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Malaysia
Company data displayed is for sample purposes only and may not reflect the most current information available on Emerging Markets Information Service (EMIS).

Fajarbaru Builder Group Bhd.

Main Activities: Construction of Buildings - Specialty Trade Contractors - Cement and Concrete Product Manufacturing - Lumber and Other Construction Materials Merchant Wholesalers

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Company Information

Full name
Fajarbaru Builder Group Bhd.

Headquarters
61 & 63, Jalan SS6/12, Kelana Jaya; Petaling Jaya; Selangor; 47301
Legal Address
No. 1 & 1A, 2nd Floor (Room 2),Jalan Ipoh Kecil; Kuala Lumpur; Wilayah Persekutuan; 50350
Status: Listed
Legal Form: Public Limited Company
Operational Status: Operational
ISIN CODE : MYL7047OO003
Financial Auditors: Ernst & Young (2010)
Incorporation Date: November 16, 1993
Total Employees: 35

Tel: (60 3) 78049698

Company Description

The principal activities of FAJAR are investment holding and provision of management services. The principal activities of the subsidiaries are construction, manufacturing of readymix concrete, trading of construction materials and property
¶development. Fajarbaru Builders Group Bhd (formally known as Fajar Baru Capital Berhad) was incorporated on 16 Nov 1993 as a private limited company under the name Bayu Tuah Sdn Bhd;. It changed its name to Fajar baru Capital Berhad when it converted into
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Company Analysis

According to the Consolidated - Audited financial statement for the Year of 2012, total net operating revenues decreased with -22.30%, from MYR 181,507 thousands to MYR 141,039 thousands. Operating Results decreased from MYR 15,972 thousands to MYR -30,831 thousands. The results of the period reached MYR -21,279 thousands at the end of the period against MYR 13,604 thousands last year. Return on equity (Net income/Total equity) went from 9.47% to -15.69%, the Return On Asset (Net income / Total Asset) went from 6.19% to -8.55% and the Net Profit Margin (Net Income/Net Sales) went from 7.50% to -15.09% when compared to the same period of last year. The Debt to Equity Ratio (Total Liabilities/Equity) was 83.51% compared to 52.98% of last year. Finally, the Current Ratio (Current Assets/Current Liabilities) went from 2.29 to 1.81 when compared to the previous year.

Key Executives

Peng Ching Soo Kuan Chairman
Kin Kong Chai Executive Director
Leng Chooi Ooi Executive Director
Peng Ching Soo Kuan Executive Director
Kuan Ming Foong Independent Non Executive Director (Company)
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Balance Sheet

Total Assets

252,195

252,384

Current Assets

104,238

114,567

Total Liabilities

112,856

116,108

Shareholders Equity

139,339

136,276

Current Liabilities

60,501

63,988

* All the accounts are in MYR.
Income Statement

Total Operating Revenue

70,890

32,905

Operational Profit (Loss)

1,921

878

Net Profit (Loss)

1,355

628

* All the accounts are in MYR.
Ratios
Profitability Ratios

Return on Assets (ROA)

0.54%

0.25%

Annualised Return on Assets (ROA)

1.08%

1%

Return on Equity (ROE)

0.97%

0.46%

Annualised Return on Equity (ROE)

1.94%

1.84%

Return on Sales (ROS)

1.93%

1.94%

Return on Capital

0.73%

0.34%

Gross Profit Margin

11.23%

11.32%

Operating Profit Margin

2.76%

2.31%

Efficiency Ratios

Accounts Receivable Turnover

1.64x

0.97x

Inventory Turnover

28.86x

58.95x

Current asset turnover

0.67x

0.28x

Fixed-asset turnover

0.47x

0.24x

Asset Turnover

0.28x

0.13x

Valuation figures and ratios

Earning Before Interests and Taxes (EBIT)

1,876

833

EBITDA

2,645

1,216

Enterprise value

102,666

84,834

Enterprise Value / EBITDA

38.82

69.77

Bookvalue (BV)

206,413

204,504

Net Cash

-6,000

13,897

Liquidity Ratios

Current Ratio

172.29%

179.04%

Quick ratio

168.72%

178.28%

Doom's day ratio

90.08%

121.72%

Leverage Ratios

Leverage ratio

180.99%

185.2%

Interest Coverage Ratio

177.99%

175.37%

Debt to equity

80.99%

85.2%

Debt to total assets

44.75%

46%

Long Term Debt to Capital

35.65%

35.55%

Debt / Enterprise Value

44.59%

56.44%

Market ratios

Market Capitalization/EBITDA

42.11

94.44

Price/Book Ratio

0.50

0.59

Market Cap / Net cash

-18.56

8.26

Trend Ratios

Revenue Trend

65.6%

58.79%

Net Income Trend

48.85%

40.94%

Operating Income Trend

69.43%

58.01%