h TCIL HK$ Stock (T15) - Price and Fundamental Data | DZHI - DZH International
h TCIL HK$ (T15)

Company Info and Fundamentals

Principal Activities
Tan Chong International Limited is an investment holding company with operations in Singapore, Hong Kong, China, Brunei and Indonesia.

The Group comprises the foreign division which has a total of 23 operating subsidiaries and 4 operating associated companies. The principal businesses are as follows:
- distribution of motor vehicles in Singapore, Brunei and Hong Kong;
- distribution and rental of forklift trucks and other industrial equipment in Singapore;
- manufacture of automotive parts in China;
- investment in and development of properties in Singapore;
- operation of a car rental business in Singapore; and
- distribution of tyres in Hong Kong.

It was incorporated on 19 March 1997 in Bermuda.
Full NameTan Chong International LimitedStock NoT15
ExchangeSingapore Exchange (SGX)BoardGlobal Quote
ISIN Code BMG8667Z1023Year-End31-Dec
Exchange SectorManufacturingSub SectorMotor Vehicle
Par Value (HKD)0.5000Issued Shares (Mil)2013.3090
Paid-Up Cap. (HKD Mil)1006.6550Market Capitalization (Mil)3785.0209
Share Price (HKD)
Current Price0.00
Previous Close1.88
Week High1.88
Week Low1.82
Month High1.88
Month Low1.82
52-week High2.54
52-week Low1.60
Share Price Performance(%)
MTD change-100.0000
YTD change-100.0000
Today Volume('000)0
100-day Average Daily Volume ('000)116.62
Technical Indicators-A shapshot
100-day Moving average2.01
Ratio (Daily)
Dividend Yield5.85
P/E ratio1,709.09

Financial Ratios
Exchange Rate*---
Profitability Ratio
Return on Equity1.8825.4604.297
Return on Revenue1.4653.8203.166
Liquidity Ratio
Return on Equity1.5831.9361.847
Return on Revenue1.1301.4611.399
Gross Eps (cents) *0.1100.30025.000
Dividend (cents) *11.00012.00011.000
Net tangible asset0.3080.2430.216
Price to cash flow ratio0.0000.0000.000
Cash for per share0.2310.8771.307
Price to book ratio0.0000.0000.000
* Calculation is based on the specific Currency Exchange Rate

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Financial Ratios
2019 Q42019 Q22018 Q42018 Q2
Exchange Rate*----
Profitability Ratio
Return on Equity1.8820.8725.4603.015
Return on Revenue1.4651.4053.8204.460
Liquidity Ratio
Return on Equity1.5831.9881.9361.953
Return on Revenue1.1301.4471.4611.513
Gross Eps (cents) *0.1100.0500.30017.000
Dividend (cents) *0.0900.0209.5002.500
Net tangible asset0.3080.3120.2430.204
Price to cash flow ratio0.0000.0000.0000.000
Cash for per share0.0000.0000.0000.000
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)