Fundamental - Factsheet
MAXI-CASH FIN SVCS CORP LTD
Quotes 10 Minutes Delayed. Updated at 25 Apr 2017 10:31
|Last (SGD): 0.196
|Change (%): +1.55
|Buy Volume ('000)
||Sell Volume ('000)
|Cumulative Volume ('000)
||Cash In Hand
Issued & Paid-up Shares
||Price / Cash In Hand
||Treasury Shares h
| - 75
|| - 75
||Market Cap (M)
| - 500
|| - 500 Days
||Par Value (
|Under CPF Investment Scheme (CPFIS)
|Sector & Industry
Banking & Finance
FTSE ST Catalist Index
Based on latest Full Year results announcement, adjusted for the current number of shares.
Based on latest results announcement (Full Year, Half Year or Interim), adjusted for carrying value of "Other Share Capital", illustrative financial effects of corporate actions (if applicable) and the current number of shares.
Dividend is based on latest Full Year results announcement, adjusted for current number of shares and excludes special dividend.
Summation of the earnings from the latest 4 Quarter (or 2 Half Year) results announcement, adjusted for the current number of shares.
Based on Trailing EPS.
Based on reported cash and cash equivalents at end and extracted from the latest results announcement (Full Year, Half Year or Interim), adjusted for the current number of shares.
Rounded to the nearest thousand.
Beta and R-Squared are calculated in relation to the market index (STI or KLCI) using the historical daily closing values of the stock and index as data points.
Banking & Finance
FTSE ST Catalist Index
Category PE is calculated using (Total Market Cap/Total Earnings) of all companies in the industry/index.
Category Price/NAV is calculated using (Total Market Cap/Total Shareholders' Equity) of all companies in the industry/index.
Category Dividend Yield is calculated using (Total Gross Dividend/Total Market Cap) of all companies in the industry/index.
For category calculation, data for foreign currency denominated companies will be converted to the main market currency using the latest exchange rate.
Category data is updated twice daily.
Total Shareholder Return
|Period||Dividend Received||Capital Appreciation||Total Shareholder Return|
|Short Term Return
|Medium Term Return
|Long Term Return
Total Shareholder Return (TSR) combines share price appreciation and dividends paid to show the total return to the shareholder expressed as a percentage.
Script dividends are ignored in this calculation.
|1 Year Range
||0.132 - 0.210
||Change From 1 Year Low
||% Change From 1 Year Low (%)
|Change From 1 Year High
||% Change From 1 Year High (%)
|2 Years Range
||0.090 - 0.210
||Change From 2 Years Low
||% Change From 2 Years Low (%)
|Change From 2 Years High
||% Change From 2 Years High (%)
|5 Years Range
||0.090 - 0.403
||Change From 5 Years Low
||% Change From 5 Years Low (%)
|Change From 5 Years High
||% Change From 5 Years High (%)
Price movements are based on adjusted historical data.
The Company was incorporated in Singapore on 10 April 2008 as a private limited company under the name of Maxi-Cash Financial Services Corporation Pte Ltd. On 13 April 2012, the company converted into a public company and changed its name to Maxi-Cash Financial Services Corporation Ltd.The Group offers financial services in the form of pawnbroking and the retail and trading of pre-owned jewellery and watches through pawnshops and retail outlets in 24 locations as at 16 May 2012 in Singapore. The Group’s business is carried out by three (3) wholly-owned subsidiaries:· Maxi-Cash Group which owns 12 subsidiaries that in turn operate the pawnshops;· Maxi-Cash Jewellery which carries out the retail and trading of pre-owned jewellery and watches; and · Maxi-Cash Jewellery Group, which manages the inventory of pre-owned jewellery and watches and carries out the trading of pre-owned jewellery and watches.The Group provides pawnbroking services to consumers in a modern, professional and customer-centric service to meet their financial needs. The Group provides customers with "bank-like" pawning experiences where trust, transparency and reliability are the basic hallmarks of the Group’s services.
||22 Jun 2012
||Full Subscription Rate (x)
|No of Placement Shares (M)
||No of Public Offer Shares (M)
||Public Offer Subscription Rate (x)
|IPO Price (SGD) a
||First Day Close (SGD) a
||First Week Close (SGD) a
|Current vs IPO Price (%)
||First Day Gain (%)
||First Week Gain (%)
Adjusted for the following: Bonus Issue 1 for 5 on 03/12/2012,
Bonus Issue 1 for 5 on 29/05/2013,
Bonus Issue 1 for 10 on 16/10/2013,
Bonus Issue 1 for 5 on 14/05/2014,
Rights Issue 1 for 4 on 20/09/2016
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