PEC Ltd., together with its subsidiaries, provides mechanical engineering and contracting services to the oil and gas, petrochemical, pharmaceutical, and oil and chemical terminal industries. The company operates in three segments: Project Works; Plant Maintenance and Related Services; and Other Operations. It offers engineering, procurement, and construction (EPC) services, as well as engineering design and maintenance services; project management and consultancy services; plant maintenance services, including plant turnarounds and upgrading services; and engineering, mechanical, piping, structural, tankage, electrical and instrumentation, process and gas compression packages, testing and isolation, painting and blasting, scaffolding, insulation and refractories, fireproofing, rotating equipment, and hydrojetting. The company also provides heavy machineries and equipment leasing services; civil, mechanical, and electrical engineering project services; and engineering technology, economic environmental, health consultancy services. In addition, it engages in the provision of heat treatment and information technology and consultancy services; and marketing and provision of CAR-BER tools and services. The company serves in Singapore, India, Malaysia, China, Myanmar, Thailand, Vietnam, Oman, and the United Arab Emirates. PEC Ltd. was incorporated in 1982 and is headquartered in Singapore.
Stock data | 2023 | Change |
---|---|---|
Price | $0.6205512332339189 | N/A |
Market Cap | $157.87M | N/A |
Shares Outstanding | 254.40M | -0.10% |
Employees | 0 | N/A |
Shareholder Equity | 242.46M | -3.06% |
Valuation | 2023 | Change |
---|---|---|
P/S Ratio | 0.50 | N/A |
P/B Ratio | 0.65 | N/A |
Growth | 2023 | Change |
---|---|---|
Return on Equity | 0.0246 | N/A |
Earnings | 2023 | Change |
---|---|---|
Revenue | $317.99M | N/A |
Earnings | $5.96M | N/A |
Gross Margin | 0.2002 | N/A |
Operating Margin | 0.0116 | N/A |
Net income margin | 0.0187 | N/A |
Financial Strength | 2023 | Change |
---|---|---|
Total Assets | $303.17M | N/A |
Total Debt | $34.30M | N/A |
Cash on Hand | $93.08M | N/A |
Debt to Equity | 0.5125 | 15.55% |
Cash to Debt | $2.71 | -42.41% |
Current Ratio | $2.31 | -0.67% |