HUBLINE 7013
FAIRLY VALUED

HUBLINE 7013

PREVCLOSECHANGEHIGHCLOSE
0.0450.050+0.0050.0500.040

VOLUMEBUY VOLBUYSELLSELL VOL
211,48519,0150.0450.050107,112

(6 customer reviews)
52 Weeks Range : 0.03 - 0.09

5 day volume Average = 4,079,640
20 day volume Average = 3,531,215
90 day volume Average = 41,152,095
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3.3/10 (Expert Score)
Stock is rated as #143 in category BM Trading & Services
Fairly Valued. Reach or higher than intrinsic value.
PROS:
  • Very High Trading Value
CONS:
  • Poor Income Near Future
  • No Dividend Declared
  • Very Low Price-to-Tangible
  • Company in Debt
  • High Gearing Ratio
  • Face Stock Dillution

klse: Hubline Bhd


Corporate Information

Board   : Main

Shariah : Shariah Compliant

Sector   : Chemicals Ringgit

Address: Wisma Hubline,Lease No.3815 (Lot 10914), Section 64, KTLD,Jalan Datuk Abang Abdul Rahim, Kuching, 93450, Sarawak

Contact: +6082-335393

Website: https://www.hubline.com/
 

Corporate Background

Hubline Berhad is an investment holding company. The Company, through its subsidiaries, is involved in investment holding, shipping services, shipping agent, ship owning and chartering and the provision of marine cargo handling services.

Forecast: HUBLINE 7013

Market Capital (RM) 380, 969, 020
Forecasted Profit or Loss (RM) -2, 464, 210
Estimated Future EPS (sen) -0.055
Perspective P/E ratio -90.696
Estimated Dividend Yield (%) 0
Adjusted NTA (RM) 0.039

Result

Quarter Report History

Date Revenue,k PBT,k Net Profit,k
28/08/20 29,827 -8,606 -11,370
26/06/20 36,461 -1,992 -2,605
27/02/20 35,867 722 101
28/11/19 38,457 440 -1,041
29/08/19 31,787 342 -397
23/05/19 24,552 138 452
21/02/19 27,982 89 383
29/11/18 28,189 -6,407 -6,370
28/08/18 27,099 177 325
15/05/18 22,035 337 318
26/02/18 25,225 778 1,527
27/11/17 22,116 -4,006 -3,924

Fundamental

Fundamental Analysis

Last 4 Quarter Revenue (RM’000) 140,612
Last 4 Quarter Net Profit (RM’000) -13,447
Last 4 Quarter EPS (sen) -0.41
Last 4 Quarter PER
Last 4 Quarter Dividend (sen)
Last 4 Quarter Dividend Yield (%)
Net Tangible Assets (RM) 0.06
Goodwill (RM) 25,860
Cash (RM’000) 14,380
Debt (RM’000) 77,010
Total Debt (RM’000) 156,010
Net Assets (RM’000) 176,780
Current Ratio 0.76
Quick Ratio 0.64
Cash Ratio 0.25

Technical

Technical Analysis

MACD (26 vs 12) -0.002
Exponential Moving Average 5 0.044
Exponential Moving Average 20 0.046
Exponential Moving Average 90 0.054
Relative Strength Index 14 0.33
Stochastic %D 3 0.50
Stochastic %K 14 0.50

6 reviews for HUBLINE 7013

2.2 out of 5
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  1. Avatar

    BURSA MALAYSIA

    Group revenue for the quarter ended 30 June 2020 was RM 29.83 million which was RM 1.96 million lower when compared to the corresponding period of the previous year. This is due to reduced shipments undertaken by our dry bulk division as many countries closed their borders due to the COVID-19 pandemic.

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    Investing Malaysia

    Average investing volume for Hubline Bhd in the past three months in stock market was 4339.1k lots

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    Investing Malaysia

    HUBLINE gets a score of 12.82 in our equity and assets quality test based on current share price of RM0.045

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    Investing Malaysia

    Hubline Bhd gets a score of 12.03 in our stability test after the balance sheet, money statement study

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    Investing Malaysia

    Stock code of 7013 in Bursa Malaysia did not propose any dividend for the past few years

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    Investing Malaysia

    HUBLINE is forecasted to made loss of 0.52 millions, with an adjusted market capitalization of 195.69 millions

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    HUBLINE 7013

    PREVCLOSECHANGEHIGHCLOSE
    0.0450.050+0.0050.0500.040

    VOLUMEBUY VOLBUYSELLSELL VOL
    211,48519,0150.0450.050107,112

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