Fundamental - Factsheet
Genting Sing GENTING SINGAPORE LIMITED
Quotes 10 Minutes Delayed. Updated at 31 Aug 2021 17:15
|Last (SGD): 0.765||Change: -0.020||High: 0.785||Remarks: -|
|Change (%): -2.55||Low: 0.765|
|Buy Price||0.765||Sell Price||0.770|
|Buy Volume (000)||2,377.7||Sell Volume (000)||3,614.4|
|Cumulative Volume (000)||57,314.7||Cumulative Value||44,125,399|
31 Aug 2021 18:13
26 Aug 2021 09:00
14 Aug 2021 09:00
12 Aug 2021 18:14
12 Aug 2021 17:31
12 Aug 2021 17:18
24 Jul 2021 09:00
14 Jul 2021 09:00
|EPS (SGD) a||0.00574||Trailing EPS (SGD) e||0.00574||NAV (SGD) b||0.6479|
|PE a||133.275||Trailing PE f||133.296||Price / NAV b||1.1807|
|Dividend (SGD) d||0.010000||Cash In Hand (SGD) g||0.2647||Issued & Paid-up Shares c||12,064,805,000|
|Dividend Yield (%) d||1.307||Price / Cash In Hand g||2.890||Treasury Shares h||29,222,000|
|Beta - 75 Daysi||0.824||R-Squared - 75 Days(%)i||31.92||Market Cap (M)||9,229.576|
|Beta - 500 Daysi||1.179||R-Squared - 500 Days (%)i||52.77||Enterprise Value (M)||6,287.493|
|Piotroski F Score||4||Exchange Code||G13||Par Value ( USD )||n.a.|
|52 Weeks Volatility (%)||24.4952||6-Month VWAP||0.854||Free Float (%)||47.1|
|Under CPF Investment Scheme (CPFIS)||No|
|Sector & Industry||Accommodation & Food Service Activities - Casinos/Gaming|
|Index Components||FTSE ST All-Share Consumer Discretionary Index / FTSE ST All-Share Index / FTSE ST Large/Mid Cap Index / STI Index|
Based on latest Full Year results announcement, adjusted for the current number of shares.
Based on latest results announcement (Full Year, Half Year or Interim), adjusted for carrying value of Other Share Capital, illustrative financial effects of corporate actions (if applicable) and the current number of shares.
Rounded to the nearest thousand. The figure pertains to the respective exchange the stock is listed on. Updated on 18 Aug 2021.Please click here for more information.
Dividend is based on latest Full Year results announcement, adjusted for current number of shares and excludes special dividend.
Summation of the earnings from the latest 4 Quarter (or 2 Half Year) results announcement, adjusted for the current number of shares.
Based on Trailing EPS.
Based on reported cash and cash equivalents at end and extracted from the latest results announcement (Full Year, Half Year or Interim), adjusted for the current number of shares.
Rounded to the nearest thousand. Updated on 18 Aug 2021.
Beta and R-Squared are calculated in relation to the market index (STI or KLCI) using the historical daily closing values of the stock and index as data points.
|Type||Name||Market||Market Cap (M)a||PE b||Trailing PE c||Price / NAV d||Dividend Yield (%)d|
|FTSE ST All-Share Index||SGX||5,951.967||54.164||32.614||1.1212||3.142|
|FTSE ST Large/Mid Cap Index||SGX||10,042.445||54.493||34.656||1.1312||3.089|
|Global Peer||LAS VEGAS SANDS CORP||NYSE||33,187.726||-||-||13.3231||1.818|
|Global Peer||GALAXY ENT||HKEx||216,861.681||-||-||3.1292||-|
|Global Peer||SANDS CHINA LTD||HKEx||201,925.090||-||-||16.6467||-|
|Global Peer||CAESARS ENTERTAINMENT INC NEW||NASDAQ||21,795.472||-||-||4.2453||-|
|Global Peer||MGM RESORTS INTERNATIONAL||NYSE||20,557.001||-||-||3.3263||0.379|
|Global Peer||PENN NATIONAL GAMING INC||NASDAQ||12,784.575||-||28.977||4.3572||-|
|Global Peer||WYNN RESORTS LTD||NASDAQ||11,554.476||-||-||112.4507||0.934|
|Global Peer||CHURCHILL DOWNS INC||NASDAQ||8,078.435||-||39.465||25.4518||0.304|
|Global Peer||TABCORP HOLDINGS LIMITED||ASX||10,641.560||39.561||39.560||1.5893||3.027|
|Global Peer||SCIENTIFIC GAMES CORP||NASDAQ||6,991.622||-||-||-2.7866||-|
|Other Global Peers||BOYD GAMING CORP (NYSE), MELCO RESORTS AND ENTERTAINMENT LTD SPON ADR EACH REP 3 ORD SHS (NASDAQ), WYNN MACAU (HKEx), SJM HOLDINGS (HKEx), GENTING (Bursa), CROWN RESORTS LIMITED (ASX), INTERNATIONAL GAME TECHNOLOGY PLC (NYSE), GENM (Bursa), MGM CHINA (HKEx), RUSH STREET INTERACTIVE INC (NYSE), THE STAR ENTERTAINMENT GROUP LTD (ASX), BALLYS CORPORATION (NYSE), MELCO INTL DEV (HKEx), EVERI HOLDINGS INC (NYSE), SKYCITY ENTERTAINMENT GROUP LTD (ASX), GOLDEN ENTMT INC (NASDAQ), STUDIO CITY INTERNATIONAL HLDGS LTD SPON ADS EACH REP 4 ORD SHS CL A (NYSE), MACAU LEGEND (HKEx), BETMAKERS TECHNOLOGY GROUP LTD (ASX), DYNAM JAPAN (HKEx), MAGNUM (Bursa), JUMBO INTERACTIVE LIMITED (ASX), GRAVITY CO LTD SPON ADS EA REP 1 ORD (NASDAQ), CENTURY CASINOS MANAGEMENT INC (NASDAQ), BJCORP (Bursa), BJLAND (Bursa), FULL HOUSE RESORTS INC (NASDAQ), BJASSET (Bursa), EMPEROR E HOTEL (HKEx), PARADISE ENT (HKEx), ELYS GAME TECHNOLOGY CORP (NASDAQ), REEF CASINO TRUST (ASX), CANTERBURY PARK HLDGS CORP (NASDAQ), CHINA ECOTOUR (HKEx), DONACO INTERNATIONAL LIMITED (ASX), RICH GOLDMAN (HKEx), ASIA PIONEER (HKEx), CENTURY ENT INT (HKEx)|
For companies, Market Cap is based on the trading currency of the company. Industry/Index Market Cap is the average market cap for that industry/index.
Industry/Index PE is calculated using (Total Market Cap/Total Earnings) of all companies in the industry/index.
Industry/Index Price/NAV is calculated using (Total Market Cap/Total Shareholders Equity) of all companies in the industry/index.
Industry/Index Dividend Yield is calculated using (Total Gross Dividend/Total Market Cap) of all companies in the industry/index.
For Industry/Index calculation, data for foreign currency denominated companies will be converted to the main market currency using the latest exchange rate.
Industry/Index/Peers data is updated daily.
Peers are sorted by market capitalisation and only details for the top 10 will be shown.
Total Shareholder Return
|Period||Dividend Received||Capital Appreciation||Total Shareholder Return|
|Short Term Return||5 Days||-||-0.020||-2.55 %|
|10 Days||-||-0.045||-5.56 %|
|20 Days||-||-0.035||-4.38 %|
|Medium Term Return||3 Months||-||-0.090||-10.53 %|
|6 Months||0.010||-0.080||-8.28 %|
|1 Year||0.010||+0.075||+12.32 %|
|Long Term Return||2 Years||0.050||-0.125||-8.43 %|
|3 Years||0.085||-0.345||-23.42 %|
|5 Years||0.150||-||+19.61 %|
|Annualised Return||Annualised||-||-||+3.65 %|
Total Shareholder Return (TSR) combines share price appreciation and dividends paid to show the total return to the shareholder expressed as a percentage.
Script dividends are ignored in this calculation.
|1 Year Range||0.635 - 0.955||Change From 1 Year Low||+0.130||% Change From 1 Year Low (%)||+20.47|
|Change From 1 Year High||-0.190||% Change From 1 Year High (%)||-19.90|
|2 Years Range||0.510 - 0.960||Change From 2 Years Low||+0.255||% Change From 2 Years Low (%)||+50.00|
|Change From 2 Years High||-0.195||% Change From 2 Years High (%)||-20.31|
|5 Years Range||0.510 - 1.410||Change From 5 Years Low||+0.255||% Change From 5 Years Low (%)||+50.00|
|Change From 5 Years High||-0.645||% Change From 5 Years High (%)||-45.74|
Price movements are based on adjusted historical data.
Genting Singapore Limited (Genting Singapore or Company) was incorporated in 1984 in the Isle of Man. The Company was converted into a public limited company on 20 March 1987 and listed on the Main Board of the Singapore Exchange Securities Trading Limited on 12 December 2005. Genting Singapore re-domiciled and transferred its registration from the Isle of Man to Singapore on 1 June 2018. Genting Singapore is a constituent stock of the Straits Times Index and is one of the largest companies in Singapore by market capitalisation.The principal activities of Genting Singapore and its subsidiaries (the Group) are in the development, management and operation of integrated resort destinations including gaming, hospitality, MICE, leisure and entertainment facilities. Since 1984, the Group has been at the forefront of gaming and integrated resort development in Australia, the Bahamas, Malaysia, the Philippines, the United Kingdom and Singapore. Genting Singapore owns Resorts World Sentosa in Singapore, an award-winning destination resort and one of the largest integrated resort destinations in Asia, offering a casino, S.E.A. Aquarium (one of the worlds largest Oceanariums), Adventure Cove Waterpark, Universal Studios Singapore theme park, hotels, MICE facilities, celebrity chef restaurants and specialty retail outlets.
|Listing Date||12 Dec 2005||Full Subscription Rate (x)||1.80|
|No of Placement Shares (M)||750.00||No of Public Offer Shares (M)||50.00||Public Offer Subscription Rate (x)||13.80|
|IPO Price (SGD) a||0.425||First Day Close (SGD) a||0.443||First Week Close (SGD) a||0.446|
|Current vs IPO Price (%)||+80.00||First Day Gain (%)||+4.24||First Week Gain (%)||+4.94|
Adjusted for the following: Right issue 3 for 5 @ $0.60 on 15/08/2007, Rights Issue 1 for 5 @ $0.80 on 18/09/2009
More Information Available
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While reasonable efforts have been taken to ensure that the calculations performed by the features of this site are reliable, the features are provided on the basis that:-
- no liability is accepted for any errors or inaccuracies resulting from your use of these features;
- many of the data inputs (including share prices) are obtained from third party sources for which we assume no responsibility.
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