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Fundamental - Factsheet

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Ntegrator Intl NTEGRATOR INTERNATIONAL LTD
Quotes 10 Minutes Delayed. Updated at 02 Dec 2021 17:08
Last (SGD): 0.008 Change: +0.001 High: 0.008 Remarks: -
Change (%): +14.29 Low: 0.007

Company Background

The Company was incorporated in Singapore on 24 July 1999 under the name of Kenbience International Pte Ltd which remained dormant as a shelf company until it was transferred and commenced operation in April 2002. On 28 December 2004, the Company changed its name to Ntegrator International Pte Ltd. It took its present name on 15 September 2005.The Group is a integration specialist for network infrastructure and voice communication systems. The Group's core business activities include the design, installation and implementation of data, video, fibre optics, wireless and cellular network infrastructure as well as voice communication systems. In addition, it also provides maintenance and support services and project management services for network infrastructure and voice communication systems as well as turn-key solutions for medical equipment. The Group has operations in Singapore, Malaysia, Philippines and Thailand through its subsidiaries and also a representative office in Vietnam and a business representative in Myanmar who provides technical services to the Group.The Group's major customers include major telecommunication operators such as MobileOne in Singapore, Viettel in Vietnam and the Ministry of Defence in Myanmar.

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Key Statistics

EPS (SGD) a -0.00194 Trailing EPS (SGD) b -0.00130 NAV (SGD) c 0.0115
PE a - Trailing PE d - Price / NAV c 0.6957
Dividend Yield (%) e - Cash In Hand (SGD) f -0.0009 Issued & Paid-up Shares g 1,425,659,000
Piotroski F Score 4 Market Cap (M) 11.405 Free Float (%) -
Return on Equity (ROE) (%) h n.m. Revenue Growth (%) TTM i -22.042
Net Earnings Growth (%) j 39.695 Net Debt/Equity k 0.516
Under CPF Investment Scheme (CPFIS) Yes
Sector & Industry Information and Communications - Information Technology Services
Category Classification Telecommunication
Index Components FTSE ST Catalist Index
Notes:
  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 01 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 --0.001
-11.11 %
10 Days --0.001
-11.11 %
20 Days ---
Medium Term Return 3 Months --0.004
-33.33 %
6 Months --0.005
-38.46 %
1 Year --0.001
-11.11 %
Long Term Return 2 Years -+0.001
+14.29 %
3 Years ---
5 Years 0.001-0.007
-40.00 %
Annualised Return Annualised --
-9.71 %
Notes:
  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.

Peer Comparison

Type Name Market Market Cap (M)a PE b Trailing PE c Price / NAV d Dividend Yield (%)d
Reference Ntegrator Intl SGX 11.405 - - 0.6957 -
Industry Information Technology Services SGX 123.592 22.604 25.650 1.8845 1.980
Telecommunication SGX 3,514.936 35.325 20.154 0.8038 6.038
Index FTSE ST Catalist Index SGX 60.928 26.502 20.774 1.3900 1.987
Local Peer Silverlake Axis SGX 762.633 16.474 16.470 2.2353 1.825
Local Peer CSE Global SGX 251.077 8.966 10.924 1.2932 5.599
Local Peer Azeus SGX 246.000 59.999 47.399 10.5426 0.824
Local Peer Procurri SGX 88.271 32.751 38.479 1.5831 -
Local Peer OxPay Financial SGX 66.701 - - 15.8065 -
Local Peer NeraTel SGX 46.685 12.416 - 0.7548 3.876
Local Peer YuuZoo Networks SGX 30.030 - - -3.4862 -
Local Peer Revez SGX 28.308 286.441 - 4.0143 -
Local Peer IPS Securex SGX 25.697 265.000 270.491 2.9609 -
Local Peer SinoCloud SGX 15.878 - - 0.6667 -
Local Peer PlatoCapital SGX 14.614 - - 0.3362 -
Local Peer Ace Achieve Info SGX 6.016 - - 0.0731 -
Global Peer ACCENTURE PLC NYSE 227,663.817 38.543 38.543 11.6575 1.002
Global Peer CISCO SYSTEMS INC HKEx 1,581,603.750 19.249 17.869 4.7614 3.041
Global Peer SERVICENOW INC NYSE 119,314.430 - 540.746 33.7619 -
Global Peer INTERNATIONAL BUS MACH CORP NYSE 104,853.856 18.757 22.000 4.7172 5.542
Global Peer INFOSYS LTD SPON ADR EACH REP 1 ORD SHS NYSE 94,372.318 36.203 33.269 10.0161 1.363
Global Peer SQUARE INC NYSE 89,718.143 421.005 167.050 30.3120 -
Global Peer WORKDAY INC NASDAQ 65,215.000 - 2,109.221 15.4691 -
Global Peer CLOUDFLARE INC NYSE 53,019.780 - - 62.1466 -
Global Peer VMWARE INC NYSE 47,841.582 23.247 23.625 4.6789 -
Global Peer WIPRO LTD SPON ADR REP 1 ORD SHS INR2 NYSE 46,205.757 31.775 28.113 5.5170 -
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LTD (NASDAQ), SENETAS CORP (ASX), CREATD INC (NASDAQ), REXIT (Bursa), INFORMATION ANALYSIS INC (NASDAQ), MERCURITY FINTECH HOLDING INC SPON ADS EACH REPR 360 ORD SHS (NASDAQ), ARCHTIS LTD (ASX), ICO GROUP LTD (HKEx), COMAN (SET), CHINA ITS (HLDGS)CO LTD (HKEx), CHINA OCEAN GROUP DVLPMNT LTD (HKEx), MMTEC INC (NASDAQ), ADSLOT LTD (ASX), NOMAD TECHNOLOGIES HOLDINGS LTD (HKEx), TYMLEZ GROUP LTD (ASX), CORUM GROUP LTD (ASX), EVOLVING SYSTEMS (NASDAQ), EDENSOFT HLDGS LTD (HKEx), LYC (Bursa), MMAG (Bursa), 8COMMON LIMITED (ASX), SHANGHAI JIAODA WITHUB INFORMATION (HKEx), MAYFIELD GROUP HOLDINGS LTD (ASX), KINETIX SYSTEMS HLDGS LTD (HKEx), NETX (Bursa), HTPADU (Bursa), IRCP (SET), NEXION TECHNOLOGIES LTD (HKEx), FUTONG TECHNOLOGY DEVELOPMENT HLDGS (HKEx), DATA STORAGE CORP (NASDAQ), TDEX (Bursa), HMVOD LTD (HKEx), GET HOLDINGS LTD (HKEx), SILVERSUN TECHNOLOGIES INC (NASDAQ), MSNIAGA (Bursa), INCENTIAPAY LIMITED (ASX), BRIDGELINE DIGITAL INC (NASDAQ), Sentral Mitra Informatika Tbk. 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Notes:
  1. For companies, Market Cap is based on the trading currency of the company. Industry/Index Market Cap is the average market cap for that industry/index.
  2. Industry/Index PE is calculated using (Total Market Cap/Total Earnings) of all companies in the industry/index.
  3. Industry/Index Price/NAV is calculated using (Total Market Cap/Total Shareholders' Equity) of all companies in the industry/index.
  4. Industry/Index Dividend Yield is calculated using (Total Gross Dividend/Total Market Cap) of all companies in the industry/index.
  5. For Industry/Index calculation, data for foreign currency denominated companies will be converted to the main market currency using the latest exchange rate.
  6. Industry/Index/Peers data is updated daily.
  7. Peers are sorted by market capitalisation and only details for the top 10 will be shown.

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