Stocks

Friday, 22 Nov 2024


BATU KAWAN BHD

  • Board : Main
  • Stock Code : 1899
  • 52 Week High : 21.000
  • 52 Week Low : 19.000
Open High Low Last Chg Chg % Vol ('00) Buy/Vol ('00) Sell/Vol ('00)
20.160 20.160 19.980 20.120 -0.020 -0.10 360 19.940 / 35 20.380 / 5

Updated : 22 Nov 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
19 Aug 202430 Sep 2024330 Jun 20245,683,556286,93333.32
20 May 202430 Sep 2024231 Mar 20245,660,490181,68721.54
20 Feb 202430 Sep 2024131 Dec 20235,832,503269,33628.40
22 Nov 202330 Sep 2023430 Sep 20236,003,527167,18313.41
24 Aug 202330 Sep 2023330 Jun 20235,350,795149,89921.05

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BATU KAWAN BHD

The Company is an investment holding company. The principal activities of the subsidiary and associated companies are chemicals manufacturing; manufacture and sale of methyl chloride; general transport and haulage services; letting of storage warehouse facilities; and trading of liquid chlorine.

Address

WISMA TAIKO,NO. 1, JALAN S.P. SEENIVASAGAM,IPOH, PERAK

Malaysia

Contact

(60) 5 240 8000

(60) 5 240 8117

30 Sep 2021RM'00030 Sep 2022RM'00030 Sep 2023RM'000
Income Statement
Net Turnover/Net Sales20,717,92828,223,92924,653,397
EBITDA4,059,2534,905,5803,028,458
EBIT3,254,3283,828,7621,941,772
Net Profit1,146,9341,174,346490,917
BALANCE SHEET
Intangibles567,263546,374571,809
Fixed Assets11,520,01512,613,54413,434,647
Long Term Investment2,138,8992,806,1332,559,709
Stocks/Inventories3,080,3194,141,0143,038,795
Cash3,537,8713,282,8601,203,840
Current Liabilities6,878,4315,793,4465,259,498
Long Term Debt6,217,2937,724,3497,514,568
Provisions572,717496,646552,739
Minorities---
Total Shareholders Equity14,951,39116,931,46717,197,812
KEY RATIOS
Operating Margin(%)15.1612.665.88
Return on Equity Capital(%)8.327.372.88
Net Profit Margin5.544.161.99
Current Ratio1.541.981.92
Debt to Capital at Book0.330.330.33

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