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Trade PSG Group Ltd - PSSGF CFD

5.31
4.73%
0.67
Low: 5.31
High: 5.36
Market Trading Hours* (UTC) Open now
Closes on Wednesday at 20:00

Mon - Fri: 13:30 - 20:00

  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading Conditions
Long position overnight fee -0.0225%
Short position overnight fee -0.0219%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency USD
Margin 20%
Stock exchange United States of America
Commission on trade 0%

*Information provided by Capital.com

Key Stats
Prev. Close* 5.07
Open* 5.31
Day's Range* 5.31 - 5.31
1-Year Change* N/A
Volume N/A
Average Vol. (3m) 7.93443
52 wk Range N/A
Market Cap 19987
P/E Ratio 2.54294
Shares Outstanding 209356000
Revenue 7453
EPS 35.2034
Dividend (Yield %) N/A
Beta 1.028
Next Earnings Date Oct 12, 2022

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Aug 9, 2022 5.07 -0.01 -0.20% 5.08 5.09 5.06
Aug 8, 2022 5.10 -0.03 -0.58% 5.13 5.16 5.09
Aug 5, 2022 4.95 -0.02 -0.40% 4.97 4.99 4.94
Aug 4, 2022 4.97 -0.04 -0.80% 5.01 5.01 4.94
Aug 3, 2022 4.88 0.00 0.00% 4.88 4.89 4.82
Aug 2, 2022 4.84 -0.08 -1.63% 4.92 4.93 4.83
Aug 1, 2022 5.05 0.07 1.41% 4.98 5.10 4.98
Jul 29, 2022 5.05 -0.03 -0.59% 5.08 5.10 5.04
Jul 28, 2022 5.08 -0.05 -0.97% 5.13 5.15 5.05
Jul 27, 2022 4.81 -0.03 -0.62% 4.84 4.84 4.75
Jul 26, 2022 4.73 -0.03 -0.63% 4.76 4.79 4.72
Jul 25, 2022 4.78 -0.06 -1.24% 4.84 4.85 4.77
Jul 22, 2022 4.79 -0.02 -0.42% 4.81 4.82 4.77
Jul 21, 2022 4.71 0.00 0.00% 4.71 4.75 4.68
Jul 20, 2022 4.68 -0.01 -0.21% 4.69 4.72 4.68
Jul 19, 2022 4.69 -0.03 -0.64% 4.72 4.74 4.69
Jul 18, 2022 4.68 -0.04 -0.85% 4.72 4.73 4.68
Jul 15, 2022 4.82 0.03 0.63% 4.79 4.85 4.76
Jul 14, 2022 4.76 -0.01 -0.21% 4.77 4.78 4.73
Jul 13, 2022 4.80 -0.01 -0.21% 4.81 4.84 4.78

PSG Group Ltd Events

Time (UTC) Country Event
Friday, October 7, 2022
08:00
  ZA
PSG Group Ltd Annual Shareholders Meeting
Wednesday, October 12, 2022
06:30
  ZA
Half Year 2023 PSG Group Ltd Earnings Release
View all events
  • Annual
  • Quarterly
2017 2018 2019 2020 2021 2022
Total revenue 21725.7 21378 22906 25394 1166 7453
Revenue 21725.7 21378 22906 25394 1166 7453
Cost of Revenue, Total 14202.1 13786 13436 12002 0
Gross Profit 7523.6 7592 9470 13392 1166
Total Operating Expense 17365.2 17819 19128 23076 -9068 -103
Selling/General/Admin. Expenses, Total 4560.13 5372 6987 11529 125 124
Depreciation / Amortization 432.839 503 582 3 3
Interest Expense (Income) - Net Operating -1827.09 -1926 -2042 -648
Unusual Expense (Income) -2.75 73 140 193 -9196 -230
Operating Income 4360.47 3559 3778 2318 10234 7556
Interest Income (Expense), Net Non-Operating -474.481 -516 -676 -889 -138 -59
Net Income Before Taxes 3885.99 3043 3102 1429 10096 7497
Net Income After Taxes 3348.99 2427 2626 904 9013 7409
Minority Interest -1187.15 -513 -415 -896 -107
Net Income Before Extra. Items 2161.84 1914 2211 8 8906 7409
Net Income 2161.84 1914 1926 2462 29994 7409
Income Available to Common Excl. Extra. Items 2161.84 1914 2211 8 8906 7409
Income Available to Common Incl. Extra. Items 2161.84 1914 1926 2462 29994 7409
Diluted Net Income 2161.84 1914 1926 2462 29994 7409
Diluted Weighted Average Shares 216.695 217.884 217.684 218.2 216.574 210.462
Diluted EPS Excluding Extraordinary Items 9.97644 8.78449 10.1569 0.03666 41.1222 35.2035
Dividends per Share - Common Stock Primary Issue 3.75 4.15 4.56 2.39 1.64
Diluted Normalized EPS 10.0275 9.04805 10.7014 2.02553 1.68233 34.1235
Other Operating Expenses, Total 11 25
Total Extraordinary Items -285 2454 21088 0
Feb 2020 Aug 2020 Feb 2021 Aug 2021 Feb 2022
Total revenue 14167 -3244 4410 3853 3600
Revenue 14167 -3244 4410 3853 3600
Cost of Revenue, Total 6701
Gross Profit 7466
Total Operating Expense 12912 -8943 -125 -65 -38
Selling/General/Admin. Expenses, Total 6355 67 61 50 77
Interest Expense (Income) - Net Operating -278
Unusual Expense (Income) 134 -9010 -186 -115 -115
Operating Income 1255 5699 4535 3918 3638
Interest Income (Expense), Net Non-Operating -473 -128 -10 -58 -1
Net Income Before Taxes 782 5571 4525 3860 3637
Net Income After Taxes 361 4841 4172 3781 3628
Minority Interest -319 -57 -50
Net Income Before Extra. Items 42 4784 4122 3781 3628
Total Extraordinary Items 1025 21088 0 0 0
Net Income 1067 25872 4122 3781 3628
Income Available to Common Excl. Extra. Items 42 4784 4122 3781 3628
Income Available to Common Incl. Extra. Items 1067 25872 4122 3781 3628
Diluted Net Income 1067 25872 4122 3781 3628
Diluted Weighted Average Shares 218.3 218.1 215.048 210.5 210.424
Diluted EPS Excluding Extraordinary Items 0.1924 21.9349 19.1678 17.962 17.2414
Dividends per Share - Common Stock Primary Issue 0.75 1.64 0 0
Diluted Normalized EPS 1.07845 -4.91747 1.45671 17.4269 16.6962
  • Annual
  • Quarterly
2017 2018 2019 2020 2021 2022
Cash and Short Term Investments 1502 1391 1387 1977 1646 2635
Cash 1502 1391 1387
Total Receivables, Net 3902 4582 4691 6040 70 50
Accounts Receivable - Trade, Net 3838 4492 4589 6001 70 50
Total Inventory 1667 1723 1696 2038
Total Assets 82061 90421 96819 105853 21438 26793
Property/Plant/Equipment, Total - Net 7918 9310 11149 13224 56 55
Property/Plant/Equipment, Total - Gross 9363 11003 13075 15901 80 81
Accumulated Depreciation, Total -1445 -1693 -1926 -2677 -24 -26
Intangibles, Net 3132 3825 4541 4483
Long Term Investments 62834 68593 72424 71572 19600 24031
Note Receivable - Long Term 721 577 443 330 54 22
Other Long Term Assets, Total 245 291 346 6031 12
Other Assets, Total 140 129 142 158
Accounts Payable 3839 4090 4348 5285 36 22
Notes Payable/Short Term Debt 0 0 0 0 0 0
Other Current Liabilities, Total 57 55 39 135
Total Liabilities 66161 73278 78704 86770 2184 103
Total Long Term Debt 5411 7332 7777 10547 37 34
Long Term Debt 5411 7332 7777 9094 37 33
Deferred Income Tax 857 997 963 975 488 13
Minority Interest 10900 11729 11776 11843 1556
Other Liabilities, Total 45097 49075 53801 57985 67 34
Total Equity 15900 17143 18115 19083 19254 26690
Common Stock 6975 6976 7133 7148 6689 6651
Retained Earnings (Accumulated Deficit) 9177 10532 11238 12257 12680 20143
Treasury Stock - Common -252 -222 -111 -122 -115 -104
Total Liabilities & Shareholders’ Equity 82061 90421 96819 105853 21438 26793
Total Common Shares Outstanding 215.431 215.941 218.099 218.109 209.824 209.356
Other Equity, Total -143 -145 -200
Cash & Equivalents 1977 1646 2635
Capital Lease Obligations 1453 1
Feb 2020 Aug 2020 Feb 2021 Aug 2021 Feb 2022
Cash and Short Term Investments 1977 1915 1646 2644 2635
Cash & Equivalents 1977 1915 1646 2644 2635
Total Receivables, Net 6040 86 70 19 50
Accounts Receivable - Trade, Net 6001 86 70 12 50
Total Inventory 2038
Total Assets 105853 18272 21438 23431 26793
Property/Plant/Equipment, Total - Net 13224 57 56 56 55
Intangibles, Net 4483
Long Term Investments 71572 16113 19600 20658 24031
Note Receivable - Long Term 330 86 54 54 22
Other Long Term Assets, Total 6031 15 12
Other Assets, Total 158
Accounts Payable 5285 29 36 15 22
Notes Payable/Short Term Debt 0 0 0 0 0
Other Current Liabilities, Total 135 93 271
Total Liabilities 86770 2446 2184 382 103
Total Long Term Debt 10547 118 37 60 34
Long Term Debt 9094 116 37 58 33
Capital Lease Obligations 1453 2 2 1
Deferred Income Tax 975 563 488 13 13
Minority Interest 11843 1563 1556
Other Liabilities, Total 57985 80 67 23 34
Total Equity 19083 15826 19254 23049 26690
Other Equity, Total 19083 15826 19254 23049 26690
Total Liabilities & Shareholders’ Equity 105853 18272 21438 23431 26793
Total Common Shares Outstanding 218.109 216 209.824 209.4 209.356
  • Annual
  • Quarterly
2017 2018 2019 2020 2021 2022
Net income/Starting Line 3886 3043 2817 3088 10096 7497
Cash From Operating Activities 1724 2081 1674 2272 1264 34
Cash From Operating Activities 433 503 582 836 3 3
Non-Cash Items -2685 -1687 -1394 -1080 -10117 -7492
Cash Taxes Paid 553 532 693 490 609 552
Cash Interest Paid 433 463 668 840 157 57
Changes in Working Capital 90 222 -331 -572 1282 26
Cash From Investing Activities -1674 -2937 -986 -1461 1868 2527
Capital Expenditures -2033 -1879 -1745 -1933 -1 -1
Other Investing Cash Flow Items, Total 359 -1058 759 472 1869 2528
Cash From Financing Activities 76 784 -983 -900 -2081 -1572
Financing Cash Flow Items 630 -39 -426 -686 -129 -54
Total Cash Dividends Paid -696 -836 -929 -1021 -516
Issuance (Retirement) of Stock, Net 96 40 138 -11 -435 -1517
Issuance (Retirement) of Debt, Net 46 1619 234 818 -1001 -1
Foreign Exchange Effects -71 9 7 -21
Net Change in Cash 55 -63 -288 -110 1051 989
Feb 2020 Aug 2020 Feb 2021 Aug 2021 Feb 2022
Net income/Starting Line 3088 5571 10096 3860 7497
Cash From Operating Activities 2272 1694 1264 58 34
Cash From Operating Activities 836 1 3 1 3
Non-Cash Items -1080 -5714 -10117 -3738 -7492
Cash Taxes Paid 490 93 609 279 552
Cash Interest Paid 840 148 157 57 57
Changes in Working Capital -572 1836 1282 -65 26
Cash From Investing Activities -1461 956 1868 2487 2527
Capital Expenditures -1933 -1 -1
Other Investing Cash Flow Items, Total 472 956 1869 2487 2528
Cash From Financing Activities -900 -1330 -2081 -1547 -1572
Financing Cash Flow Items -686 -166 -129 -87 -54
Total Cash Dividends Paid -1021 -164 -516
Issuance (Retirement) of Stock, Net -11 -435 -1460 -1517
Issuance (Retirement) of Debt, Net 818 -1000 -1001 -1
Foreign Exchange Effects -21
Net Change in Cash -110 1320 1051 998 989

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PSG Group Ltd Company profile

About PSG Group Limited

PSG Group Ltd is an investment holding company. The Company consists of underlying investments that operate across a range of industries, such as banking, education, financial services, food and related business and private education services. The Company's Capitec segment is engaged in retail banking. Its Curro segment is engaged in private school education. Its PSG Konsult segment is engaged in wealth management, asset management and insurance. Its Zeder segment is engaged in investment in food and related business. Its PSG Private Equity segment is engaged in early-stage investing in high growth sectors. Its Dipeo is its BEE investment holding company. PSG Corporate offers investment management and treasury services, including PSG Capital (corporate finance) and Grayston Elliot (tax advice). It offers financial services, including financial advice, stockbroking, fund management, insurance, financing, banking, investing and advisory services.

Financial summary

BRIEF: For the six months ended 31 August 2021, PSG Group Limited revenues increased from -RAN3.24B to RAN3.85B. Net income before extraordinary items decreased 21% to RAN3.78B. Revenues reflect FV losses on investments at FVPTL increase from -RAN5.19B to RAN3.4B, Fair value gains/ (losses) increase from -RAN18M to RAN42M. Basic Earnings per Share excluding Extraordinary Items decreased from RAN21.93 to RAN18.05.

Equity composition

10/2006, Rights Issue, 1 new share for every 12 shares held @ ZAR 1700 (Factor: 1.022448).

Industry: Investment Management & Fund Operators (NEC)

1st Floor, Ou Kollege 35 Kerk Street
Stellenbosch
STELLENBOSCH
WESTERN CAPE 7600
ZA

Income statement

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0.37 Price
+2.630% 1D Chg, %
Long position overnight fee -0.0500%
Short position overnight fee 0.0140%
Overnight fee time 21:00 (UTC)
Spread 0.00660

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