ASL Marine^ Stock (A04) - Price and Fundamental Data | DZHI - DZH International
ASL Marine^ (A04)

Company Info and Fundamentals

Principal Activities
ASL Marine is principally engaged in shipbuilding, shiprepair, shipchartering and other marine related services, catering to customers mainly from Asia Pacific, South Asia, the Middle East and Europe. Headquartered in Singapore, the Group owns and operates three shipyards in Singapore, Indonesia (Batam) and China (Guangdong), providing a comprehensive range of shipbuilding and shiprepair services spanning myriad sectors and industries. The Group specialises in building tugs, barges, offshore support vessels, work vessels, emergency response and rescue vessels and tankers. The Group also undertakes conversions and repairs of all types of vessels. It provides shipchartering services to various industries, including offshore oil and gas, marine infrastructure, dredging, land reclamation, marine construction and cargoes transportation.
Full NameASL Marine Holdings LimitedStock NoA04
ExchangeSingapore Exchange (SGX)BoardMain board
ISIN CodeSG1N25909283Year-End30-Jun
Exchange SectorManufacturingSub SectorMachinery
Par Value (SGD)0.0000Issued Shares (Mil)629.2670
Paid-Up Cap. (SGD Mil)108.0560Market Capitalization (Mil)27.6877
Share Price (SGD)
Current Price0.00
Previous Close0.04
Week High0.04
Week Low0.04
Month High0.04
Month Low0.03
52-week High0.07
52-week Low0.03
Share Price Performance(%)
MTD change-100.0000
YTD change-100.0000
Today Volume('000)0
100-day Average Daily Volume ('000)85.86
Technical Indicators-A shapshot
100-day Moving average0.04
Ratio (Daily)
Dividend Yield0.00
P/E ratio-0.20

Financial Ratios
Exchange Rate*---
Profitability Ratio
Return on Equity-89.851-23.629-19.082
Return on Revenue-45.074-28.207-20.937
Liquidity Ratio
Return on Equity0.9181.3161.149
Return on Revenue0.5290.8010.524
Gross Eps (cents) *-22.410-11.340-13.440
Dividend (cents) *0.0000.0000.000
Net tangible asset-4.0491.1632.352
Price to cash flow ratio0.0000.0000.000
Cash for per share0.5860.8050.795
Price to book ratio0.0000.0000.000
* Calculation is based on the specific Currency Exchange Rate
Financial Ratios
2020 Q12019 Q42019 Q32019 Q2
Exchange Rate*----
Profitability Ratio
Return on Equity-7.731-89.851-8.788-5.620
Return on Revenue-27.351-45.074-9.792-9.979
Liquidity Ratio
Return on Equity0.9420.9181.5441.338
Return on Revenue0.5620.5290.8820.786
Gross Eps (cents) *-1.800-22.410-3.880-2.700
Dividend (cents) *0.0000.0000.0000.000
Net tangible asset-3.357-4.0490.8291.156
Price to cash flow ratio0.0000.0000.0000.000
Cash for per share0.1580.5860.4760.317
Price to book ratio0.0000.0000.0000.000
* Calculation is based on the specific Currency Exchange Rate
No Data Avaliable
Historical Prices
OpenHighLowCloseVol('000)O/C RangeH/L Range
Time and Sales

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TypeLast DoneChangeVolume ('000)