Kuala Lumpur - Delayed Quote MYR

Top Glove Corporation Bhd. (7113.KL)

Compare
1.1500
-0.0500
(-4.17%)
At close: 4:59:54 PM GMT+8
Currency in MYR All numbers in thousands
Breakdown
TTM
8/31/2024
8/31/2023
8/31/2022
8/31/2021
Total Revenue
2,906,840.0000
2,514,408.0000
2,257,221.0000
5,572,349.0000
16,361,443.0000
Cost of Revenue
--
2,249,085.0000
2,192,901.0000
4,618,972.0000
5,259,336.0000
Gross Profit
--
265,323.0000
64,320.0000
953,377.0000
11,102,107.0000
Operating Expense
784,658.0000
447,869.0000
596,936.0000
660,683.0000
1,201,216.0000
Operating Income
-126,903.0000
-182,546.0000
-532,616.0000
292,694.0000
9,900,891.0000
Net Non Operating Interest Income Expense
5,384.0000
2,832.0000
4,611.0000
19,892.0000
57,388.0000
Pretax Income
40,941.0000
-31,341.0000
-900,415.0000
358,424.0000
10,033,813.0000
Tax Provision
-1,573.0000
-9,929.0000
-14,866.0000
76,834.0000
2,209,821.0000
Net Income Common Stockholders
-1,691.0000
-64,876.0000
-925,218.0000
225,564.0000
7,710,327.0000
Diluted NI Available to Com Stockholders
-1,691.0000
-64,876.0000
-925,218.0000
225,564.0000
7,710,327.0000
Basic EPS
-0.00
-0.01
-0.12
0.03
0.96
Diluted EPS
-0.00
-0.01
-0.12
0.03
0.96
Basic Average Shares
8,009,212.0000
8,008,766.0000
8,008,644.0000
8,008,219.0000
8,039,195.0000
Diluted Average Shares
8,010,596.7500
8,009,116.0000
8,008,644.0000
8,012,050.0000
8,045,948.0000
Rent Expense Supplemental
--
3,671.0000
3,448.0000
3,208.0000
3,114.0000
Total Expenses
3,033,743.0000
2,696,954.0000
2,789,837.0000
5,279,655.0000
6,460,552.0000
Net Income from Continuing & Discontinued Operation
45,046.0000
-18,266.0000
-878,608.0000
275,728.0000
7,761,677.0000
Normalized Income
-42,561.4800
-95,505.9248
-288,506.8002
291,483.0997
7,754,847.8392
Interest Income
13,032.0000
12,773.0000
17,357.0000
24,313.0000
61,575.0000
Interest Expense
7,648.0000
9,941.0000
12,746.0000
4,421.0000
4,187.0000
Net Interest Income
5,384.0000
2,832.0000
4,611.0000
19,892.0000
57,388.0000
EBIT
48,589.0000
-21,400.0000
-887,669.0000
362,845.0000
10,038,000.0000
EBITDA
337,586.0000
266,092.0000
-544,657.0000
710,999.0000
10,346,664.0000
Reconciled Cost of Revenue
--
2,249,085.0000
2,192,901.0000
4,618,972.0000
5,259,336.0000
Reconciled Depreciation
288,997.0000
287,492.0000
343,012.0000
348,154.0000
308,664.0000
Net Income from Continuing Operation Net Minority Interest
45,046.0000
-18,266.0000
-878,608.0000
275,728.0000
7,761,677.0000
Total Unusual Items Excluding Goodwill
115,273.0000
113,057.0000
-388,173.0000
-20,054.0000
8,758.0000
Total Unusual Items
115,273.0000
113,057.0000
-179,836.0000
-20,054.0000
8,758.0000
Normalized EBITDA
222,313.0000
153,035.0000
-364,821.0000
731,053.0000
10,337,906.0000
Tax Rate for Calcs
0.0002
0.0003
0.0000
0.0002
0.0002
Tax Effect of Unusual Items
27,665.5200
35,817.0752
-6,408.8002
-4,298.9003
1,928.8392
8/31/2021 - 3/27/2001

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