Stocks

Saturday, 07 Dec 2024


KAREX BERHAD

  • Board : Main
  • Stock Code : 5247
  • 52 Week High : 0.925
  • 52 Week Low : 0.650
Open High Low Last Chg Chg % Vol ('00) Buy/Vol ('00) Sell/Vol ('00)
0.890 0.915 0.885 0.915 0.030 3.39 12,406 .905 / 200 .920 / 1,110

Updated : 6 Dec 2024 | 7:11 PM

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Financial Results


Date
Announced
Financial
Year End
QTR Period End Revenue
RM (,000)
P&L
RM (,000)
EPS
21 Nov 202430 Jun 2025130 Sep 2024134,9601,399.13
23 Aug 202430 Jun 2024430 Jun 2024123,9204,839.46
21 May 202430 Jun 2024331 Mar 2024127,0496,022.57
26 Feb 202430 Jun 2024231 Dec 2023127,3697,324.70
24 Nov 202330 Jun 2024130 Sep 2023129,5095,256.50

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KAREX BERHAD

The Group is principally involved in the manufacturing and sale of condoms sterile catheters latex probe covers latex sleeves and rubber product. It is the world's largest original equipment manufacturer (OEM) condom maker in terms of capacity with an annual capacity of 3 billion pieces.

Address

10TH FLOOR, MENARA HAP SENG,NO. 1 & 3 JALAN P.RAMLEE,WILAYAH PERSEKUTUAN,KUALA LUMPUR, FEDERAL TERRITORY

Malaysia

Contact

(60) 3 2382 4288

(60) 3 2382 4170

30 Jun 2022RM'00030 Jun 2023RM'00030 Jun 2024RM'000
Income Statement
Net Turnover/Net Sales421,642532,066507,847
EBITDA20,62644,61671,473
EBIT-3,23517,84240,851
Net Profit-6,19110,47823,441
BALANCE SHEET
Intangibles97,16698,791100,186
Fixed Assets267,299270,988258,748
Long Term Investment---
Stocks/Inventories152,359157,748155,162
Cash21,87129,70536,983
Current Liabilities160,968171,810161,524
Long Term Debt52,62652,90641,733
Provisions---
Minorities---
Total Shareholders Equity457,782476,567482,915
KEY RATIOS
Operating Margin(%)-0.614.247.84
Return on Equity Capital(%)-1.342.244.89
Net Profit Margin-1.471.974.62
Current Ratio1.841.861.99
Debt to Capital at Book0.180.220.2

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