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-0.2 (-0.01%)


  • STI Straits Times Index
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  • Volume: 381.3M
  • Value: 791.2M
  • Rise: 112
  • Fall: 128
  • Unch: 528

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Nasdaq 13,352.8 -189.3
HSI 23,587.6 -219.4
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Jakarta 6,610.3 -0.8
Nikkei 225 26,170.3 -841.0
SSE Comp 3,395.7 +1.4
Shanghai A 3,558.5 +1.5
Shanghai B 282.3 +3.3
KOSPI 2,648.1 +33.6

Nikkei 225 updated at end-of-day. Other Asian Indices delayed. US Indices updated twice daily at 7:30am and 7:30pm.

Fundamental - Factsheet

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Quotes 10 Minutes Delayed. Updated at 28 Jan 2022 12:52
Last (SGD): 0.067 Change: -0.003 High: 0.073 Remarks: -
Change (%): -4.29 Low: 0.061
Open 0.073 Yesterday's Close 0.070
Buy Price 0.064 Sell Price 0.068
Buy Volume ('000) 95.0 Sell Volume ('000) 61.8
Cumulative Volume ('000) 411.1 Cumulative Value 27,396

Company Background

Listed on the Catalist board of the SGX-ST, KOP Limited is a Singapore-based real estate development and entertainment company with a diversified and robust portfolio of developments and investments in Singapore as well as the region. With origins leading back to KOP Properties Pte. Ltd., the Group has quickly built a reputation as a developer of niche, iconic and award-winning projects such as The RitzCarlton Residences and Montigo Resorts, Nongsa and Seminyak in Indonesia, and the upcoming Wintastar in Shanghai. Wintastar, Shanghai is the highly-anticipated integrated sports-entertainment-tourism resort that will house the world’s largest indoor Ski & Snow Park. KOPL’s property business covers areas of real estate development, investment and management services and is built on an integrated business model. Through a broad range of distinctive and award-winning real estate and hospitality projects crafted with quality design and workmanship, KOPL provides unique living and leisure experiences to its clients. Leveraging on the strategic synergies between its subsidiaries, KOPL is empowered to expand its core business of property development and incorporate entertainment elements into various ventures, adding flavour and character to real estate. Through spearheading high-quality and innovative projects, with the objective to strengthen its market leadership, KOPL aims to generate growing returns for its shareholders and investors.

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Key Statistics

EPS (SGD) a -0.00877 Trailing EPS (SGD) b -0.00857 NAV (SGD) c 0.1054
PE a - Trailing PE d - Price / NAV c 0.6357
Dividend Yield (%) e - Cash In Hand (SGD) f 0.0008 Issued & Paid-up Shares g 1,107,962,000
Piotroski F Score 1 Market Cap (M) 74.233 Free Float (%) 90.9
Return on Equity (ROE) (%) h n.m. Revenue Growth (%) TTM i -50.182
Net Earnings Growth (%) j -108.227 Net Debt/Equity k 1.056
Under CPF Investment Scheme (CPFIS) Yes
Sector & Industry Real Estate Activities - Movies/Entertainment
Category Classification China / Indonesia / Property & Construction
Index Components FTSE ST Catalist 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 30 Nov 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 --0.008
-10.67 %
10 Days --0.008
-10.67 %
20 Days --0.009
-11.84 %
Medium Term Return 3 Months -+0.003
+4.69 %
6 Months -+0.015
+28.85 %
1 Year -+0.027
+67.50 %
Long Term Return 2 Years -+0.012
+21.82 %
3 Years -+0.014
+26.42 %
5 Years --0.031
-31.63 %
Annualised Return Annualised --
-7.32 %
  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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