Pintaras Jaya Berhad, an investment holding company, engages in undertaking piling contracts, civil engineering, and building construction works in Malaysia and Singapore. The company operates through Piling, Civil Engineering and Construction Works; and Manufacturing segments. It designs, constructs, and installs foundations and piling systems, such as cast-in-place bored, driven, and jacked-in piles, as well as micropiles and hand-dug caissons; earth retaining systems for the construction of building basements, stabilization of earth slopes for road works and general earthworks, tunnels, and jetties; and constructs sub-structures and basements, including structure works below building super-structures comprising pile caps, ground beams, basement slabs, and basement wall works. The company is involved in the provision of ground improvement services; civil engineering works, such as bridges, earthworks, and road works, as well as water-related and sewerage works; and building works comprising construction of factories, steel fabrication works, and high-rise building works. In addition, it manufactures metal containers for paint, chemical, lacquer, lubricant, confectionery, and food industries; provides management and geotechnical services; and rents construction and civil engineering machinery and equipment. Pintaras Jaya Berhad was incorporated in 1989 and is based in Shah Alam, Malaysia.
Stock data | 2023 | Change |
---|---|---|
Price | $0.3476400588313946 | N/A |
Market Cap | $57.66M | N/A |
Shares Outstanding | 165.86M | 0.00% |
Employees | 0 | N/A |
Shareholder Equity | 400.26M | 0.02% |
Valuation | 2023 | Change |
---|---|---|
P/E Ratio | -26.74 | N/A |
P/S Ratio | 0.78 | N/A |
P/B Ratio | 0.14 | N/A |
Growth | 2023 | Change |
---|---|---|
Return on Equity | -0.0012 | N/A |
Earnings | 2023 | Change |
---|---|---|
Revenue | $74.23M | N/A |
Earnings | -$472.30K | N/A |
EPS | -0.013 | N/A |
Earnings Yield | -0.0374 | N/A |
Gross Margin | 0.0339 | N/A |
Operating Margin | 0.0189 | N/A |
Net income margin | -0.0064 | N/A |
Financial Strength | 2023 | Change |
---|---|---|
Total Assets | $122.82M | N/A |
Total Debt | $6.93M | N/A |
Cash on Hand | $30.81M | N/A |
Debt to Equity | 0.0840 | -21.04% |
Cash to Debt | $4.44 | 20.05% |
Current Ratio | $2.69 | 22.90% |