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-12.5 (-0.38%)


  • STI Straits Times Index
    -12.5 (-0.38%)
  • KLCI FTSE Bursa Malaysia KLCI
    -1.6 (-0.10%)
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  • Volume: 621.4M
  • Value: 860.5M
  • Rise: 62
  • Fall: 218
  • Unch: 488

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KOSPI 2,621.3 -87.9

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Fundamental - Factsheet

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Quotes 15 Minutes Delayed. Updated at 27 Jan 2022 14:05
Last (MYR): 0.675 Change: - High: 0.680 Remarks: s
Remarks legend:
IOrder entry forbiddenAOrder entry authorized
RReservedsShort selling available
[x]Exclude dividend[c] Cum dividend
Change (%): - Low: 0.670
Open 0.675 Yesterday's Close 0.675
Buy Price 0.675 Sell Price 0.680
Buy Volume ('00) 445 Sell Volume ('00) 1,352
Cumulative Volume ('00) 878 Cumulative Value 59,204

Company Background

Luxchem was incorporated in Malaysia under the Companies Act on 4 September 1991 as a private limited company under the name of Luxchem Corporation Sdn. Bhd. Subsequently, on 3 August 2007, we converted to a public company and assumed the name of Luxchem Corporation Berhad since. We are an investment holding company. Through our subsidiaries, we are a supplier of industrial chemicals whose principal business activities incorporate the following: -

• marketing and distribution of industrial chemicals and materials; and
• manufacture of UPRs (unsaturated polyester resins).

Our history can be traced back to 1984 with the establishment of Lux Trading, a sole proprietorship. Lux Trading was involved in the marketing and distribution of industrial chemicals, focusing on synthetic rubber and rubber chemicals, UPRs, fibreglass materials and polymer-related products. As part of our expansion efforts, we established our presence nationwide by setting up marketing, distribution and warehouse centres, in Penang in 1989, and later on in Johor in 1991 and Perak in 1992. This was followed by our Group's expansion overseas through our Singapore subsidiary, which was established in 1992 to oversee the marketing and distribution of industrial chemicals in Singapore. Also, our Group has established an overseas subsidiary in Indonesia, PT Luxchem Indonesia (PTLI) in year 2011 to continually provide industrial chemical and related products in Indonesia.

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Key Statistics

EPS (MYR) a 0.04473 Trailing EPS (MYR) b 0.06353 NAV (MYR) c 0.4498
PE a 15.091 Trailing PE d 10.625 Price / NAV c 1.5007
Dividend Yield (%) e 3.722 Cash In Hand (MYR) f 0.1804 Issued & Paid-up Shares g 1,069,766,119
Piotroski F Score 7 Market Cap (M) 722.092 Free Float (%) 36.8
Return on Equity (ROE) (%) h 14.123 Revenue Growth (%) TTM i 23.475
Net Earnings Growth (%) j 64.443 Net Debt/Equity k Net Cash
Shariah Compliant Stocks Yes
Sector & Industry Process Industries - Chemicals: Specialty
Index Components Bursa Malaysia Industrial Products Index / FTSE Bursa Malaysia Fledgling Index
  1. Based on latest Full Year results announcement, adjusted based on Profit Attributable To Shareholders.
  2. Summation of the earnings from the latest 4 Quarter (or 2 Half Year) results announcement, adjusted for the current number of shares.
  3. Based on latest results announcement (Full Year, Half Year or Interim), adjusted for carrying value of "Other Share Capital", illustrative financial effects of corporate actions (if applicable) and the current number of shares.
  4. Based on latest Full Year results announcement, adjusted for the current number of shares.
  5. Dividend is based on latest Full Year results announcement, adjusted for current number of shares and excludes special dividend.
  6. Based on reported cash and cash equivalents at end and extracted from the latest results announcement (Full Year, Half Year or Interim), adjusted for the current number of shares.
  7. Rounded to the nearest thousand. The figure pertains to the respective exchange the stock is listed on. Updated on 08 Dec 2021. Please click here for more information.
  8. Calculated based on Net Earnings / (Shareholders' Equity - Other Share Capital)
  9. Calculated based on (Current Year Revenue - Last Year Revenue) / Last Year Revenue
  10. Calculated based on (Current Year Earnings - Last Year Earnings) / Last Year Earnings
  11. Calculated based on (Long Term Debt + Short Term Debt - Cash and Short Term Investments)/(Shareholders' Equity - Other Share Capital)

Total Shareholder Return

PeriodDividend ReceivedCapital AppreciationTotal Shareholder Return
Short Term Return 5 Days --0.010
-1.46 %
10 Days --0.020
-2.88 %
20 Days --0.040
-5.59 %
Medium Term Return 3 Months --0.080
-10.60 %
6 Months 0.008-0.055
-6.44 %
1 Year 0.037-0.095
-7.53 %
Long Term Return 2 Years 0.060+0.140
+37.38 %
3 Years 0.082+0.130
+38.90 %
5 Years 0.177+0.168
+68.05 %
Annualised Return Annualised --
+10.94 %
  1. Total Shareholder Return (TSR) combines share price appreciation and dividends paid to show the total return to the shareholder expressed as a percentage.
  2. Script dividends are ignored in this calculation.

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