29 Mar 24
CITIBANK NEW YORK2.3012,453,820NEW13.45M29 Mar 24
TOKIO MARINE LIFE INSURANCE MALAYSIA BERHAD1.839,928,000NEW10.72M29 Mar 24
Subscriber Only Subscribe today to see all the Top 30 Shareholders and other feature.

Learn how to use the dividend indicators.
Learn how to use the dividend indicators

Dividend Summary
Dividend Growth (%)
Dividend Increasing (Years)
Dividend Continuously (Years)
Charting

DateFinancial
Year
Ex-DateEntitlement
Date
Payment
Date
Entitlement TypeDividend
(Cent)
Dividend
(%)
Details
29 Nov 2331 Dec 2320 Dec 2321 Dec 2309 Jan 24Interim Dividend5.00000.00 Malaysia Stock -  Dividend
25 Nov 2231 Dec 2209 Dec 2212 Dec 2228 Dec 22Special Dividend6.70000.00 Malaysia Stock -  Dividend

DateEx-DateEntitlement
Date
Transfer
Date
TypeRatioRight Issue
Price
Details
14 Nov 2327 Nov 2328 Nov 2328 Nov 23Share Consolidation1 : 50.000 Malaysia Stock -  Bonus/Rights Issue
10 Jan 2022 Jan 2023 Jan 2023 Jan 20Share Consolidation1 : 500.000 Malaysia Stock -  Bonus/Rights Issue
10 Jan 2022 Jan 2023 Jan 2023 Jan 20Rights Issue100 : 10.000 Malaysia Stock -  Bonus/Rights Issue

ICON (5255) : ICON OFFSHORE BERHAD
Ibnihkat
Member Star
Posts: 1
Joined: Sep 2019
Male, MYS
12 Nov 2019, 02:21 PMPost #1

Dah lama tak gerak saham ni..kenapa ya?

masjoko
Member Star
Posts: 2
Joined: Sep 2018
Male, MYS
23 Jan 2020, 04:23 PMPost #2

ada consolidate dan rights issue
 

i4value
Member StarMember Star
Posts: 534
Joined: Aug 2020
Male, MYS
19 Oct 2023, 11:12 AMPost #3

Its ROE has been improving post Covid. But I have not seen similar trend in its share price

i4value
Member StarMember Star
Posts: 534
Joined: Aug 2020
Male, MYS
19 Dec 2023, 09:46 AMPost #4

This is a Bursa oil and gas company. You should not be surprised that in using relative valuation to determine whether the counter is cheap or expansive, many compare it with other Bursa oil and gas companies.

 

The irony is that the 2013 to 2022 correlation between Icon’s revenue and the median revenue of the Bursa oil and gas companies is negative 4%. It does not behave like the sector.

 

This is one reason why I avoid using relative valuation. The results are easily biased by the peers chosen. Ideally the peers should be the ones with similar cash flow and risk profile. But how many people check for this when selecting the peers?

 

Of course, in the case of Icon it is academic as it incurred losses for much of the past 9 years. Even its PAT over the past few years were due to asset sale and one-off items.

 

I estimate that its after-tax operating return [NOPAT / (Equity + Debt)] over the past 9 years ranged from 1.2 % to 6.4 % with an average of 3.0%. I assumed 24% nominal tax rate.

 

Not exactly an exciting number for shareholders since you could get better returns at lower risk by keeping your money with the EPF. There are better Bursa oil and gas companies to consider.


yeah doh drool lol mad notworthy question rant rolleyes sad shutup shy smile star sweat thumbup wub cry
P/E Ratio DY ROE TTM PM Business+ YoY Score QoQ Score Net Cash
?


Close
New Feature
MS Academy
AI StockMaster. Beat The Market! Checking MS Signal
DETECT REAL-TIME STOCK MOVEMENT
X
(InvestorPro Plan Only)
Complimentary access on Premium Plan*
What is AI StockMaster?
Window Alert On-Screen Alert X
X