- 26% SCC 0158
VALUE BUY

SCC 0158

RM0.57 RM0.42

(5 customer reviews)
52 Weeks Range : 0.3 - 0.55

5 day volume Average = 61,920
20 day volume Average = 72,010
90 day volume Average = 89,954
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5.2/10 (Expert Score)
Stock is rated as #25 in category ACE Market
Buy Recommendation. Target Price of 0.568.
Prospective Profit
5.655
Assets
4.141
Dividend/ Cash
7.835
Liquidity
3.037
PROS:
  • Profitable business
  • High Dividend Yield
  • Cash Rich Company
CONS:
  • Low Price-to-Tangible ratio
  • High Gearing Ratio
  • Poor Market Liquidity

klse: SCC Holdings Bhd


Corporate Information

Board   : Ace

Shariah : Non-Shariah Compliant

Sector   : Wholesale Distributors Consumer

Address: 9 & 21, Jalan Hujan, Taman Overseas Union, , 58200, Kuala Lumpur

Contact: +603-77828384

Website: https://www.sccholdings.com.my/
 

Corporate Background

SCC Holdings Bhd. is an investment holding company. The Company’s subsidiaries are involved in the sales, marketing, and distribution of non-antibiotic animal health products and the sales, marketing, and distribution of food service equipment.

Forecast: SCC 0158

Number of Share

141, 160, 140

Market Capital (RM)

59, 993, 060

Forecasted Profit or Loss (RM)

5, 056, 388

Estimated Future EPS (sen)

3.54

Perspective P/E ratio

11.865

Estimated Dividend Yield (%)

5.679

Adjusted NTA (RM)

0.31

Result

Quarter Report History

Date Revenue,k PBT,k Net Profit,k
28/05/20 13,704 773 429
21/02/20 17,189 3,389 2,713
21/11/19 17,721 1,921 1,295
22/08/19 17,036 1,485 904
28/05/19 13,227 752 395
25/02/19 16,807 3,544 2,635
23/11/18 20,056 2,867 2,134
27/08/18 15,221 2,019 1,454
28/05/18 14,075 1,169 801
23/02/18 17,443 3,708 3,078
24/11/17 16,061 2,093 1,543
25/08/17 15,810 1,128 720

Fundamental

Fundamental Analysis

Last 4 Quarter Revenue (RM’000) 65,650
Last 4 Quarter Net Profit (RM’000) 5,341
Last 4 Quarter EPS (sen) 3.78
Last 4 Quarter PER 11.23
Last 4 Quarter Dividend (sen) 1.70
Last 4 Quarter Dividend Yield (%) 4.00
Net Tangible Assets (RM) 0.30
Goodwill (RM) 10
Cash (RM’000) 20,490
Debt (RM’000) 854
Total Debt (RM’000) 8,320
Net Assets (RM’000) 42,910
Current Ratio
Quick Ratio
Cash Ratio

Technical

Technical Analysis

MACD (26 vs 12)
Exponential Moving Average 5 0.404
Exponential Moving Average 20 0.407
Exponential Moving Average 90 0.425
Relative Strength Index 14 0.46
Stochastic %D 3 0.14
Stochastic %K 14 0.14

5 reviews for SCC 0158

3.8 out of 5
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  1. Investing Malaysia

    SCC is estimated to have a profit consensus of 5.03 millions, with an adjusted market capitalization of 63.52 millions

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  2. Investing Malaysia

    Stock code of 0158 in Bursa Malaysia declared adjusted 7.04% dividend yield in past few years

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  3. Investing Malaysia

    SCC Holdings Bhd gets a score of 35.34 in our stability test after the balance sheet, money statement study

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  4. Investing Malaysia

    SCC gets a score of 19.3 in our equity and assets quality test based on current share price of RM0.47

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  5. Investing Malaysia

    Average investing volume for SCC Holdings Bhd in the past three months in stock market was 42.1k lots

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