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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).

Glomac Berhad

Main Activities: Construction of Buildings - Real Estate

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Company Information

Full name
Glomac Berhad

Headquarters
Level 12, Wisma Glomac 3, Kompleks Kelana Centre Point, Jalan SS7/19; Petaling Jaya; Selangor; 47301
Status: Listed
Legal Form: Public Limited Company
Operational Status: Operational
ISIN CODE : MYL5020OO002
Financial Auditors: Deloitte Touche Tohmatsu (2010)
Incorporation Date: November 23, 1983
Total Employees: 321

Tel: (60 3) 78019000

Company Description

The principal activities of GLOMAC are property development and investment holding. The principal activities of the subsidiaries are property investment and management, managing and operating of a clubhouse and investment holding. In 1988, two entrepreneurs, Tan Sri Dato FD Mansor and Datuk Richard Fong, joined forces to start Glomac. The rest, as they say, is history. Today, Glomac comprises more than 40 subsidiaries with interest in property development, property investment, construction, and
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Company Analysis

According to the Consolidated - Non-Audited financial statement for the first two cumulated quarters of 2013, total net operating revenues increased with 6.47%, from MYR 274,575 thousands to MYR 292,329 thousands. Operating result increased from MYR 64,665 thousands to MYR 69,606 thousands which means 7.64% change. The results of the period increased 7.86% reaching MYR 44,921 thousands at the end of the period against MYR 41,647 thousands last year. Return on equity (Net income/Total equity) went from 6.08% to 5.61%, the Return On Asset (Net income / Total Asset) went from 3.07% to 3.10% and the Net Profit Margin (Net Income/Net Sales) went from 15.17% to 15.37% when compared to the same period of last year. The Debt to Equity Ratio (Total Liabilities/Equity) was 86.57% compared to 107.71% of last year. Finally, the Current Ratio (Current Assets/Current Liabilities) went from 1.98 to 3.11 when compared to the previous year.

Key Executives

Mohamed Mansor Bin Fateh Din Group Executive Chairman
Loong Tuck, Richard Fong Group Executive Vice Chairman
Ikhwan Salim Bin Dato\' Haji Sujak Chairman Of Audit Committee
Fateh Iskandar Mohamed Mansor Group Managing Director
Ikhwan Salim Bin Dato\' Haji Sujak Non-Executive Director
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Balance Sheet

Total Assets

1,413,585

1,450,320

Current Assets

740,311

794,708

Total Liabilities

635,484

693,359

Shareholders Equity

820,938

800,886

Current Liabilities

206,263

255,712

* All the accounts are in MYR.
Income Statement

Total Operating Revenue

455,123

292,329

Operational Profit (Loss)

101,053

69,606

Net Profit (Loss)

70,287

44,921

* All the accounts are in MYR.
Ratios
Profitability Ratios

Return on Assets (ROA)

4.97%

3.1%

Annualised Return on Assets (ROA)

6.63%

6.2%

Return on Equity (ROE)

9.03%

5.93%

Annualised Return on Equity (ROE)

12.04%

11.86%

Return on Sales (ROS)

15.78%

15.74%

Return on Capital

6.12%

3.96%

Gross Profit Margin

30.08%

30.09%

Operating Profit Margin

21.6%

21.21%

Efficiency Ratios

Accounts Receivable Turnover

5.17x

3.73x

Inventory Turnover

1.29x

0.78x

Current asset turnover

0.60x

0.36x

Fixed-asset turnover

0.66x

0.44x

Asset Turnover

0.32x

0.20x

Valuation figures and ratios

Earning Before Interests and Taxes (EBIT)

106,010

67,397

EBITDA

106,010

67,397

Enterprise value

455,721

390,586

Enterprise Value / EBITDA

4.30

5.80

Bookvalue (BV)

996,018

1,024,340

Net Cash

52,500

74,715

Liquidity Ratios

Current Ratio

358.92%

310.78%

Quick ratio

241.67%

211.02%

Doom's day ratio

125.45%

129.22%

Leverage Ratios

Leverage ratio

181.67%

191.6%

Interest Coverage Ratio

-3,033.19%

3,218.58%

Debt to equity

81.67%

91.6%

Debt to total assets

44.96%

47.81%

Long Term Debt to Capital

54.12%

54.6%

Debt / Enterprise Value

91.63%

109.06%

Market ratios

Market Capitalization/EBITDA

2.40

3.73

Price/Book Ratio

0.27

0.23

Market Cap / Net cash

4.84

3.36

Trend Ratios

Revenue Trend

109.16%

108.68%

Net Income Trend

110.63%

107.86%

Operating Income Trend

93.27%

104.79%