CFM Holdings Limited, an investment holding company, designs, fabricates, and sells tools-and-dies used for the manufacture of stamped metal components. The company operates through four segments: Metal Stamping; Tooling; Components and Parts and Others; and Cleanroom Products. The Metal Stamping segment manufactures metal plates and metal stampings. The Tooling segment manufactures and fabricates engineering tools and dies. The Components and Parts and Others segment engages in trading other components and parts; and warehousing and service logistic businesses. The Cleanroom Products segment trades in disposables and wearables for use in cleanroom, bio-medical, laboratories, and hospitals. The company serves electronics, automotive, telecommunications, technology, M and E, and pharmaceutical industries. It operates in Singapore, Malaysia, the United States, the Slovak Republic, the Czech Republic, Germany, Hungary, Italy, the Netherlands, Poland, Portugal, Romania, Switzerland, Indonesia, South Korea, and the People's Republic of China. The company was founded in 1979 and is based in Singapore.
Stock data | 2023 | Change |
---|---|---|
Price | $0.05246103996296868 | N/A |
Market Cap | $10.57M | N/A |
Shares Outstanding | 201.54M | 0.00% |
Employees | 0 | N/A |
Shareholder Equity | 21.98M | 79.20% |
Valuation | 2023 | Change |
---|---|---|
P/S Ratio | 0.46 | N/A |
P/B Ratio | 0.48 | N/A |
P/FCF | 13.20 | N/A |
Dividends | 2023 | Change |
---|---|---|
Dividend Yield | 1.46% | N/A |
Dividend per share | 0.0008 | N/A |
Dividend Payout Ratio | 0.0190 | N/A |
Growth | 2023 | Change |
---|---|---|
ROIC | 0.5150 | N/A |
CAPEX | -1.20M | N/A |
Return on Equity | 0.3702 | N/A |
Earnings | 2023 | Change |
---|---|---|
Revenue | $22.94M | N/A |
Earnings | $8.14M | N/A |
Free Cash Flow | $800.80K | N/A |
Gross Margin | 0.2631 | N/A |
Operating Margin | 0.0947 | N/A |
Net income margin | 0.3548 | N/A |
FCF Margin | 0.0349 | N/A |
Financial Strength | 2023 | Change |
---|---|---|
Total Assets | $23.50M | N/A |
Total Debt | $2.47M | N/A |
Cash on Hand | $10.53M | N/A |
Debt to Equity | 0.2979 | -64.96% |
Cash to Debt | $4.26 | 463.84% |
Current Ratio | $4.06 | 125.66% |