HPL Stock (H15) - Price and Fundamental Data | DZHI - DZH International
HPL (H15)

Company Info and Fundamentals

Principal Activities
The principal activities of the Company are those of hotelier and investment holding.
The Group has interests in 29 hotels under prestigious hospitality brands such as Four Seasons, Hilton International, Como Hotels, InterContinental Hotels Group, the Mandarin Oriental Hotels Group and Six Senses Hotels. In addition, the Group also manages its own portfolio of hotels under well-established brands such as Hard Rock Hotels and Concorde Hotels & Resorts. The Group owns hotels, resorts and shopping galleries in 13 countries, namely, Singapore, Malaysia, Thailand, Indonesia, Maldives, Seychelles, Vanuatu, the United States of America, Bhutan, Czech Republic, Tanzania, South Africa and People’s Republic of China.
The Group has established a distinctive track record as a niche player in the quality and premium residential and commercial property market and is known for building quality residential developments in prime locations. In Singapore, its luxury residential developments include Robertson Blue, Cuscaden Residences, Scotts 28, Nassim Jade, Four Seasons Park, and the latest Tomlinson Heights, as well as through joint ventures with CapitaLand, The Interlace and the d'Leedon condominiums. The Group also owns prime commercial and retail property such as Forum The Shopping Mall and Concorde Shopping Mall in Singapore.
Full NameHotel Properties LimitedStock NoH15
ExchangeSingapore Exchange (SGX)BoardMain board
ISIN CodeSG2P14002527Year-End31-Dec
Exchange SectorMulti-industrySub SectorHotel, Restaurant & Leisure
Par Value (SGD)0.0000Issued Shares (Mil)520.0830
Paid-Up Cap. (SGD Mil)719.6930Market Capitalization (Mil)1497.8390
Share Price (SGD)
Current Price0.00
Previous Close2.88
Week High2.93
Week Low2.86
Month High2.93
Month Low2.84
52-week High3.85
52-week Low2.65
Share Price Performance(%)
MTD change-100.0000
YTD change-100.0000
Today Volume('000)0
100-day Average Daily Volume ('000)19.04
Technical Indicators-A shapshot
100-day Moving average3.32
Ratio (Daily)
Dividend Yield3.47
P/E ratio30.74

Financial Ratios
Exchange Rate*---
Profitability Ratio
Return on Equity2.4856.0628.347
Return on Revenue10.27120.93726.340
Liquidity Ratio
Return on Equity1.2831.2131.476
Return on Revenue1.2111.1371.332
Gross Eps (cents) *9.37021.96031.820
Dividend (cents) *10.00010.0004.000
Net tangible asset10.53217.6594.638
Price to cash flow ratio0.0000.0000.000
Cash for per share0.1850.2150.394
Price to book ratio0.0000.0000.000
* Calculation is based on the specific Currency Exchange Rate
Financial Ratios
2019 Q42019 Q32019 Q22019 Q1
Exchange Rate*----
Profitability Ratio
Return on Equity2.8690.0880.1420.634
Return on Revenue10.2711.3892.3818.941
Liquidity Ratio
Return on Equity1.2830.8420.9071.293
Return on Revenue1.2110.7930.8521.220
Gross Eps (cents) *9.3700.0200.2402.280
Dividend (cents) *10.0000.0000.0000.000
Net tangible asset10.532-8.196-13.20012.035
Price to cash flow ratio0.0000.0000.0000.000
Cash for per share0.1850.068-0.0050.014
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

Warning: Invalid argument supplied for foreach() in /WWW/next/stock_overview.php on line 597

Warning: arsort() expects parameter 1 to be array, null given in /WWW/next/stock_overview.php on line 608

Warning: implode(): Invalid arguments passed in /WWW/next/stock_overview.php on line 609
TypeLast DoneChangeVolume ('000)