Financials SK Target Group Limited

Equities

8427

KYG8T18R1132

Electrical Components & Equipment

Market Closed - Hong Kong S.E. 01:38:17 07/05/2024 pm IST 5-day change 1st Jan Change
0.072 HKD -13.25% Intraday chart for SK Target Group Limited -40.00% -32.08%

Valuation

Fiscal Period: May 2018 2019 2020 2021 2022 2023
Capitalization 1 88.03 91.14 67.51 25.82 10.71 7.079
Enterprise Value (EV) 1 66.36 70.48 46.01 3.292 -11.48 -17.78
P/E ratio -24.7 x -34.4 x -13.8 x -4.82 x -5.51 x 79.1 x
Yield - - - - - -
Capitalization / Revenue 2.3 x 3.09 x 2.93 x 1.14 x 0.5 x 0.23 x
EV / Revenue 1.74 x 2.39 x 2 x 0.15 x -0.54 x -0.59 x
EV / EBITDA 103 x -50.7 x -12.5 x -0.83 x 9.73 x -35.8 x
EV / FCF -14.4 x -392 x 12.5 x -3.28 x 18.6 x -4.87 x
FCF Yield -6.92% -0.26% 7.98% -30.5% 5.39% -20.5%
Price to Book 2.34 x 2.57 x 1.87 x 0.77 x 0.33 x 0.2 x
Nbr of stocks (in thousands) 77,500 77,500 86,025 98,025 1,03,230 1,23,876
Reference price 2 1.136 1.176 0.7848 0.2634 0.1037 0.0571
Announcement Date 31/08/18 30/08/19 31/08/20 31/08/21 31/08/22 31/08/23
1MYR in Million2MYR
Estimates

Income Statement Evolution (Annual data)

Fiscal Period: May 2018 2019 2020 2021 2022 2023
Net sales 1 38.19 29.45 23.01 22.62 21.29 30.3
EBITDA 1 0.642 -1.391 -3.694 -3.966 -1.18 0.496
EBIT 1 0.097 -2.27 -4.686 -4.706 -1.954 -0.146
Operating Margin 0.25% -7.71% -20.36% -20.8% -9.18% -0.48%
Earnings before Tax (EBT) 1 -1.909 -1.905 -3.966 -4.177 -1.609 0.818
Net income 1 -3.09 -2.649 -4.428 -4.853 -1.923 0.088
Net margin -8.09% -8.99% -19.24% -21.45% -9.03% 0.29%
EPS 2 -0.0461 -0.0342 -0.0567 -0.0547 -0.0188 0.000722
Free Cash Flow 1 -4.592 -0.1799 3.672 -1.003 -0.6184 3.651
FCF margin -12.02% -0.61% 15.96% -4.43% -2.9% 12.05%
FCF Conversion (EBITDA) - - - - - 736.16%
FCF Conversion (Net income) - - - - - 4,149.29%
Dividend per Share - - - - - -
Announcement Date 31/08/18 30/08/19 31/08/20 31/08/21 31/08/22 31/08/23
1MYR in Million2MYR
Estimates

Balance Sheet Analysis

Fiscal Period: May 2018 2019 2020 2021 2022 2023
Net Debt 1 - - - - - -
Net Cash position 1 21.7 20.7 21.5 22.5 22.2 24.9
Leverage (Debt/EBITDA) - - - - - -
Free Cash Flow 1 -4.59 -0.18 3.67 -1 -0.62 3.65
ROE (net income / shareholders' equity) -11% -7.25% -12.4% -13.9% -5.84% 0.26%
ROA (Net income/ Total Assets) 0.16% -3.15% -6.64% -6.64% -2.9% -0.2%
Assets 1 -1,951 84.01 66.72 73.09 66.22 -44.53
Book Value Per Share 2 0.4900 0.4600 0.4200 0.3400 0.3200 0.2800
Cash Flow per Share 2 0.2700 0.1900 0.1500 0.1300 0.1200 0.0600
Capex 1 1.81 1.33 0.33 1.75 0.19 0.3
Capex / Sales 4.74% 4.51% 1.44% 7.72% 0.91% 0.98%
Announcement Date 31/08/18 30/08/19 31/08/20 31/08/21 31/08/22 31/08/23
1MYR in Million2MYR
Estimates

EPS & Dividend

Year-on-year evolution of the PER

Change in Enterprise Value/EBITDA

Annual profits - Rate of surprise

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