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Multi-dimentional Analyses
Company Valuation Capital Tracking Short Selling Data
Moomoo > Quotes > AWZ Multi-Chem > Key Indicators
AWZ Multi-Chem
1.900
+0.060+3.26%
YOY
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(FY)2021/12/31(Q4)2021/12/31(Q2)2021/06/30(FY)2020/12/31
Financial Ratios
Efficiency Ratios
Cash Conversion Cycle (D)
-23.49% 48.0691 -- -- -- -- -8.77% 62.8267
Receivable Turnover (T)
29.94% 4.9801 -- -- -- -- 3.28% 3.8327
Inventory Turnover (T)
11.2% 10.9381 -- -- -- -- -10.47% 9.8363
Account Payable Turnover (T)
18.64% 6.2295 -- -- -- -- -9.79% 5.2507
Fixed Assets Turnover (T)
31.33% 48.2025 -- -- -- -- 4.86% 36.702
Total Asset Rate (T)
18.68% 2.1112 -- -- -- -- -2.69% 1.7789
ROE
25.16% 20.397% -- -- -- -- 111.47% 16.298%
ROA
32.43% 8.729% -- -- -- -- 109.75% 6.592%
ROIC
39.6% 19.235% -- -- -- -- 114.64% 13.779%
FCF to Salese
-55.31% 4.271% -- -- -- -- 2308.01% 9.557%
FCF to Net Income
-59.95% 103.289% -- -- -- -- 1017.23% 257.921%
Profitability Ratios
Gross Margin
-5.15% 14.166% -- -- -- -- 3.28% 14.934%
EBIT Margin
9.99% 6.010% -- -- -- -- 60.86% 5.464%
Net Margin
11.58% 4.135% -- -- -- -- 115.54% 3.706%
EBITDA Margin
6.62% 6.443% -- -- -- -- 50.84% 6.043%
Tax Rate
-1.06% 23.969% -- -- -- -- -26.64% 24.226%
Interest Coverage (T)
64.22% 110.9419 -- -- -- -- 302.73% 67.5567
R & D Expense Ratio
-- 0.000% -- -- -- -- -- 0.000%
Sales Expense Ratio
-14.78% 4.960% -- -- -- -- -5.52% 5.820%
Administration Expense Rate
-13.32% 4.100% -- -- -- -- -7.8% 4.730%
Financial Health Ratios
Long-Term Debt to Equity Ratio
49.83% 2.500% -- 2.500% 71.45% 3.310% -37.7% 1.669%
Total Assets to Common Equity Ratio
-3.98% 229.220% -- 229.220% 16.64% 268.898% -6.98% 238.730%
Interest-Bearing Liabilities To Asset Ratio
-39.62% 1.679% -- 1.679% -47.08% 1.936% -72.42% 2.781%
Current Ratio
-1.87% 1.7255 -- 1.7255 -8.26% 1.6685 6.03% 1.7584
Quick Ratio
-5.25% 1.3408 -- 1.3408 -16.05% 1.2498 6.09% 1.4151
Growth Ratios
Growth Ratios
Revenue CAGR (3Y)
143.49% 11.855% -- -- -- -- -39.42% 4.869%
Revenue CAGR (5Y)
61.5% 10.802% -- -- -- -- -28.39% 6.688%
Net Income CAGR (3Y)
271.63% 64.913% -- -- -- -- 349.75% 17.467%
Net Income CAGR (5Y)
-31.08% 20.707% -- -- -- -- 197.03% 30.047%
Dividend CAGR (3Y)
46120.24% 34.791% -- -- -- -- -- -0.076%
Dividend  CAGR (5Y)
356.79% 26.760% -- -- -- -- 4713.72% 5.858%
Dividend  CAGR (10Y)
-- 9.395% -- -- -- -- -- --
FCF  CAGR (3Y)
-- -- -- -- -- -- 207.12% 64.096%
FCF  CAGR (5Y)
-104.97% -1.579% -- -- -- -- 402.68% 31.763%
FCF  CAGR (10Y)
-- -- -- -- -- -- 585.15% 41.891%
FCF CAGR (1Y)
-101.8% -43.771% -- -- -- -- -- 2434.439%
Currency Unit
SGDSGDSGDSGD

Q6, Q9, and FY are cumulative quarterly reports: Q6 is the interim report; Q9 is third quarter report; FY is the annual report.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%

Company Overview More
Multi-Chem Ltd is a drilling and routing service provider and distributes specialty chemicals and materials to printed circuit board manufacturers. It operates in two business segments: PCB business and IT business. PCB business, which provides precision drilling services to PCB fabricators and distributes specialty chemicals and other PCB-related products and equipment to PCB manufacturers. IT business, which relates to the distribution of hardware and software relating to Internet and network products and the provision of maintenance services for such products. The company derives most of its revenue from IT business.
Country: Singapore