Kuala Lumpur - Delayed Quote MYR
PTT Synergy Group Berhad (7010.KL)
1.2400
+0.0400
+(3.33%)
At close: 4:58:11 PM GMT+8
Breakdown
TTM
6/30/2024
6/30/2023
6/30/2022
6/30/2021
Total Revenue
356,734.5960
325,105.5960
163,414.5990
125,555.3480
62,238.6180
Cost of Revenue
280,211.9280
257,591.9280
131,945.5600
100,898.5190
51,140.1510
Gross Profit
76,522.6680
67,513.6680
31,469.0390
24,656.8290
11,098.4670
Operating Expense
38,224.4080
38,278.4080
18,178.9160
12,732.4580
7,210.4280
Operating Income
38,298.2600
29,235.2600
13,290.1230
11,924.3710
3,888.0390
Net Non Operating Interest Income Expense
-27,025.0340
-22,128.0340
-4,491.7390
-522.0810
-660.7440
Pretax Income
36,690.4060
32,325.4060
9,051.1230
11,701.0710
-2,138.2980
Tax Provision
11,698.5050
11,096.5050
6,850.2920
2,295.7070
-958.0250
Net Income Common Stockholders
23,983.0650
20,618.0650
1,592.3680
8,415.8670
-1,094.1990
Diluted NI Available to Com Stockholders
23,983.0650
20,618.0650
1,592.3680
8,415.8670
-1,094.1990
Basic EPS
0.08
0.06
0.01
0.05
-0.01
Diluted EPS
0.08
0.06
0.01
0.05
-0.01
Basic Average Shares
350,855.5140
350,855.5140
185,720.5480
161,369.8640
102,857.1200
Diluted Average Shares
432,162.1620
350,855.5140
185,720.5480
161,369.8640
102,857.1200
Total Operating Income as Reported
64,399.6000
55,137.6000
13,887.8700
12,257.9650
-1,477.5540
Rent Expense Supplemental
--
1,011.2200
10.6580
--
--
Total Expenses
318,436.3360
295,870.3360
150,124.4760
113,630.9770
58,350.5790
Net Income from Continuing & Discontinued Operation
23,983.0650
20,618.0650
1,592.3680
8,415.8670
-1,094.1990
Normalized Income
23,176.5385
19,840.4665
1,500.3996
8,397.7911
-1,094.1990
Interest Income
883.1600
684.1600
345.0080
34.8130
--
Interest Expense
27,908.1940
22,812.1940
4,836.7470
556.8940
660.7440
Net Interest Income
-27,025.0340
-22,128.0340
-4,491.7390
-522.0810
-660.7440
EBIT
64,598.6000
55,137.6000
13,887.8700
12,257.9650
-1,477.5540
EBITDA
86,408.0640
75,251.0640
19,428.4410
14,275.4190
-701.8540
Reconciled Cost of Revenue
280,211.9280
257,591.9280
131,945.5600
100,898.5190
51,140.1510
Reconciled Depreciation
21,809.4640
20,113.4640
5,540.5710
2,017.4540
775.7000
Net Income from Continuing Operation Net Minority Interest
23,983.0650
20,618.0650
1,592.3680
8,415.8670
-1,094.1990
Total Unusual Items Excluding Goodwill
1,184.0550
1,184.0550
121.0110
22.4880
--
Total Unusual Items
1,184.0550
1,184.0550
121.0110
22.4880
--
Normalized EBITDA
85,224.0090
74,067.0090
19,307.4300
14,252.9310
-701.8540
Tax Rate for Calcs
0.0003
0.0003
0.0002
0.0002
0.0002
Tax Effect of Unusual Items
377.5285
406.4565
29.0426
4.4121
--
6/30/2021 - 1/3/2000
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