5 day volume Average = 18,466,640
20 day volume Average = 8,589,405
90 day volume Average = 14,770,600
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4.0/10 (Expert Score)
Stock is rated as #126 in category BM Consumer Products & Services
Hold Recommendation. Current price is fairly valued.
Prospective Profit
1.330
Assets
5.311
Dividend/ Cash
2.740
Liquidity
6.718
PROS:
  • Very High Trading Value
CONS:
  • Making Huge Loss
  • No Dividend Declared
  • High Debt Company
  • High Gearing Ratio

klse: Avillion Bhd


Corporate Information

Board   : Main

Shariah : Shariah Compliant

Sector   : Consumer Property Developer Financial Services

Address: 8th Floor, Wisma YPR, Lorong Kapar, Off Jalan Syed Putra, , 58000, Kuala Lumpur

Contact: +603-22620119

Website: https://www.avillionberhad.com/
 

Corporate Background

Avillion Berhad provides diversified commercial services. The Company engages in property development and management, marina, spa, advertising and media, investment, hospitality, and travel and tour operations. Avillion serves customers in Malaysia, Singapore, Hong Kong, and Australia.

Forecast: AVI 8885

Number of Share

944, 406, 750

Market Capital (RM)

70, 830, 506

Forecasted Profit or Loss (RM)

-8, 303, 516

Estimated Future EPS (sen)

-0.879

Perspective P/E ratio

-8.53

Estimated Dividend Yield (%)

0

Adjusted NTA (RM)

0.23

Result

Quarter Report History

Date Revenue,k PBT,k Net Profit,k
27/02/20 18,801 100 -327
28/11/19 19,825 -2,804 -3,306
22/08/19 15,099 -5,201 -5,427
30/05/19 21,583 -26,457 -24,514
28/02/19 25,720 -3,508 -3,692
26/11/18 29,082 -2,686 -2,918
03/09/18 34,433 -4,037 -4,300
28/05/18 28,512 -5,640 -4,466
13/02/18 34,468 -886 -1,578
24/11/17 32,948 -2,645 -3,043
30/08/17 35,469 -1,490 -1,792
29/05/17 42,285 557 -226

Fundamental

Fundamental Analysis

Last 4 Quarter Revenue (RM’000) 75,308
Last 4 Quarter Net Profit (RM’000) -33,663
Last 4 Quarter EPS (sen) -3.89
Last 4 Quarter PER
Last 4 Quarter Dividend (sen)
Last 4 Quarter Dividend Yield (%)
Net Tangible Assets (RM) 0.30
Goodwill (RM) 0
Cash (RM’000) 8,730
Debt (RM’000) 96,930
Total Debt (RM’000) 162,810
Net Assets (RM’000) 220,790
Current Ratio 0.78
Quick Ratio 0.27
Cash Ratio 0.10

Technical

Technical Analysis

MACD (26 vs 12) 0.002
Exponential Moving Average 5 0.072
Exponential Moving Average 20 0.07
Exponential Moving Average 90 0.083
Relative Strength Index 14 0.47
Stochastic %D 3 0.33
Stochastic %K 14 0.14

5 reviews for AVI 8885

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  1. Investing Malaysia

    AVI is forecasted to made loss of 8.04 millions, with an adjusted market capitalization of 146.38 millions

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  2. Investing Malaysia

    Stock code of 8885 in Bursa Malaysia did not propose any dividend for the past few years

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  3. Investing Malaysia

    Avillion Bhd gets a score of 10.36 in our stability test after the balance sheet, money statement study

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  4. Investing Malaysia

    AVI gets a score of 12.43 in our equity and assets quality test based on current share price of RM0.18

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  5. Investing Malaysia

    Average investing volume for Avillion Bhd in the past three months in stock market was 9904k lots

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