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Fundamental - Factsheet

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MASTER MASTER-PACK GROUP BERHAD
Quotes 15 Minutes Delayed. Updated at 30 Jul 2021 14:48
Last (MYR): 1.670 Change: - High: 1.670 Remarks:
Change (%): - Low: 1.670
Open 1.670 Yesterday's Close 1.670
Buy Price 1.670 Sell Price 1.690
Buy Volume ('00) 170 Sell Volume ('00) 50
Cumulative Volume ('00) 90 Cumulative Value 15,030
Click to show Stock Prices chart

Key Statistics

EPS (MYR) a 0.20643 Trailing EPS (MYR) e 0.21042 NAV (MYR) b 2.1453
PE a 8.090 Trailing PE f 7.937 Price / NAV b 0.7784
Dividend (MYR) d - Cash In Hand (MYR) g 0.6531 Issued & Paid-up Shares c 54,620,000
Dividend Yield (%) d - Price / Cash In Hand g 2.557 Treasury Shares h -
Beta - 75 Daysi 0.842 R-Squared - 75 Days(%)i 12.72 Market Cap (M) 91.215
Beta - 500 Daysi 1.593 R-Squared - 500 Days (%)i 12.28 Enterprise Value (M) 66.716
Piotroski F Score 7 Exchange Code 7029 Par Value ( MYR ) n.a.
52 Weeks Volatility (%) 27.22 6-Month VWAP 1.828 Free Float (%) -
Shariah Compliant Stocks Yes
Sector & Industry Process Industries - Containers/Packaging
Index Components Bursa Malaysia Industrial Products Index / FTSE Bursa Malaysia Fledgling Index
Notes:
  1. Based on latest Full Year results announcement, adjusted for the current number of shares.
  2. 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.
  3. Rounded to the nearest thousand. Updated on 02 Jun 2020.Please click here for more information.
  4. Dividend is based on latest Full Year results announcement, adjusted for current number of shares and excludes special dividend.
  5. Summation of the earnings from the latest 4 Quarter (or 2 Half Year) results announcement, adjusted for the current number of shares.
  6. Based on Trailing EPS.
  7. 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.
  8. Rounded to the nearest thousand. Updated on 02 Jun 2020.
  9. Beta and R-Squared are calculated in relation to the market index using the historical daily closing values of the stock and index as data points.

Peer Comparison

Type Name Market Market Cap (M)a PE b Trailing PE c Price / NAV d Dividend Yield (%)d
Reference MASTER Bursa 91.215 8.090 7.937 0.7784 -
Industry Containers/Packaging Bursa 330.338 12.895 10.840 0.9777 2.156
PACKAGING MATERIALS Bursa 506.447 16.440 13.517 1.3629 1.731
Index Bursa Malaysia Industrial Products Index Bursa 901.836 61.980 27.422 1.5108 1.254
FTSE Bursa Malaysia Fledgling Index Bursa 251.685 149.048 40.647 1.0538 0.898
Local Peer TGUAN Bursa 951.727 12.639 11.955 1.4303 1.796
Local Peer MAGNI Bursa 944.923 7.431 7.431 1.3633 4.633
Local Peer MUDA Bursa 844.991 9.387 7.827 0.7193 1.805
Local Peer DAIBOCI Bursa 707.124 14.834 14.324 2.5617 2.315
Local Peer CANONE Bursa 572.616 - 14.832 0.3144 1.342
Local Peer JOHOTIN Bursa 467.496 11.838 10.522 1.2782 3.553
Local Peer SCGM Bursa 446.742 13.295 13.295 2.3539 -
Local Peer BPPLAS Bursa 326.516 11.008 9.860 1.5423 4.598
Local Peer TOMYPAK Bursa 221.838 - 29.669 1.1755 -
Local Peer HPPHB Bursa 194.215 11.558 11.557 1.7569 4.000
Local Peer BOXPAK Bursa 159.663 13.363 9.990 0.6294 -
Local Peer PPHB Bursa 149.013 5.494 5.225 0.5379 0.316
Other Local Peers JISHAN (Bursa), ORNA (Bursa), KYM (Bursa), RALCO (Bursa), CYL (Bursa), ADVPKG (Bursa), BRIGHT (Bursa)
Global Peer BALL CORP NYSE 26,549.264 45.383 34.842 7.6029 0.740
Global Peer INTERNATIONAL PAPER CO NYSE 22,626.845 46.944 23.279 2.9166 3.561
Global Peer AMCOR PLC NYSE 17,823.092 29.132 20.676 3.8354 4.075
Global Peer AVERY DENNISON CORP NYSE 17,488.062 31.459 31.710 - 1.122
Global Peer PACKAGING CORP OF AMERICA NYSE 13,441.863 29.388 21.228 - 2.377
Global Peer CROWN HOLDINGS INC NYSE 13,105.272 22.634 18.615 5.7937 -
Global Peer WESTROCK CO NYSE 13,095.568 - - 1.1849 2.118
Global Peer OWENS CORNING NYSE 9,916.981 - 15.304 - 1.044
Global Peer BERRY GLOBAL GROUP INC NYSE 8,672.721 15.515 12.443 3.2777 -
Global Peer SEALED AIR CORP NYSE 8,625.433 17.825 18.147 85.0697 1.149
Other Global Peers APTARGROUP INC (NYSE), CIMC (HKEx), SONOCO PRODUCTS CO (NYSE), STEVANATO GROUP S.P.A. (NYSE), ND PAPER (HKEx), GRAPHIC PACKAGING HOLDING COMPANY (NYSE), ARDAGH GROUP S A (NYSE), SILGAN HOLDINGS INC (NASDAQ), BJC (SET), GREIF INC (NYSE), PACTIV EVERGREEN INC (NASDAQ), ORORA LTD (ASX), O-I GLASS INC (NYSE), REALORD GROUP (HKEx), RANPAK HOLDINGS CORP (NYSE), PACT GROUP HLDGS LTD (ASX), MYERS INDUSTRIES INC (NYSE), COFCO PACKAGING (HKEx), GAPACK (HKEx), UFP TECHNOLOGIES (NASDAQ), KARAT PACKAGING INC (NASDAQ), TOUYUN BIOTECH (HKEx), SINGAMAS CONT (HKEx), Panca Budi Idaman Tbk. (IDX), BGC (SET), AJ (SET), CSC-P (SET), PM PACKAGING (HKEx), HUAXIHOLDINGS (HKEx), ALUCON (SET), Pelat Timah Nusantara Tbk. (IDX), Avarga (SGX), HANS ENERGY (HKEx), ACESO LIFE SCI (HKEx), TPAC (SET), SMPC (SET), CHAMP ALLI INTL (HKEx), SFLEX (SET), TESSON HOLDINGS (HKEx), TMD (SET), PRO-PAC PACKAGING LTD (ASX), Berlina Tbk. (IDX), Trias Sentosa Tbk. (IDX), SE ASIA PPT (HKEx), Tat Seng Pkg (SGX), THIP (SET), PJW (SET), GRAND OCEAN AR (HKEx), CSC (SET), PLANETREE INT'L (HKEx), Indopoly Swakarsa Industry Tbk. (IDX), GLOCON (SET), TPBI (SET), Satyamitra Kemas Lestari Tbk. (IDX), CHINA ALUMCAN (HKEx), JIA YAO HLDGS (HKEx), UBIS (SET), ZHENGYE INT'L (HKEx), SHEEN TAI (HKEx), TPLAS (SET), TOPP (SET), MBAX (SET), Champion Pacific Indonesia Tbk. (IDX), Argha Karya Prima Industry Tbk. (IDX), HOP FUNG GROUP (HKEx), Kedawung Setia Industrial Tbk. (IDX), COME SURE GROUP (HKEx), Southern Pkg (SGX), LHT (SGX), TPP (SET), TEAMWAY INTL GP (HKEx), Sriwahana Adityakarta Tbk. (IDX), OGC (SET), Lion Metal Works Tbk. (IDX), MOBILE INTERNET (HKEx), TCOAT (SET), Pratama Abadi Nusa Industri Tbk. (IDX), Pelangi Indah Canindo Tbk (IDX), WAN CHENG METAL (HKEx), MING LAM HLDGS (HKEx)
Notes:
  1. For companies, Market Cap is based on the trading currency of the company. Industry/Index Market Cap is the average market cap for that industry/index.
  2. Industry/Index PE is calculated using (Total Market Cap/Total Earnings) of all companies in the industry/index.
  3. Industry/Index Price/NAV is calculated using (Total Market Cap/Total Shareholders' Equity) of all companies in the industry/index.
  4. Industry/Index Dividend Yield is calculated using (Total Gross Dividend/Total Market Cap) of all companies in the industry/index.
  5. For Industry/Index calculation, data for foreign currency denominated companies will be converted to the main market currency using the latest exchange rate.
  6. Industry/Index/Peers data is updated daily.
  7. Peers are sorted by market capitalisation and only details for the top 10 will be shown.

Total Shareholder Return

PeriodDividend ReceivedCapital AppreciationTotal Shareholder Return
Short Term Return 5 Days --0.050
-2.91 %
10 Days --0.040
-2.34 %
20 Days --0.010
-0.60 %
Medium Term Return 3 Months --0.210
-11.17 %
6 Months 0.020-0.180
-8.65 %
1 Year 0.040-0.200
-8.56 %
Long Term Return 2 Years 0.080+0.661
+73.44 %
3 Years 0.100+1.071
+195.49 %
5 Years 0.125+1.081
+204.75 %
Annualised Return Annualised --
+24.97 %
Notes:
  1. Total Shareholder Return (TSR) combines share price appreciation and dividends paid to show the total return to the shareholder expressed as a percentage.
  2. Script dividends are ignored in this calculation.

Price Movements

1 Year Range 1.554 - 2.187 Change From 1 Year Low +0.116 % Change From 1 Year Low (%) +7.49
Change From 1 Year High -0.517 % Change From 1 Year High (%) -23.64
2 Years Range 0.599 - 3.167 Change From 2 Years Low +1.071 % Change From 2 Years Low (%) +178.94
Change From 2 Years High -1.497 % Change From 2 Years High (%) -47.27
5 Years Range 0.470 - 3.167 Change From 5 Years Low +1.200 % Change From 5 Years Low (%) +255.24
Change From 5 Years High -1.497 % Change From 5 Years High (%) -47.27
Notes:
  1. Price movements are based on adjusted historical data.

Company Background

Master-Pack Group Berhad previously known as Hunza Consolidation Berhad was incorporated in 1994 and was converted to a public company in 1996. In 1997, the Company was successfully listed in the second board in the Malaysian Stock Market and was traded under the code of "7029 HUNZA". In the year 2004, a significant acquisition of share by Yayasan Bumiputra Pulau Pinang led to a change in the Chairman of the Board of Directors, Dato Syed Mohamad bin Syed Murtaza (Dato Syed). The Company then underwent a strategic change under the leadership of the Chairman Dato Syed. The Company changed its name from Hunza Consolidation Berhad to Master-Pack Group Berhad in June 2009. Simultaneously the trading name changed to "7029 MASTER" in the Main Market of Bursa Malaysia. The principal activities of the Company are investment holdings and the provision of management services. Today Master-Pack Group companies core activities are in the industry of corrugated paper packaging. The Board and the management practice an open policy to seek other potential business ventures which will be profitable to the Group. The Company are investment holdings and the provision of management services.

Reports Download

Report Type Financial Year Ended Download
Annual Report
Annual Report 2019 Dec 2019 Part 1(1.23 MB)
Annual Report 2017 Dec 2017 Part 1(0.53 MB)
Part 2(1.83 MB)
Part 3(0.94 MB)
Annual Report 2016 Dec 2016 Part 1(0.67 MB)
Annual Report 2015 Dec 2015 Part 1(1.89 MB)
Annual Report 2014 Dec 2014 Part 1(0.73 MB)
Annual Report 2013 Dec 2013 Part 1(1.18 MB)
Annual Report 2012 Dec 2012 Part 1(0.70 MB)
Annual Report 2011 Dec 2011 Part 1(1.91 MB)
Annual Report 2010 Dec 2010 Part 1(0.47 MB)
Annual Report 2009 Dec 2009 Part 1(0.40 MB)
Annual Report 2008 Dec 2008 Part 1(0.54 MB)
Annual Report 2007 Dec 2007 Part 1(0.54 MB)
Annual Report 2006 Dec 2006 Part 1(0.49 MB)
Annual Report 2005 Dec 2005 Part 1(1.61 MB)
Annual Report 2004 Dec 2004 Part 1(0.46 MB)
Part 2(0.61 MB)
Part 3(0.33 MB)
Part 4(1.43 MB)
Annual Report 2003 Dec 2003 Part 1(1.03 MB)
Part 2(1.93 MB)
Part 3(1.49 MB)
Annual Report 2002 Dec 2002 Part 1(0.59 MB)
Annual Report 2001 Dec 2001 Part 1(0.47 MB)
Annual Report 2000 Dec 2000 Part 1(0.44 MB)
Annual Report 1999 Dec 1999 Part 1(0.49 MB)
Part 2(0.87 MB)
Part 3(0.26 MB)
Part 4(0.59 MB)

Historical Price Data

Date Open High Low Close Volume VWAP
30 Jul 2021 1.670 1.670 1.670 1.670 9,000 1.6700
29 Jul 2021 1.680 1.700 1.670 1.670 54,600 1.6834
28 Jul 2021 1.690 1.690 1.680 1.680 15,100 1.6881
27 Jul 2021 1.700 1.700 1.680 1.680 186,900 1.6928
26 Jul 2021 1.710 1.720 1.700 1.700 115,700 1.7099
23 Jul 2021 1.720 1.720 1.710 1.720 153,300 1.7163
22 Jul 2021 1.710 1.750 1.700 1.720 76,300 1.7292
21 Jul 2021 1.710 1.720 1.700 1.710 53,400 1.7062
19 Jul 2021 1.710 1.720 1.710 1.720 52,000 1.7104
16 Jul 2021 1.710 1.710 1.700 1.710 13,500 1.7078
15 Jul 2021 1.710 1.710 1.700 1.700 35,100 1.7074
14 Jul 2021 1.700 1.740 1.700 1.700 20,300 1.7115
13 Jul 2021 1.710 1.740 1.700 1.700 40,500 1.7198
12 Jul 2021 1.700 1.750 1.690 1.700 181,600 1.7072
09 Jul 2021 1.670 1.680 1.670 1.680 20,100 1.6725
08 Jul 2021 1.690 1.720 1.660 1.670 138,800 1.6905
07 Jul 2021 1.700 1.700 1.690 1.690 9,300 1.6911
06 Jul 2021 1.720 1.720 1.700 1.700 19,100 1.7039
05 Jul 2021 1.680 1.740 1.680 1.720 107,100 1.7098
02 Jul 2021 1.680 1.680 1.670 1.680 89,700 1.6751
01 Jul 2021 1.690 1.690 1.680 1.680 12,900 1.6871
30 Jun 2021 1.710 1.710 1.680 1.690 96,600 1.6971
Summary
Current 2 Weeks
(16 Jul 2021 to 30 Jul 2021)
1.710 1.750 1.670 1.670 729,800 -
Previous 2 Weeks
(02 Jul 2021 to 15 Jul 2021)
1.680 1.750 1.670 1.700 661,600 -
4 Weeks from
(03 Jun 2021 to 01 Jul 2021)
1.770 1.770 1.670 1.680 1,500,400 -
View All Historical Data

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