KLSE (MYR): ARMADA (5210)
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Last Price
0.63
Today's Change
+0.01 (1.61%)
Day's Change
0.615 - 0.63
Trading Volume
18,197,700
Market Cap
3,735 Million
NOSH
5,928 Million
Latest Quarter
30-Sep-2024 [#3]
Announcement Date
22-Nov-2024
Next Quarter
31-Dec-2024
Est. Ann. Date
28-Feb-2025
Est. Ann. Due Date
01-Mar-2025
QoQ | YoY
-20.54% | 18.88%
Revenue | NP to SH
2,389,240.000 | 552,342.000
RPS | P/RPS
40.31 Cent | 1.56
EPS | P/E | EY
9.32 Cent | 6.76 | 14.79%
DPS | DY | Payout %
0.00 Cent | 0.00% | 0.00%
NAPS | P/NAPS
0.96 | 0.66
QoQ | YoY
6.47% | -22.01%
NP Margin | ROE
23.34% | 9.71%
F.Y. | Ann. Date
30-Sep-2024 | 22-Nov-2024
Latest Audited Result
31-Dec-2023
Announcement Date
30-Apr-2024
Next Audited Result
31-Dec-2024
Est. Ann. Date
30-Apr-2025
Est. Ann. Due Date
29-Jun-2025
Revenue | NP to SH
2,133,089.000 | 332,059.000
RPS | P/RPS
35.98 Cent | 1.75
EPS | P/E | EY
5.60 Cent | 11.25 | 8.89%
DPS | DY | Payout %
0.00 Cent | 0.00% | 0.00%
NAPS | P/NAPS
0.94 | 0.67
YoY
-54.66%
NP Margin | ROE
13.74% | 5.97%
F.Y. | Ann. Date
31-Dec-2023 | 28-Feb-2024
Revenue | NP to SH
2,355,009.333 | 957,105.333
RPS | P/RPS
39.73 Cent | 1.59
EPS | P/E | EY
16.15 Cent | 3.90 | 25.63%
DPS | DY | Payout %
-
NAPS | P/NAPS
-
QoQ | YoY
-5.52% | 44.27%
NP Margin | ROE
41.47% | 16.83%
F.Y. | Ann. Date
30-Sep-2024 | 22-Nov-2024
Date | Financial Result | Financial Ratio | Per Share Item | Performance | Valuation (End of Quarter) | Valuation (Ann. Date) | |||||||||||||||||||||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
F.Y. | Ann. Date | Quarter | # | Revenue | PBT | NP | NP to SH | Div | Net Worth | Div Payout % | NP Margin | ROE | NOSH | RPS | Adj. RPS | EPS | Adj. EPS | DPS | Adj. DPS | NAPS | Adj. NAPS | QoQ | YoY | EOQ Date | EOQ Price | EOQ P/RPS | EOQ P/EPS | EOQ P/NAPS | EOQ EY | EOQ DY | ANN Date | ANN Price | ANN P/RPS | ANN P/EPS | ANN P/NAPS | ANN EY | ANN DY |
PBT = Profit before Tax, NP = Net Profit, NP to SH = Net Profit Attributable to Shareholder, Div = Dividend, NP Margin = Net Profit Margin, ROE = Return on Equity, NOSH = Number of Shares, RPS = Revenue per Share, EPS = Earning Per Share, DPS = Dividend Per Share, NAPS = Net Asset Per Share, EOQ = End of Quarter, ANN = Announcement, P/RPS = Price/Revenue per Share, P/EPS = Price/Earning per Share, P/NAPS = Price/Net Asset per Share, EY = Earning Yield, DY = Dividend Yield.
NOSH is estimated based on the NP to SH and EPS. Div is an estimated figure based on the DPS and NOSH. Net Worth is an estimated figure based on the NAPS and NOSH.
Div Payout %, NP Margin, ROE, DY, QoQ ⃤ & YoY ⃤ figures in Percentage; RPS, EPS & DPS's figures in Cent; and NAPS's figures in Dollar.
All figures in '000 unless specified.
big player is now collecting in hidden mode. it seems that, Armada is set to become big.
1 week ago
Maybe it is a few dozens small players that get share from a big player of a whale ?
1 week ago
Today I wanted to buy some shares as the price softened at the closing during 5 minute TPC phase at 16:50, and instead I pressed SELL. Well, that was silly mistake. Those things can happen to big boys too, with more price implication.
I was upset with myself, so I put a buy for tomorrow to repurchase. Hopefully at same price.
1 week ago
Merger will happen, the only issue is the pricing of BAB for the merger. They have been talking for more than a year now, if you recall the CEO mentioned of potential corporate exercice at BAB in a briefing about a year ago.
1 week ago
as informed 5 days ago in my earlier post. We have now 60 cents. Congrats to all who has entered during 55 cents limbo. At this point, the only sound action is to add.
1 week ago
TimCoke- Don't worry too much, everyone have their own strategy to invest, so when reach their target price then will automatically sell off.
Refer to your question - run right?
I think you have to set up two type of targets which is stop loss target and target price, this will be very useful for you.
6 days ago
Wait for me for what? The highest I averaged up at was RM0.47 a few months ago. I'm not likely to add to my holdings anytime soon. I'm just waiting on the sidelines to see how things pan out.
6 days ago
Yes. I heard that one before. Operator keeps price low to achieve some type of financial target for transaction in the future. I tried to suppress a penny stock (PN17) once, but it ended badly for me. Break through and an opportunity loss by selling too low.
5 days ago
Yes you do. And it was similar transaction value, but no loss, only breaking even. And my mistake was trying to block it on a few levels. It is like trying to stop the flood of the ocean at the beach using a bucket and a sandcastle. Buying wave goes through and continues. So is was happening with Armada. I saw 8 million offer (sell) at 60 sens yesterday, with only 0.5 buy at 59.5 sens. A few hour later 8 million was gone and price was 61. Next day it is 63.5. Momentum suggest that this too will be taken.
4 days ago
its also an obvious indicater at 0.595. When the volume hit extremely high to push pass the selling que...then only 0.60 appeared. This suggest a further TP than previous round. There are several significant indicator this round.
4 days ago
I sold some at 59.5 of Armada, because sometimes those even numbers, like 0.6 take longer to cross. I take almost the same money from sale, and it occurs easily. I think the best similar example is bitcoin at 100k. Breaking through seems difficult. No problem to sell at 98k.
Obviously, I underestimated buying momentum for Armada. Even though there are no big bid, people just buy and new levels are reached. My next selling will be around 70 - using IB guideline targets.
4 days ago
Oil prices are dropping ... I wait below 60 sen and hentam
https://theedgemalaysia.com/node/736972
2 days ago
What does it even mean ? Operator buying or selling, pingpong ?
Thanks for insight anyway.
7 hours ago
spencer628
所以这个合同已经标不到了?
1 week ago