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Trade Public Bank Berhad - PBLOF CFD

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0%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading Conditions
Long position overnight fee -0.0308%
Short position overnight fee -0.0137%
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* N/A
Open* N/A
1-Year Change* N/A
Day's Range* N/A
52 wk Range 3.88-4.79
Average Volume (10 days) 16.8874
Average Volume (3 months) 278.259
Market Cap 84242.4
P/E Ratio 15.1579
Shares Outstanding 19410700000
Revenue 13579.6
EPS 0.28632
Dividend (Yield %) 3.61751
Beta 0.91996
Next Earnings Date Nov 28, 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

Public Bank Berhad Events

 (UTC)
Monday, November 28, 2022
10:59
  MY
Q3 2022 Public Bank Bhd Earnings Release
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net Income Before Taxes 6554.03 7117.67 7101.17 7134.14 6285.06 7366.58
Net Income After Taxes 5267.44 5546.98 5664.91 5579.44 4932.26 5729.88
Minority Interest -60.56 -76.944 -74.301 -67.885 -60.558 -73.346
Net Income Before Extra. Items 5206.88 5470.04 5590.61 5511.56 4871.7 5656.53
Net Income 5206.88 5470.04 5590.61 5511.56 4871.7 5656.53
Income Available to Common Excl. Extra. Items 5206.88 5470.04 5590.61 5511.56 4871.7 5656.53
Income Available to Common Incl. Extra. Items 5206.88 5470.04 5590.61 5511.56 4871.7 5656.53
Diluted Net Income 5206.88 5470.04 5590.61 5511.56 4871.7 5656.53
Diluted Weighted Average Shares 19307.5 19307.5 19362.5 19410.7 19410.7 19410.7
Diluted EPS Excluding Extraordinary Items 0.26968 0.28331 0.28873 0.28394 0.25098 0.29141
Dividends per Share - Common Stock Primary Issue 0.116 0.122 0.138 0.146 0.13 0.152
Diluted Normalized EPS 0.26912 0.28455 0.28853 0.28333 0.25383 0.29309
Interest Income, Bank 15067.5 15278.4 16261.2 16291.2 14184.2 13474.6
Total Interest Expense 8147.12 7861.3 8698.24 8857.09 7004.46 5159.52
Net Interest Income 6920.41 7417.12 7562.97 7434.12 7179.78 8315.04
Loan Loss Provision 192.74 203.292 169.269 154.466 1106.56 1201
Net Interest Income after Loan Loss Provision 6727.67 7213.83 7393.7 7279.65 6073.22 7114.04
Non-Interest Income, Bank 3775.66 4156.22 4134.6 4467.39 4936.43 5226.56
Non-Interest Expense, Bank -3949.29 -4252.37 -4427.13 -4612.9 -4724.59 -4974.03
Q1 2021 Q2 2021 Q3 2021 Q4 2021 Q1 2022
Net Income Before Taxes 1998.95 1795.4 1766.07 1806.16 2000.27
Net Income After Taxes 1549.24 1401.56 1380.5 1398.58 1412.82
Minority Interest -19.268 -17.179 -19.146 -17.753 -14.261
Net Income Before Extra. Items 1529.97 1384.38 1361.35 1380.83 1398.56
Net Income 1529.97 1384.38 1361.35 1380.83 1398.56
Income Available to Common Excl. Extra. Items 1529.97 1384.38 1361.35 1380.83 1398.56
Income Available to Common Incl. Extra. Items 1529.97 1384.38 1361.35 1380.83 1398.56
Diluted Net Income 1529.97 1384.38 1361.35 1380.83 1398.56
Diluted Weighted Average Shares 19410.7 19410.7 19410.7 19410.7 19410.7
Diluted EPS Excluding Extraordinary Items 0.07882 0.07132 0.07013 0.07114 0.07205
Dividends per Share - Common Stock Primary Issue 0 0.075 0 0.077 0
Diluted Normalized EPS 0.07928 0.07158 0.07058 0.07166 0.07236
Interest Income, Bank 3375.88 3380.96 3345.76 3371.96 3361.12
Total Interest Expense 1302.36 1274.44 1296.51 1286.21 1256.77
Net Interest Income 2073.51 2106.52 2049.25 2085.76 2104.35
Loan Loss Provision 198.585 395.917 324.439 282.058 99.948
Net Interest Income after Loan Loss Provision 1874.93 1710.6 1724.81 1803.7 2004.4
Non-Interest Income, Bank 1425.03 1303.38 1226.23 1279.14 1265.04
Non-Interest Expense, Bank -1301.01 -1218.58 -1184.98 -1276.68 -1269.17
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Assets 380053 395276 419693 432831 451257 462739
Property/Plant/Equipment, Total - Net 1528.33 1564.43 1567.2 2569.74 2697.28 2577.09
Property/Plant/Equipment, Total - Gross 3539.32 3476.38 3682.74 4254.46 4553.6 4681.46
Accumulated Depreciation, Total -2011 -1911.96 -2115.54 -1684.73 -1856.32 -2104.37
Goodwill, Net 2534.11 2367.23 2394.56 2387.48 2366.81 2413.15
Intangibles, Net 69.509 64.827 60.196 55.555 50.912 46.286
Long Term Investments 38.137 35.068 70.416 75.08 78.421 115.443
Other Long Term Assets, Total 65.189 70.984 81.374 83.484 81.637 519.009
Other Assets, Total 3612.66 2978.06 2579.78 2299.73 3695.31 3225.76
Accounts Payable 1613.16 1716.5 1885.76 2085.62 1784.52 1462.52
Payable/Accrued 2580.37 2428.35 2377.76 2471.93 2977.88 3158.94
Other Current Liabilities, Total 586.383 703.109 370.104 566.094 231.156 673.381
Total Liabilities 345840 357912 378720 389236 404009 414577
Total Long Term Debt 13475 18397.8 19032.5 18905.3 17844.5 17380.4
Long Term Debt 13436.3 18250.1 18936.8 17817.5 16772.4 16463.7
Capital Lease Obligations 38.74 147.672 95.666 1087.81 1072.12 916.653
Deferred Income Tax 155.287 164.655 141.948 56.993 784.349 70.995
Minority Interest 1150.46 1080.95 1123.41 1151.87 1178.36 1262.74
Other Liabilities, Total 1697.32 1190.26 885.543 958.588 1471.42 825.94
Total Equity 34213.3 37364.7 40973.1 43594.3 47248.3 48162.7
Common Stock 3882.14 9417.65 9417.65 9417.65 9417.65 9417.65
Additional Paid-In Capital 5535.52 0
Retained Earnings (Accumulated Deficit) 24293.1 27484.9 30598 33134.4 36453.2 38130.9
Treasury Stock - Common -149.337 -149.337 0
Unrealized Gain (Loss) -26.398 75.793 254.649 643.516 1101.41 57.512
Other Equity, Total 678.282 535.728 702.722 398.779 275.976 556.61
Total Liabilities & Shareholders’ Equity 380053 395276 419693 432831 451257 462739
Total Common Shares Outstanding 19307.5 19307.5 19410.7 19410.7 19410.7 19410.7
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total Assets 455064 456244 461227 462739 470579
Property/Plant/Equipment, Total - Net 2670.66 2653.9 2586.09 2577.09 2537.21
Intangibles, Net 2459.03 2461.89 2468.09 2459.43 2464.66
Long Term Investments 122.274 118.182 116.426 115.443 113.53
Other Long Term Assets, Total 84.554 112.662 569.754 519.009 515.805
Other Assets, Total 3442.98 3002.94 2987.06 3225.76 3135.12
Accounts Payable 1561.74 1366.51 1441.54 1462.52 1484.9
Payable/Accrued 3070.85 2776.62 2966.72 3158.94 3226.42
Other Current Liabilities, Total 508.266 816.125 1861.56 673.381 684.272
Total Liabilities 409262 408958 414236 414577 422588
Total Long Term Debt 16938.9 16945.9 16442.3 17380.4 15399.3
Long Term Debt 15863 15870.4 15374.1 16463.7 14480.7
Capital Lease Obligations 1075.92 1075.49 1068.2 916.653 918.556
Deferred Income Tax 555.803 477.603 68.301 70.995 71.411
Minority Interest 1231.87 1247.08 1272.87 1262.74 1283.43
Other Liabilities, Total 1241.13 899.036 885.944 825.94 870.052
Total Equity 45801.2 47286 46990.5 48162.7 47991.3
Common Stock 9417.65 9417.65 9417.65 9417.65 9417.65
Retained Earnings (Accumulated Deficit) 36383.6 37868.4 37572.9 38745 38573.6
Total Liabilities & Shareholders’ Equity 455064 456244 461227 462739 470579
Total Common Shares Outstanding 19410.7 19410.7 19410.7 19410.7 19410.7
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line 6554.03 7117.67 7101.17 7134.14 6285.06 7366.58
Cash From Operating Activities 1578.28 8353.04 11877.6 876.298 14669.5 6661.55
Cash From Operating Activities 202.995 219.362 228.677 352.172 364.419 363.314
Amortization 3.479 4.638 4.638 4.639 4.638 4.638
Non-Cash Items -140.244 -94.188 -633.697 -1889.31 2649.07 540.535
Cash Taxes Paid 1396.7 1466.5 1680.81 1379.46 1097.19 2061.77
Changes in Working Capital -5041.98 1105.55 5176.84 -4725.35 5366.34 -1613.51
Cash From Investing Activities -3473.39 -3466.44 -10522 2028.73 -7723.77 -4622.38
Capital Expenditures -404.969 -311.549 -217.833 -205.119 -373.063 -142.951
Other Investing Cash Flow Items, Total -3068.43 -3154.89 -10304.2 2233.85 -7350.71 -4479.43
Cash From Financing Activities -2446.63 -1187.63 -1050.36 -3967.55 -1689.45 -5616.67
Financing Cash Flow Items -30.604 -31.992 -34.152 -30.898 -22.845 -31.441
Total Cash Dividends Paid -2239.67 -2278.28 -2555.19 -2717.5 -1552.85 -3979.19
Issuance (Retirement) of Debt, Net -176.359 1122.65 1064.53 -1219.16 -113.747 -1606.03
Foreign Exchange Effects 163.194 -662.994 116.568 -65.883 -119.868 297.42
Net Change in Cash -4178.55 3035.98 421.802 -1128.41 5136.44 -3280.08
Issuance (Retirement) of Stock, Net 474.457
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line 1998.95 3794.35 5560.41 7366.58 2000.27
Cash From Operating Activities 4707.29 3438.5 9746.7 6661.55 3621.64
Cash From Operating Activities 93.725 186.889 279.713 363.314 91.667
Non-Cash Items -62.17 -110.705 -127.119 -84.063 -29.715
Cash Taxes Paid 215.757 404.784 558.206 2061.77 535.364
Changes in Working Capital 2676.78 -432.037 4033.69 -988.912 1559.41
Cash From Investing Activities -1131.62 5.906 -194.37 -4622.38 1964.23
Capital Expenditures -24.957 -76.74 -83.675 -142.951 -27.86
Other Investing Cash Flow Items, Total -1106.67 82.646 -110.695 -4479.43 1992.09
Cash From Financing Activities -3542.85 -3570.02 -5566 -5616.67 -1523.59
Total Cash Dividends Paid -2523.39 -2531.25 -3987.09 -3979.19 -1494.62
Issuance (Retirement) of Debt, Net -1019.46 -1038.77 -1578.9 -1606.03 -28.97
Foreign Exchange Effects 248.549 271.857 332.824 297.42 60.33
Net Change in Cash 281.357 146.237 4319.15 -3280.08 4122.6
Amortization 4.638
Financing Cash Flow Items -31.441

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  • Public Bank Berhad
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Public Bank Berhad Company profile

Public Bank Berhad engages in the consumer banking, retail commercial lending, and private unit trust businesses. The company''s deposit products include savings, current, fixed deposit, foreign currency, and gold investment accounts; and safe deposit box services. Its loan portfolio comprises home, SWIFT, working capital, SME, and other loans; overdrafts; project and vehicle financing; PB retail negotiable instruments of deposit; and credit guarantee corporation guarantee schemes and BNM funds. The company also provides Islamic banking, share broking, trustee services, nominee services, unit trust funds sales and management, bancassurance, and general insurance products and services. In addition, it offers mobile, internet, and self-service banking services; credit and debit card, and remittance services; and investment products and services, such as structured product investment and share trading/margin financing. Further, the company provides insurance products, including single premium investment-linked, family and savings, micro protection, and credit life insurance products. Additionally, it offers cash management services, such as account management, collection, and payment services. The company operates through a network of 264 branches and 2,089 self-service terminals in Malaysia, as well as 79 branches in Hong Kong, 5 in China, 31 in Cambodia, 26 in Vietnam, 4 in Laos, and 3 in Sri Lanka. It serves retail consumers, and small and medium enterprises. Public Bank Berhad was founded in 1966 and is headquartered in Kuala Lumpur, Malaysia.
Industry: Banks (NEC)

Menara Public Bank, 146 Jalan Ampang
KUALA LUMPUR
WILAYAH PERSEKUTUAN 50450
MY

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