KLSE (MYR): OMESTI-PB (9008PB)
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Last Price
0.615
Today's Change
-0.035 (5.38%)
Day's Change
0.59 - 0.65
Trading Volume
79,000
T4Q
31-Mar-2021
2020
31-Mar-2021
2019
31-Mar-2021
2018
31-Mar-2021
2017
31-Mar-2021
Total assets
238
-1.64%
1000
+11.55%
110
+81.66%
900
-13.16%
600
+235.36%
Total current assets
238
1000
110
900
600
Cash & equivalents
238
1000
110
900
600
Short term investments
238
1000
110
900
600
Total receivables, net
238
1000
110
900
600
Accounts receivable - trade, net
238
1000
110
900
600
Other receivables
238
1000
110
900
600
Total inventory
238
1000
110
900
600
Inventories - work in progress
238
1000
110
900
600
Inventories - progress payments & other
238
1000
110
900
600
Inventories - finished goods
238
1000
110
900
600
Inventories - raw materials
238
1000
110
900
600
Total non-current assets
238
1000
110
900
600
Long term investments
238
1000
110
900
600
Note receivable - long term
238
1000
110
900
600
Investments in unconsolidated subsidiaries
238
1000
110
900
600
Other investments
238
1000
110
900
600
Net property/plant/equipment
238
1000
110
900
600
Gross property/plant/equipment
238
1000
110
900
600
Accumulated depreciation, total
238
1000
110
900
600
Deferred tax assets
238
1000
110
900
600
Net intangible assets
238
1000
110
900
600
Other current assets, total
238
1000
110
900
600
Total liabilities
238
-1.64%
1000
+11.55%
110
+81.66%
900
-13.16%
600
+235.36%
Total current liabilities
-238
-1000
-110
-900
-600
Total non-current liabilities
-238
-1000
-110
-900
-600
Long term debt
238
1000
110
900
600
Long term debt excl. lease liabilities
238
1000
110
900
600
Capital and operating lease obligations
238
1000
110
900
600
Provision for risks & charge
-238
-1000
-110
-900
-600
Deferred tax liabilities
-238
-1000
-110
-900
-600
Other liabilities, total
-238
-1000
-110
-900
-600
Total equity
-238
-1.64%
-1000
+11.55%
-110
+81.66%
-900
-13.16%
-600
+235.36%
Total liabilities & shareholders' equities
238B
1000B
110B
900B
600B
Total debt
238
1000
110
900
600
Book value per share
-238
-1000
-110
-900
-600
according to the terms sheet, nothing is exciting on the current yield, i.e. 5/0.875=5.7% p.a. You may get this type of yield in most good dividend-paying companies or REITs. The most interesting part is the redemption mode of the RCPS which stated Any outstanding RPS as at the Maturity Date which
have not already been redeemed by the Company shall be mandatorily redeemed by
the Company.Any outstanding RPS as of the Maturity Date which
have not already been redeemed by the Company shall be mandatorily redeemed by
the Company.Any outstanding RPS as at the Maturity Date which
have not already been redeemed by the Company shall be mandatorily redeemed by
the Company. That means with the current price of 0.875, RCPS shall get back RM1.00 in two years on maturity.
So, the actual YTM={(1-0.875)+0.05+0.05}/0.875=25.7% / 2= 12.85% p.a
The only risk the the risk of the company being unable to redeem the RCPS on redemption due to financial constraints.
(This serves as a academic sharing purpose and not a recommendation to buy or sell!!!)
2024-03-08 09:51
The YTM looked very attractive but wondering how and where the company will get the $$$ needed to redeem the RPS.
2024-03-24 20:21
Another RI of RPS to redeem the mature RPS.
It is almost like refinance to finance the retired loan.
2024-03-24 20:50
compoundingeffect
Instrument Category : Securities of PLC
Instrument Type : Preference Shares
Description : 106,441,367 NEW REDEEMABLE PREFERENCE SHARES IN OMESTI BERHAD
("OMESTI") ("RPS") ISSUED PURSUANT TO THE RENOUNCEABLE RIGHTS ISSUE ("RIGHTS
ISSUE OF RPS WITH WARRANTS")
Initial Listing Information :
Listing Date : 07/04/2021
Issue Date : 01/04/2021
Issue / Ask Price : Malaysian Ringgit (MYR) 1.0000
Issue Size in Unit : 106,441,367.0000
Maturity Date : 31/03/2026
Revised Maturity Date :
Name of Guarantor: Not Applicable
Name of Trustee: Not Applicable
Coupon/Profit/Interest/Payment Rate: Cumulative gross preferential dividend
rate out of the distributable profits of Omesti, at a fixed rate of 5.0% per
annum based on the issue price of RM1.00 per RPS.
Coupon/Profit/Interest/Payment Frequency: The dividends for the RPS shall be
paid every 6 months period ending 30th June and 31st December of each year,
with the first dividend payment to be paid either on 30th June or 31st
December, commencing on or after 30th June 2021, wherein the dividend rate of
5.0% per annum shall be pro-rated from the date of issuance of the RPS. The
last dividend payment shall be made on the Maturity Date.
Redemption: The Company may at its option and discretion redeem any of the RPS
on a pro-rata basis at 100% of the Issue Price at any time during the tenure of
the RPS up to the Maturity Date by giving not less than 7 business days notice
of its intention to do so.Any outstanding RPS as at the Maturity Date which
have not already been redeemed by the Company shall be mandatorily redeemed by
the Company.
Exercise/Conversion Period : 5.00 Year(s)
Revised Exercise/Conversion Period : Not Applicable
Exercise/ Strike/ Conversion Price : Malaysian Ringgit (MYR) 0.0000
Revised Exercise/ Strike/ Conversion Price :
Exercise/ Conversion Ratio : 0
Revised Exercise/ Conversion Ratio :
Mode of Satisfaction of Exercise/Conversion Price : Not Applicable
Settlement Type/ Convertible into : Cash
Remarks : This announcement is dated 6 April 2021.
2024-03-08 09:38