Stocks

Friday, 25 Jun 2021


SCOMI GROUP BHD

  • Board : Main
  • Stock Code : 7158
  • 52 Week High : 0.150
  • 52 Week Low : 0.010
Open High Low Last Chg Chg % Vol ('00) Buy/Vol ('00) Sell/Vol ('00)
0.045 0.050 0.040 0.045 -0.005 -10.00 15,783 .040 / 237,199 .045 / 25,881

Updated : 24 Jun 2021 | 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
24 May 202130 Jun 2021331 Mar 20210521.05
26 Feb 202130 Jun 2021231 Dec 20200-5,528-.51
30 Nov 202030 Jun 2021130 Sep 20200-5,428-.50
28 Aug 202030 Jun 2020430 Jun 20200-133,574-12.21
29 Jun 202030 Jun 2020331 Mar 20200-126,693-11.58

SCOMI GROUP BERHAD

The principal activities of the Company are investment holding and provision of management services. The principal activities of the subsidiary companies are Selling of drilling fluid and chemical products and provision of mud engineering services; Manufacturing and fabrication of road transport equipment material handling equipment and provision of related engineering support services; Provision of marine vessel transportation services; Marketing agent for road transport equipment and related products; and Renting of building and the provision of supplies and services for the oil and gas industry.

Address

26-1F, SERIA 88, JALAN SETIA PERDANA BF U13/BF,BANDAR SETIA ALAM, SEKSYEN U13,SHAH ALAM, SELANGOR

Malaysia

Contact

(60) 3 3359 1314

(60) 3 7728 5258

31 Mar 2018RM'00030 Jun 2019RM'00030 Jun 2020RM'000
Income Statement
Net Turnover/Net Sales704,018643,502232,022
EBITDA-70,232-58,754-62,776
EBIT-195,155-238,469-222,655
Net Profit-249,974-396,171-242,139
BALANCE SHEET
Intangibles277,293103,531-
Fixed Assets441,585297,237357
Long Term Investment32,96010,930-
Stocks/Inventories126,87682,815-
Cash102,12766,33477
Current Liabilities1,164,184468,003240,716
Long Term Debt114,47449,800-
Provisions8,9328,401-
Minorities---
Total Shareholders Equity707,358293,829-240,537
KEY RATIOS
Operating Margin(%)-37.83-56.1-96.73
Return on Equity Capital(%)-28.03-79.14-908.73
Net Profit Margin-35.51-61.56-104.36
Current Ratio1.070.850
Debt to Capital at Book0.350.23123.44

World'Vest Base, Inc.© 2021

Under no circumstances this document is to be used or considered as an offer to sell, or a solicitation of any offer to buy, any security. While information contained herein has been obtained from sources believed to be reliable, WVB does not represent that it is accurate or complete and it should not be relied upon as such.

1335, North Dearborn Parkway, Chicago, IL 60610

Tel: +1-312-922-4201 | Fax: 1-312-922-3277 | Email: inforequest@wvb.com

www.wvb.com

Financial Data Owned and Supplied by World'vest Base Inc. Copyright , All Rights Reserved.