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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
5,475
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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)
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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 2302983390.070.00-0.001 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
30 Nov 2330 Jun 24Q1 Sep 230-672-672-0.140.00-0.001 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
30 Aug 2330 Jun 23Q4 Jun 23037,387-113,7147.970.000.030 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
31 May 2330 Jun 23Q3 Mar 230-637-637-0.140.000.020 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
28 Feb 2330 Jun 23Q2 Dec 220-1,723-1,723-0.370.000.020 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
29 Nov 2230 Jun 23Q1 Sep 220-9,89928,9306.180.000.020 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
30 Aug 2230 Jun 22Q4 Jun 2201,597-21,669-4.630.00-0.050 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
27 May 2230 Jun 22Q3 Mar 220-1,4501,0750.230.00-0.070 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
25 Feb 2230 Jun 22Q2 Dec 2160,944-5,946-8,556-1.830.00-0.050 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
29 Nov 2130 Jun 22Q1 Sep 2162,4622,5811,5600.330.00-0.050 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
28 Sep 2130 Jun 21Q4 Jun 2181,845-171,147-170,901-36.490.00-0.030 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
25 May 2130 Jun 21Q3 Mar 2169,837-983-366-0.080.000.340 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
123456

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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
NIK AWANG @ WAN AZMI BIN WAN HAMZAH18.1184,810,810-424K13 Oct 23
GELOMBANG GLOBAL SDN BHD12.7759,792,792-299K13 Oct 23
SCOMI GROUP BERHAD8.3339,025,920-98,769,018195K13 Oct 23
SEE SONG & SONS SDN. BHD7.6835,946,405NEW180K13 Oct 23
SBI SPECTRUM SDN BHD3.5616,666,667NEW83K13 Oct 23
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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
14 Feb 2027 Feb 2028 Feb 2028 Feb 20Share Consolidation1 : 50.000 Malaysia Stock -  Bonus/Rights Issue

SCOMIES (7045) : SCOMI ENERGY SERVICES BHD
inves988
Member Star
Posts: 1
Joined: Jul 2012
Male, MYS
05 Jul 2012, 08:46 PMPost #1
i'm waiting for this company to announce rm0.185 capital return and the group restructuring. hopefully this stock can going for a further up.drooldrool
winwin88
Member Star
Posts: 5
Joined: Oct 2013
Male, MYS
31 Oct 2013, 02:15 PMPost #2
may i know is this share potential to grow? can buy at 0.7? question
LCCHONG
Member Star
Posts: 385
Joined: Jan 2014
Male, MYS
08 Jan 2015, 10:30 PMPost #3
SCOMIES analysis - https://lcchong.wordpress.com/2015/01/08/scomies-fundamental-analysis-8-jan-2015/
Sebie_Kelate
Member StarMember Star
Posts: 746
Joined: Dec 2016
Male, MYS
14 May 2017, 11:41 PMPost #4

Sebie_Kelate
Member StarMember Star
Posts: 746
Joined: Dec 2016
Male, MYS
14 May 2017, 11:42 PMPost #5

Sebie_Kelate
Member StarMember Star
Posts: 746
Joined: Dec 2016
Male, MYS
14 May 2017, 11:48 PMPost #6

rebound at fibo 38% for next cycle of wave,

i4value
Member StarMember Star
Posts: 522
Joined: Aug 2020
Male, MYS
07 Jan 2024, 10:47 AMPost #7

I have a simple framework to classify each stocks. After I have done a fundamental analysis and valuation, I see which cell it falls into based on the matrix shown below. The cells are formed by the combination of margin of safety on the horizontal axis and business fundamentals on the verticle axis.

Conceptually

  • Cell A – best investment opportunity
  • Cell B – this could be Warren Buffet “wonderful company at fair price”
  • Cell C – Ben Graham “cigar-butt” investment
  • Cell D – avoid

In this context, I would say that Scomi Energy, a Bursa oil & gas company, falls into cell D. If you want to see a cell A company, have a look at Petron Malaysia.


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