End-of-day quote
Dhaka S.E.
23:00:00 14/05/2024 BST
|
5-day change
|
1st Jan Change
|
129.6
BDT
|
-1.82%
|
|
-3.86%
|
-35.26%
|
Fiscal Period: Juni |
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
---|
Capitalization
1 |
2,912
|
5,771
|
4,665
|
4,107
|
3,174
|
2,967
|
Enterprise Value (EV)
1 |
3,597
|
6,882
|
6,101
|
5,643
|
4,952
|
4,779
|
P/E ratio
|
55.8
x
|
41.8
x
|
39.1
x
|
45.2
x
|
52.9
x
|
66
x
|
Yield
|
0.41%
|
0.62%
|
1.11%
|
1.08%
|
0.93%
|
0.75%
|
Capitalization / Revenue
|
6.85
x
|
6.62
x
|
6.05
x
|
7.21
x
|
3.33
x
|
2.94
x
|
EV / Revenue
|
8.46
x
|
7.89
x
|
7.92
x
|
9.9
x
|
5.19
x
|
4.73
x
|
EV / EBITDA
|
29.5
x
|
23.9
x
|
20.6
x
|
25.5
x
|
17.8
x
|
17.5
x
|
EV / FCF
|
-17.6
x
|
-7.36
x
|
-20.1
x
|
20.5
x
|
-24.8
x
|
1,167
x
|
FCF Yield
|
-5.7%
|
-13.6%
|
-4.96%
|
4.88%
|
-4.04%
|
0.09%
|
Price to Book
|
4.17
x
|
7.28
x
|
5.33
x
|
4.6
x
|
3.5
x
|
3.2
x
|
Nbr of stocks (in thousands)
|
14,823
|
14,823
|
14,823
|
14,823
|
14,823
|
14,823
|
Reference price
2 |
196.4
|
389.4
|
314.7
|
277.1
|
214.1
|
200.2
|
Announcement Date
|
29/10/19
|
29/10/19
|
29/10/20
|
02/12/21
|
29/12/22
|
05/11/23
|
Fiscal Period: Juni |
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
---|
Net sales
1 |
425
|
872.4
|
770.5
|
569.8
|
953.8
|
1,011
|
EBITDA
1 |
121.8
|
287.4
|
296.1
|
220.9
|
278.1
|
272.8
|
EBIT
1 |
98.73
|
253.4
|
237.1
|
169.5
|
229.2
|
228.1
|
Operating Margin
|
23.23%
|
29.05%
|
30.77%
|
29.76%
|
24.03%
|
22.56%
|
Earnings before Tax (EBT)
1 |
62.79
|
187.4
|
170.2
|
98.05
|
80.88
|
52.49
|
Net income
1 |
52.22
|
138
|
119.3
|
90.96
|
59.96
|
44.99
|
Net margin
|
12.29%
|
15.81%
|
15.49%
|
15.96%
|
6.29%
|
4.45%
|
EPS
2 |
3.523
|
9.308
|
8.050
|
6.136
|
4.045
|
3.035
|
Free Cash Flow
1 |
-204.9
|
-935.6
|
-302.8
|
275.3
|
-199.8
|
4.094
|
FCF margin
|
-48.21%
|
-107.24%
|
-39.31%
|
48.31%
|
-20.95%
|
0.4%
|
FCF Conversion (EBITDA)
|
-
|
-
|
-
|
124.6%
|
-
|
1.5%
|
FCF Conversion (Net income)
|
-
|
-
|
-
|
302.62%
|
-
|
9.1%
|
Dividend per Share
2 |
0.8000
|
2.400
|
3.500
|
3.000
|
2.000
|
1.500
|
Announcement Date
|
29/10/19
|
29/10/19
|
29/10/20
|
02/12/21
|
29/12/22
|
05/11/23
|
Fiscal Period: Juni |
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
---|
Net Debt
1 |
685
|
1,110
|
1,436
|
1,535
|
1,779
|
1,811
|
Net Cash position
1 |
-
|
-
|
-
|
-
|
-
|
-
|
Leverage (Debt/EBITDA)
|
5.625
x
|
3.863
x
|
4.849
x
|
6.949
x
|
6.396
x
|
6.639
x
|
Free Cash Flow
1 |
-205
|
-936
|
-303
|
275
|
-200
|
4.09
|
ROE (net income / shareholders' equity)
|
7.61%
|
18.5%
|
14.3%
|
10.3%
|
6.66%
|
4.91%
|
ROA (Net income/ Total Assets)
|
4.23%
|
8.49%
|
6.46%
|
4.15%
|
5.24%
|
4.98%
|
Assets
1 |
1,233
|
1,626
|
1,848
|
2,191
|
1,145
|
903.3
|
Book Value Per Share
2 |
47.10
|
53.50
|
59.00
|
60.20
|
61.20
|
62.50
|
Cash Flow per Share
2 |
0.0500
|
0.0700
|
0.5300
|
2.120
|
0.7500
|
0.4200
|
Capex
1 |
210
|
583
|
177
|
110
|
61.6
|
126
|
Capex / Sales
|
49.49%
|
66.85%
|
23.01%
|
19.38%
|
6.46%
|
12.43%
|
Announcement Date
|
29/10/19
|
29/10/19
|
29/10/20
|
02/12/21
|
29/12/22
|
05/11/23
|
|
1st Jan change
|
Capi.
|
---|
| -35.26% | 16.45M | | +5.94% | 106B | | -4.19% | 63.67B | | +73.81% | 49.32B | | +15.46% | 38.56B | | +5.46% | 32.65B | | +11.59% | 20.08B | | +13.74% | 17.01B | | +20.05% | 15.41B | | +5.02% | 14.41B |
Other Commodity Chemicals
We are working hard...
- We are working hard to come back as soon as possible.
- Nous travaillons dur pour revenir au plus vite.
- Wir arbeiten hart daran, so schnell wie möglich zurückzukommen
- Estamos trabajando duro para volver lo antes posible.
- Stiamo lavorando sodo per tornare il prima possibile.
- Wij werken hard om zo snel mogelijk weer terug te zijn.
503 Backend fetch failed |