1295
COM:PUBLICBANKGROUP
Public Bank Berhad
- Stock
Last Close
4.38
25/11 08:59
Market Cap
79.97B
Beta: -
Volume Today
54.57M
Avg: -
Preview
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Dec '13 | Dec '14 | Dec '15 | Dec '16 | Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
---|---|---|---|---|---|---|---|---|---|---|---|---|
account payables | 1.19B - | 1.40B 17.93% | 1.75B 24.69% | 1.61B 7.56% | 1.72B 6.41% | 1.89B 9.86% | 2.09B 10.60% | 1.78B 14.44% | 1.46B 18.04% | 1.90B 29.70% | 232.58M 87.74% | |
accumulated other comprehensive income loss | 723.83M - | |||||||||||
cash and cash equivalents | 28.56B - | 24.30B 14.92% | 23.66B 2.61% | 18.74B 20.81% | 22.58B 20.52% | 23.89B 5.80% | 25.53B 6.86% | 22.67B 11.23% | 20.56B 9.28% | 30.48B 48.21% | 18.65B 38.79% | |
cash and short term investments | 28.56B - | 24.30B 14.92% | 23.66B 2.61% | 18.74B 20.81% | 22.58B 20.52% | 23.89B 5.80% | 25.53B 6.86% | 22.67B 11.23% | 20.56B 9.28% | 30.48B 48.21% | 18.65B 38.79% | |
common stock | 3.53B - | 3.88B 9.92% | 3.88B 0% | 3.88B 0% | 9.42B 142.59% | 9.42B 0% | 9.42B 0% | 9.42B 0% | 9.42B 0% | 9.42B 0% | 9.42B 0% | |
deferred revenue | ||||||||||||
deferred revenue non current | 217.94B - | |||||||||||
deferrred tax liabilities non current | 94.20M - | |||||||||||
goodwill | 2.39B - | 2.39B 0.30% | 2.37B 0.87% | 2.41B 1.96% | 2.50B 3.49% | |||||||
goodwill and intangible assets | 2.00B - | 2.08B 3.95% | 2.38B 14.05% | 2.60B 9.58% | 2.43B 6.59% | 2.45B 0.93% | 2.44B 0.48% | 2.42B 1.04% | 2.46B 1.73% | 2.54B 3.24% | 2.59B 1.99% | |
intangible assets | 60.20M - | 55.55M 7.71% | 50.91M 8.36% | 46.29M 9.09% | 41.67M 9.97% | |||||||
inventory | -21.70B - | |||||||||||
long term debt | 10.40B - | 11.56B 11.24% | 11.76B 1.65% | 11.55B 1.72% | 12.48B 7.99% | 13.53B 8.47% | 13.41B 0.94% | 13.34B 0.45% | 11.78B 11.72% | 12.94B 9.81% | 26.35B 103.66% | |
long term investments | 41.75B - | 65.10B 55.93% | 55.83B 14.23% | 57.35B 2.72% | 60.54B 5.56% | 72.00B 18.92% | 70.82B 1.64% | 76.27B 7.70% | 78.88B 3.42% | 80.13B 1.58% | 496.94M 99.38% | |
net debt | -18.16B - | -12.73B 29.89% | -11.91B 6.48% | -7.19B 39.65% | -10.11B 40.66% | -10.36B 2.51% | -12.13B 17.04% | -9.32B 23.14% | -8.78B 5.78% | -17.54B 99.72% | 14.11B 180.47% | |
net receivables | 1.99B - | 1.96B 1.22% | 2.59B 32.08% | 2.54B 1.93% | 2.26B 11.32% | 1.75B 22.40% | 1.49B 14.69% | 2.66B 78.26% | 2.51B 5.90% | 3.08B 22.75% | 3.04B 1.00% | |
other assets | 230.13B - | 250.80B 8.99% | 277.87B 10.79% | 297.28B 6.99% | 305.90B 2.90% | 318.03B 3.97% | 329.98B 3.76% | 344.55B 4.42% | 355.76B 3.25% | 374.56B 5.29% | ||
other current assets | 19.54B - | |||||||||||
other current liabilities | -1.19B - | -1.40B 17.93% | -1.75B 24.69% | -1.61B 7.56% | -1.72B 6.41% | -1.89B 9.86% | -2.09B 10.60% | -1.78B 14.44% | -1.46B 18.04% | -1.90B 29.70% | 195.63B 10,413.09% | |
other liabilities | 272.95B - | 303.88B 11.33% | 317.95B 4.63% | 331.52B 4.27% | 342.64B 3.35% | 362.18B 5.70% | 372.59B 2.88% | 387.70B 4.05% | 400.07B 3.19% | 426.90B 6.71% | ||
other non current assets | -45.06B - | -68.66B 52.38% | -59.63B 13.14% | -61.49B 3.11% | -64.54B 4.96% | -76.02B 17.79% | -75.83B 0.25% | -81.38B 7.32% | -83.91B 3.11% | -85.15B 1.47% | 484.90B 669.47% | |
other non current liabilities | -10.40B - | -11.56B 11.24% | -11.76B 1.65% | -11.55B 1.72% | -12.48B 7.99% | -13.53B 8.47% | -13.41B 0.94% | -13.34B 0.45% | -11.78B 11.72% | -12.94B 9.81% | 8.46B 165.38% | |
othertotal stockholders equity | 16.89B - | 24.14B 42.93% | 27.35B 13.28% | 30.33B 10.90% | 27.95B 7.86% | 3.24B 88.42% | 3.62B 11.93% | 3.25B 10.30% | 1.68B 48.19% | 1.50B 10.78% | 2.09B 38.81% | |
preferred stock | ||||||||||||
property plant equipment net | 1.30B - | 1.48B 13.24% | 1.42B 3.57% | 1.53B 7.41% | 1.56B 2.36% | 1.57B 0.18% | 2.57B 63.97% | 2.70B 4.96% | 2.58B 4.46% | 2.48B 3.62% | 2.50B 0.71% | |
retained earnings | 28.32B - | 30.55B 7.89% | 34.58B 13.18% | 37.06B 7.17% | 39.26B 5.93% | 42.45B 8.12% | ||||||
short term debt | 5.52B - | |||||||||||
short term investments | ||||||||||||
tax assets | 567.30M - | |||||||||||
tax payables | 585.23M - | 554.59M 5.23% | 689.13M 24.26% | 563.11M 18.29% | 702.06M 24.68% | 341.70M 51.33% | 540.11M 58.07% | |||||
total assets | 305.73B - | 345.72B 13.08% | 363.76B 5.22% | 380.05B 4.48% | 395.28B 4.01% | 419.69B 6.18% | 432.83B 3.13% | 451.26B 4.26% | 462.74B 2.54% | 493.26B 6.60% | 510.60B 3.51% | |
total current assets | 30.55B - | 26.26B 14.03% | 26.26B 0.02% | 21.28B 18.94% | 24.84B 16.71% | 25.64B 3.24% | 27.03B 5.39% | 25.33B 6.28% | 23.07B 8.92% | 33.55B 45.45% | 19.54B 41.75% | |
total current liabilities | 1.19B - | 1.40B 17.93% | 1.75B 24.69% | 1.61B 7.56% | 1.72B 6.41% | 1.89B 9.86% | 2.09B 10.60% | 1.78B 14.44% | 1.46B 18.04% | 1.90B 29.70% | 201.38B 10,516.24% | |
total debt | 10.40B - | 11.56B 11.24% | 11.76B 1.65% | 11.55B 1.72% | 12.48B 7.99% | 13.53B 8.47% | 13.41B 0.94% | 13.34B 0.45% | 11.78B 11.72% | 12.94B 9.81% | 32.77B 153.30% | |
total investments | 41.75B - | 65.10B 55.93% | 55.83B 14.23% | 57.35B 2.72% | 60.54B 5.56% | 72.00B 18.92% | 70.82B 1.64% | 76.27B 7.70% | 78.88B 3.42% | 80.13B 1.58% | 496.94M 99.38% | |
total liabilities | 284.53B - | 316.85B 11.36% | 331.45B 4.61% | 344.69B 3.99% | 356.83B 3.52% | 377.60B 5.82% | 388.08B 2.78% | 402.83B 3.80% | 413.31B 2.60% | 441.74B 6.88% | 454.22B 2.83% | |
total liabilities and stockholders equity | 305.73B - | 345.72B 13.08% | 363.76B 5.22% | 380.05B 4.48% | 395.28B 4.01% | 419.69B 6.18% | 432.83B 3.13% | 451.26B 4.26% | 462.74B 2.54% | 493.26B 6.60% | 510.60B 3.51% | |
total non current assets | 45.06B - | 68.66B 52.38% | 59.63B 13.14% | 61.49B 3.11% | 64.54B 4.96% | 76.02B 17.79% | 75.83B 0.25% | 81.38B 7.32% | 83.91B 3.11% | 85.15B 1.47% | 491.05B 476.70% | |
total non current liabilities | 10.40B - | 11.56B 11.24% | 11.76B 1.65% | 11.55B 1.72% | 12.48B 7.99% | 13.53B 8.47% | 13.41B 0.94% | 13.34B 0.45% | 11.78B 11.72% | 12.94B 9.81% | 252.84B 1,854.49% | |
total stockholders equity | 20.42B - | 28.02B 37.22% | 31.23B 11.44% | 34.21B 9.55% | 37.36B 9.21% | 40.97B 9.66% | 43.59B 6.40% | 47.25B 8.38% | 48.16B 1.94% | 50.18B 4.19% | 54.67B 8.96% |
All numbers in MYR (except ratios and percentages)