- Previous close
0.0130 - Open
0.0140 - Bid 0.0140 x --
- Ask 0.0150 x --
- Day's range
0.0140 - 0.0140 - 52-week range
0.0100 - 0.0160 - Volume
200,000 - Avg. Volume
381,845 - Market cap (intra-day)
24.932M - Beta (5Y monthly) 0.30
- PE ratio (TTM)
∞ - EPS (TTM)
0.0000 - Earnings date 12 Aug 2024
- Forward dividend & yield --
- Ex-dividend date 27 Apr 2007
- 1y target est
--
HGH Holdings Ltd., an investment holding company, provides leasing and services in Singapore and Malaysia. The company operates through Leasing and Service Income, Manufacturing of Precast Concrete Products, Supply and Manufacturing of Ready-Mix Concrete Products, and Provision of Underground Cable Installation and Road Reinstatement segments. It offers general logistics services; supplies precast concrete products; and industrial and office spaces for engineering, manufacturing, and industrial training and workers' dormitory facilities. In addition, the company provides ready-mix concrete; and structural and non-structural precast concrete products for civil and construction works. Further, it offers underground cable installation comprising installation of power cables, auxiliary cables, and other accessories under the ground; and road reinstatement including the backfilling and reinstatement of road surfaces after any trenching or excavation works, as well as business and management consultancy, and other business support services. HGH Holdings Ltd. was founded in 1995 and is based in Singapore.
www.hghholdings.com.sg--
Full-time employees
31 December
Fiscal year ends
Industrials
Sector
Electrical Equipment & Parts
Industry
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Trailing total returns as of 08/11/2024, which may include dividends or other distributions. Benchmark is
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Statistics: 5GZ.SI
View moreValuation measures
Market cap
23.15M
Enterprise value
23.33M
Trailing P/E
--
Forward P/E
--
PEG ratio (5-yr expected)
--
Price/sales (ttm)
1.40
Price/book (mrq)
0.51
Enterprise value/revenue
1.34
Enterprise value/EBITDA
6.00
Financial highlights
Profitability and income statement
Profit margin
-0.37%
Return on assets (ttm)
-0.88%
Return on equity (ttm)
-0.18%
Revenue (ttm)
17.46M
Net income avi to common (ttm)
-64.97k
Diluted EPS (ttm)
0.0000
Balance sheet and cash flow
Total cash (mrq)
5.31M
Total debt/equity (mrq)
12.14%
Levered free cash flow (ttm)
-614.77k