31/10/2014 13:20:34 Free Membership Login

Southeast Asia Cement Holdings Financial Data

Company name:Southeast Asia Cement Holdings IncStatus:Active
End of fiscal year:December 31 2011ISINPHY8078Q1133
Year established:1994Company sector name:Basic Materials
Trading currency:PHPIndustry name:Building Materials
Place of incorporation:Philippines (PH)Industry group nameBuilding Materials
Doing business in:Philippines (PH)AddressSalcedo Tower, 25th Floor
169 HV Dela Costa Street, 1226
Tel.:+63 28854599City/Country:Makati, Philippines
Fax:+63 24789659
Company description:Southeast Asia Cement Holdings Inc through its subsidiary, engages in buying, selling, distributing, and marketing goods, commodities, wares, and merchandise related to construction.
Price Price change [%] Bid Offer Open High Low Volume
2.18  +0.00[+0.00%] 1.15 2.61 - - - 0
Market Cap. [m] Shares In Issue [m] Beta EPS DPS PE Ratio Yield 52-Wks-Range
16,431.9 7,537.6 1.04 - - - - - - 3.70

CMT@OL KEY FIGURES (at previous day's close)

Yesterday's Close
2.18
PE Ratio
-
Market Capitalisation
16,431.91
mil
Latest Shares Outstanding
7,537.57
mil
Earnings pS (EPS)
-
Dividend pS (DPS)
-
Dividend Yield
-
%
Sales per Employee
-
Effective Tax Rate
-
%
Foreign Sales
-
mil
Domestic Sales
-
mil
Selling, General & Adm/tive (SG...
-
%
Research & Devlopment (R&D) as ...
-
%
Gross Profit Margin
-
%
EBITDA Margin
-
%
Pre-Tax Profit Margin
-
%
Assets Turnover
-
%
Return on Assets (ROA)
-
%
Return on Equity (ROE)
-
%
Return on Capital Invested (ROC...
-
%
Current Ratio
-
Leverage Ratio (Assets/Equity)
-
%
Interest Cover
-
Total Debt/Equity (Gearing Rati...
-
%
LT Debt/Total Capital
-
%
Working Capital pS
-
Cash pS
-
Book-Value pS
-
Tangible Book-Value pS
-
Cash Flow pS
-
Free Cash Flow pS
-
Spread
1.46
Gross gearing
-
%
Net Debt
-
mil

CMT@OL Balance Sheet Chart (December 31 2011)

:liab eq:assets
Period † High Low
1 Week2.300.00
1 Month2.380.00
3 Months3.700.00
6 Months3.700.00
1 Year3.700.00
3 Years3.750.00
5 Years3.750.00

Share price performance previous 3 years

Share price performance intraday

Period † Open Open Avg. VWAP Min Vol Max Vol Avg. Daily Vol [m] Change %
1 Week2.292.272.30026452-0.11-4.80%
1 Month2.002.111.9801,2261920.189.00%
3 Months2.502.352.2601,773236-0.32-12.80%
6 Months1.152.192.1605,8743081.0389.57%
1 Year0.901.621.8305,8742141.28142.22%
3 Years1.401.721.7107,3923430.7855.71%
5 Years1.491.691.7007,3923130.6946.31%

CMT@OL Growth Ratios (-)

1 year 3 years 5 years 10 years
Diluted EPS growth
-
-
-
-
Diluted continuous EPS growth
-
-
-
-
Dividend growth
-
-
-
-
Equity per share growth
-
-
-
-
Revenue growth
-
-
-
-
Operating income growth
-
-
-
-
Net income growth
-
-
-
-
Net income cont growth
-
-
-
-
CFO growth
-
-
-
-
FCF growth
-
-
-
-
Operating revenue growth
-
-
-
-

CMT@OL Income Statement December 31 2011 (PHP)

Total Revenue
23.77
Operating Revenue
23.77
Gross Profit
23.77
Cost of Revenue
0.00
Operating Expenses
7.79
Selling,General and Administr...
2.90
General and Administrative Ex...
2.90
Other Operating Expenses
4.89
Operating Income
15.98
Other Income/Expense,Net
653.04
Other Non-Operating Income/Ex...
653.04
Other Non-Operating Income
653.04
Pretax Income
669.02
Provision for Income Tax
0.02
Net Income Available to Commo...
669.00
Net Income
669.00
Net Income from Continuing Op...
669.00
Basic EPS
0.09
Basic EPS from Continuing Ope...
0.09
Diluted EPS
0.09
Diluted EPS from Continuing O...
0.09
Basic Weighted Average Shares...
7,429.88
Diluted Weighted Average Shar...
7,429.88
Net Income from Continuing an...
669.00
Normalized Income
669.00
Basic EPS,Continuing and Disc...
0.09
Diluted EPS,Continuing and Di...
0.09
Dividend Per Share
0.00
Non Operating Income
653.04
Net Income from Continuing Op...
669.00
Earning Before Interest Tax D...
15.98
Cost of Revenue,Reconciled
0.00
Tax rate for calculations
0.00
Calculated Tax Effect Of Unus...
0.00
Normalized Basic EPS
0.09
Normalized Diluted EPS
0.09

CMT@OL Efficency Ratios (-)

Days in sales
-
Days in inventory
-
Days in payment
-
Cash conversion cycle
-
Receivable turnover
-
Inventory turnover
-
Payable turnover
-
Fixed assets turnover
-
Assets turnover
-
ROE
-
ROA
-
ROIC
-
FCF sales ratio
-
FCF net income ratio
-
Capital expenditure sales ratio
-

CMT@OL Financial Health Ratios (-)

Current ratio
-
Quick ratio
-
Debt total capital ratio
-
Debt equity ratio
-
Financial leverage
-
Total debt to equity
-

CMT@OL Avearge Growth Ratios Over 5 Years (-)

Growth ann capital spending
-
Growth ann gross profit
-
Avg gross margin
-
Avg post tax margin
-
Avg pre tax marginr
-
Avg net profit
-
Avg ret commonr
-
Avg ret assets
-
Avg ret invested capital
-

CMT@OL Profitability Ratios (-)

Gross margin
-
Operating margin
-
EBT margin
-
Tax rate
-
Net margin
-
Sales per employee
-
EBIT margin
-
EBITDA margin
-
Normalized net profit margin
-
Interest coverage
-
Inc per employee tot ops
-

CMT@OL Valuation Ratios (-)

Sales per share
-
Growth ann sales per share 5 ye...
-
Book value per share
-
CF per share
-
Price to EPS
-
Ratio PE 5 year high
-
Ratio PE 5 year low
-
Price to book
-
Price to sales
-
Price to cash flow
-
Price to free cash flow
-
Div rate
-
Dividend yield
-
Div payout tot ops
-
Div payout 5 year
-
Payout ratio
-
Sustainable growth rate
-
Cash return
-

CMT@OL Balance Sheet December 31 2011 (PHP)

Total Assets
6,396.92
Current Assets
837.18
Cash and Cash Equivalents
826.89
Prepaid Assets and Others
10.29
Other Current Assets
826.89
Total Non-Current Assets
5,559.75
Deferred Taxes,Non-Current As...
5,553.00
Total Investments
5,435.78
Long term equity investment
5,435.78
Investments in Associates, at...
5,435.78
Investment Properties
123.96
Total Liabilities
3.00
Current Liabilities
3.00
Payables
3.00
Taxes Payable
0.00
Provisions,Long Term
0.00
Total Equity
6,393.93
Stockholder's Equity
6,393.93
Capital Stock
2,257.47
Retained Earnings
4,142.49
Treasury Stock
222.27
Other Reserves
216.24
Total Liabilities Inc MI
3.00
Total Non-Current Liabilities...
0.00
Total Capitalization
6,393.93
Common Stock Equity
6,393.93
Ordinary Shares Number
6,449.92
Net Tangible Assets
6,393.93
Working Capital
834.18
Invested Capital
6,393.93
Tangible Book Value
6,393.93
Total Equity
6,393.93

CMT@OL Cash Flow December 31 2011 (PHP)

Cash Flow from Operating Acti...
421.31
Net Income from Continuing Op...
669.02
Total Adjustments for Non-Cas...
-676.81
Other Non-Cash Items
-675.81
Provision and Write-Off of As...
-1.00
Other Adjustments for Which C...
-22.77
Changes in Working Capital
-4.51
Change in Payables
-3.54
Other Financing
0.00
Dividend Received, CFO
433.61
Taxes Refund/Paid
-156.00
Cash Flow from Investing Acti...
22.77
Interest Received, CFI
22.77
Cash Flow from Financing Acti...
-190.44
Cash Dividends Paid
-190.44
Cash and Cash Equivalents,End...
826.89
Change in Cash
253.63
Cash and Cash Equivalents,Beg...
573.26


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