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US English
0.1973
0%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread 0.0034
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.021226 %
Charges from full value of position ($-4.03)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.021226%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.000692 %
Charges from full value of position ($-0.13)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.000692%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency SGD
Margin 5%
Stock exchange Singapore
Commission on trade 0%

*Information provided by Capital.com

Key Stats
Prev. Close* 0.1973
Open* 0.1973
1-Year Change* 2.07%
Day's Range* 0.1973 - 0.1973
52 wk Range 0.15-0.23
Average Volume (10 days) 163.00K
Average Volume (3 months) 8.59M
Market Cap 515.13M
P/E Ratio 3.49
Shares Outstanding 2.58B
Revenue 1.61B
EPS 0.06
Dividend (Yield %) 7.5
Beta 0.60
Next Earnings Date Nov 10, 2023

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
Sep 27, 2023 0.1973 0.0000 0.00% 0.1973 0.1973 0.1973
Sep 25, 2023 0.1983 0.0000 0.00% 0.1983 0.1983 0.1983
Sep 22, 2023 0.1983 0.0010 0.51% 0.1973 0.1983 0.1963
Sep 21, 2023 0.1982 0.0000 0.00% 0.1982 0.1992 0.1982
Sep 14, 2023 0.1982 -0.0010 -0.50% 0.1992 0.1992 0.1982
Sep 13, 2023 0.1972 -0.0010 -0.50% 0.1982 0.1983 0.1962
Sep 12, 2023 0.1962 -0.0021 -1.06% 0.1983 0.1992 0.1952
Sep 7, 2023 0.1992 0.0010 0.50% 0.1982 0.1992 0.1982
Sep 4, 2023 0.1992 0.0000 0.00% 0.1992 0.1992 0.1982
Aug 31, 2023 0.1992 0.0019 0.96% 0.1973 0.1992 0.1972
Aug 29, 2023 0.1992 0.0010 0.50% 0.1982 0.1992 0.1982
Aug 25, 2023 0.1973 -0.0009 -0.45% 0.1982 0.1992 0.1972
Aug 24, 2023 0.1972 -0.0020 -1.00% 0.1992 0.1992 0.1972
Aug 22, 2023 0.1982 0.0000 0.00% 0.1982 0.1982 0.1982
Aug 18, 2023 0.2042 0.0000 0.00% 0.2042 0.2042 0.2042
Aug 17, 2023 0.1992 0.0000 0.00% 0.1992 0.1992 0.1992
Aug 15, 2023 0.2042 0.0000 0.00% 0.2042 0.2042 0.1992
Aug 11, 2023 0.2042 0.0050 2.51% 0.1992 0.2042 0.1992
Aug 10, 2023 0.2042 0.0050 2.51% 0.1992 0.2042 0.1992
Aug 8, 2023 0.1992 0.0010 0.50% 0.1982 0.1992 0.1982

SIIC Environment Events

Time (UTC) Country Event
Friday, November 10, 2023

Time (UTC)

10:59

Country

SG

Event

Q3 2023 SIIC Environment Holdings Ltd Earnings Release
Q3 2023 SIIC Environment Holdings Ltd Earnings Release

Forecast

-

Previous

-
Friday, February 23, 2024

Time (UTC)

10:59

Country

SG

Event

Full Year 2023 SIIC Environment Holdings Ltd Earnings Release
Full Year 2023 SIIC Environment Holdings Ltd Earnings Release

Forecast

-

Previous

-
View all events
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total revenue 8303.88 7267.14 6251.94 5959.52 5313.34
Revenue 8303.88 7267.14 6251.94 5959.52 5313.34
Cost of Revenue, Total 5670.78 4862.86 4067.57 4026.07 3728.75
Gross Profit 2633.1 2404.28 2184.36 1933.45 1584.6
Total Operating Expense 6140.48 5192.8 4403.81 4289.5 3849.6
Selling/General/Admin. Expenses, Total 598.38 567.36 527.555 536.84 512.065
Other Operating Expenses, Total -89.231 -174.147 -159.244 -251.729 -286.75
Operating Income 2163.4 2074.34 1848.13 1670.02 1463.75
Interest Income (Expense), Net Non-Operating -676.168 -646.069 -661.933 -648.662 -541.346
Other, Net -1.281 -2.016 -1.766 -1.792 -1.719
Net Income Before Taxes 1485.95 1426.25 1184.43 1019.57 920.681
Net Income After Taxes 1121.78 1069.02 917.838 754.393 684.253
Minority Interest -341.585 -362.86 -282.494 -154.142 -144.016
Net Income Before Extra. Items 780.196 706.159 635.344 600.251 540.237
Net Income 780.196 706.159 635.344 600.251 540.237
Income Available to Common Excl. Extra. Items 780.196 706.159 635.344 600.251 540.237
Income Available to Common Incl. Extra. Items 780.196 706.159 635.344 600.251 540.237
Diluted Net Income 780.196 706.159 635.344 600.251 540.237
Diluted Weighted Average Shares 2575.67 2581.77 2602.82 2605.6 2606.59
Diluted EPS Excluding Extraordinary Items 0.30291 0.27352 0.2441 0.23037 0.20726
Dividends per Share - Common Stock Primary Issue 0.07722 0.07063 0.0494 0.05178 0.10091
Diluted Normalized EPS 0.30212 0.26485 0.24389 0.23168 0.17589
Interest Expense (Income) - Net Operating -36.869 -33.195 -30.35 -21.683 -12.77
Unusual Expense (Income) -2.577 -30.078 -1.726 0 -91.692
Jun 2023 Mar 2023 Dec 2022 Sep 2022 Jun 2022
Total revenue 2100.12 1918.73 2516.09 2100.92 1902
Revenue 2100.12 1918.73 2516.09 2100.92 1902
Cost of Revenue, Total 1338.36 1242.78 1814.94 1413.58 1235.57
Gross Profit 761.759 675.953 701.152 687.342 666.423
Total Operating Expense 1447 1366.12 1949.34 1530.98 1365.2
Selling/General/Admin. Expenses, Total 148.095 152.786 176.897 160.069 144.727
Other Operating Expenses, Total -39.45 -29.449 -42.497 -42.663 -15.103
Operating Income 653.114 552.616 566.752 569.936 536.799
Interest Income (Expense), Net Non-Operating -176.763 -216.591 -180.735 -176.116 -169.135
Net Income Before Taxes 476.351 336.025 386.017 393.82 367.664
Net Income After Taxes 351.633 241.999 278.007 295.994 291.937
Minority Interest -124.313 -91.968 -68.823 -90.993 -101.747
Net Income Before Extra. Items 227.32 150.031 209.184 205.001 190.19
Net Income 227.32 150.031 209.184 205.001 190.19
Income Available to Common Excl. Extra. Items 227.32 150.031 209.184 205.001 190.19
Income Available to Common Incl. Extra. Items 227.32 150.031 209.184 205.001 190.19
Diluted Net Income 227.32 150.031 209.184 205.001 190.19
Diluted Weighted Average Shares 2575.67 2577.85 2575.84 2575.39 2577.1
Diluted EPS Excluding Extraordinary Items 0.08826 0.0582 0.08121 0.0796 0.0738
Dividends per Share - Common Stock Primary Issue 0.02682 0 0.05148 0 0.0241
Diluted Normalized EPS 0.08826 0.0582 0.08114 0.07885 0.07383
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total Current Assets 8325.15 7491.65 6732.76 5939.26 5371.56
Cash and Short Term Investments 2522.04 2804.26 2671.69 2378.12 2136.29
Cash & Equivalents 2512.62 2794.95 2668.52 2374.77 2133.23
Short Term Investments 9.415 9.307 3.167 3.353 3.067
Total Receivables, Net 5403.67 4203.9 3395.43 2904.9 2750.48
Accounts Receivable - Trade, Net 3515.71 2494.85 1952.88 1683.13 1497.86
Total Inventory 233.483 285.969 221.39 159.115 121.219
Prepaid Expenses 72.075 72.091 71.565 60.303 45.781
Other Current Assets, Total 93.88 125.43 372.681 436.822 317.788
Total Assets 40545.2 37514 34751.6 32366.6 29718.7
Property/Plant/Equipment, Total - Net 490.045 401.278 372.107 379.316 315.635
Property/Plant/Equipment, Total - Gross 789.32 640.485 565.208 516.867 424.661
Accumulated Depreciation, Total -299.275 -239.207 -193.101 -137.551 -109.026
Goodwill, Net 457.241 457.241 457.241 457.241 457.241
Intangibles, Net 7070.38 6932.79 6631.48 6741.57 6702.69
Long Term Investments 763.63 642.439 649.89 676.991 861.46
Note Receivable - Long Term 23206.1 21323.6 19681.6 17600 15869.5
Other Long Term Assets, Total 232.67 264.971 226.554 572.271 140.698
Total Current Liabilities 7887.16 9434.22 8889.72 9246.2 8010.43
Accounts Payable 2271.45 2675.85 2321.72 2202.8 1907.12
Notes Payable/Short Term Debt 24.994 48.762 45.342 42.557 59.07
Current Port. of LT Debt/Capital Leases 3781.76 4985.4 4720.96 5293.61 4409.09
Other Current Liabilities, Total 1808.96 1724.21 1801.7 1707.23 1635.14
Total Liabilities 30729.7 27981.5 25823.9 24021.1 21873.9
Total Long Term Debt 15408.2 11682.7 10575.2 9112.29 8699.35
Long Term Debt 15374.8 11650.8 10542.1 9066.34 8235.64
Capital Lease Obligations 33.379 31.866 33.052 45.948 463.707
Deferred Income Tax 2286.3 2191.83 2089.84 2009.6 1890.82
Minority Interest 4999.01 4503.69 4094.23 3514.21 3068.87
Other Liabilities, Total 148.971 169.062 174.914 138.812 204.478
Total Equity 9815.56 9532.51 8927.77 8345.52 7844.8
Common Stock 5920.17 5920.17 5947.42 5947.42 5951.79
Retained Earnings (Accumulated Deficit) 4108.58 3530.47 3010.35 2506.99 2038.52
Treasury Stock - Common 0 0
Unrealized Gain (Loss) 0 -8.068 -10.248 -10.152 -7.269
Other Equity, Total -213.199 89.939 -19.747 -98.743 -138.25
Total Liabilities & Shareholders’ Equity 40545.2 37514 34751.6 32366.6 29718.7
Total Common Shares Outstanding 2575.67 2575.67 2602.82 2602.82 2606.59
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Total Current Assets 8636.06 8325.15 8397.2 9353.87 8504.77
Cash and Short Term Investments 2586.82 2522.04 2834.38 3152.39 2693.53
Cash & Equivalents 2577.55 2512.62 2825.39 3143.11 2684.29
Short Term Investments 9.267 9.415 8.991 9.279 9.233
Total Receivables, Net 5646.83 5403.67 5006.93 4584.08 4392.46
Accounts Receivable - Trade, Net 4862.87 4601.65 4197.95 3846.45 3669.25
Total Inventory 240.828 233.483 320.029 304.371 320.448
Prepaid Expenses 67.074 72.075 142.985 96.347 71.324
Other Current Assets, Total 94.506 93.88 92.881 1216.68 1027.01
Total Assets 41126.5 40545.2 39300 39581.5 38196.5
Property/Plant/Equipment, Total - Net 489.252 490.045 360.605 354.309 362.403
Goodwill, Net 457.241 457.241 457.241 457.241 457.241
Intangibles, Net 7055.25 7070.38 6645.19 6670.27 6709.12
Long Term Investments 774.603 763.63 770.599 695.41 680.598
Note Receivable - Long Term 23480.6 23206.1 22362.1 21755.5 21191
Other Long Term Assets, Total 233.465 232.67 306.994 294.952 291.391
Total Current Liabilities 8118.24 7887.16 8987.11 9915.21 9288.49
Accounts Payable 3841.86 3941.07 3691.14 3815.34 3516.57
Notes Payable/Short Term Debt 14.66 24.994 16.408 13.471 28.945
Current Port. of LT Debt/Capital Leases 4135 3781.76 5097.82 5203.65 4944.01
Other Current Liabilities, Total 126.717 139.337 181.739 882.756 798.953
Total Liabilities 31138.4 30729.7 29733 29940.5 28465.7
Total Long Term Debt 15471.4 15408.2 13265.8 12739.5 12143.3
Long Term Debt 15440.2 15374.8 13230.3 12710.4 12112.5
Capital Lease Obligations 31.187 33.379 35.469 29.107 30.812
Deferred Income Tax 2312.53 2286.3 2262.83 2231.21 2199.27
Minority Interest 5086.98 4999.01 5035.42 4902.08 4667.77
Other Liabilities, Total 149.202 148.971 181.899 152.418 166.845
Total Equity 9988.07 9815.56 9566.94 9641.06 9730.86
Common Stock 5920.17 5920.17 5920.17 5920.17 5920.17
Retained Earnings (Accumulated Deficit) 4258.62 4108.58 3909.36 3775.1 3706.29
Unrealized Gain (Loss) 0 0 -9.959 -9.671 -8.012
Other Equity, Total -190.724 -213.199 -252.637 -44.542 112.412
Total Liabilities & Shareholders’ Equity 41126.5 40545.2 39300 39581.5 38196.5
Total Common Shares Outstanding 2575.67 2575.67 2575.67 2575.67 2575.67
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Net income/Starting Line 1485.95 1426.25 1184.43 1019.57 920.681
Cash From Operating Activities -1394.66 315.615 152.894 151.934 -386.601
Cash From Operating Activities 52.35 50.225 50.172 39.836 32.426
Amortization 345.557 293.288 306.447 298.49 285.057
Non-Cash Items 671.439 597.475 642.077 639.771 425.32
Cash Taxes Paid 177.839 193.799 138.968 157.632 112.751
Cash Interest Paid 793.488 648.138 671.175 662.931 534.351
Changes in Working Capital -3949.95 -2051.62 -2030.23 -1845.73 -2050.08
Cash From Investing Activities -658.122 -867.075 -215.268 -548.061 -414.046
Capital Expenditures -453.788 -871.245 -261.731 -777.247 -298.345
Other Investing Cash Flow Items, Total -204.334 4.17 46.463 229.186 -115.701
Cash From Financing Activities 1764.3 678.546 359.37 615.224 1542.46
Financing Cash Flow Items -572.345 -571.69 -587.165 -487.054 -403.638
Issuance (Retirement) of Debt, Net 2528.76 1463.52 1078.52 1238.43 2076.87
Foreign Exchange Effects 6.151 -0.66 -3.241 22.448 -10.692
Net Change in Cash -282.326 126.426 293.755 241.545 731.121
Total Cash Dividends Paid -192.118 -186.043 -131.989 -131.779 -130.773
Issuance (Retirement) of Stock, Net 0 -27.245 0 -4.373
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Net income/Starting Line 336.025 1485.95 1099.93 706.113 338.449
Cash From Operating Activities 47.459 -1394.66 -520.131 -411.976 -478.039
Cash From Operating Activities 13.263 52.35 39.547 26.405 13.026
Amortization 97.374 345.557 235.483 157.01 80.71
Non-Cash Items 209.788 671.439 466.806 301.935 139.938
Cash Taxes Paid 63.708 177.839 156.652 117.357 77.027
Cash Interest Paid 249.716 793.488 560.258 401.238 233.895
Changes in Working Capital -608.991 -3949.95 -2361.9 -1603.44 -1050.16
Cash From Investing Activities -124.765 -658.122 -269.384 -255.015 -194.118
Capital Expenditures -124.776 -453.788 -315.568 -228.122 -167.201
Other Investing Cash Flow Items, Total 0.011 -204.334 46.184 -26.893 -26.917
Cash From Financing Activities 142.108 1764.3 812.722 1010.67 561.908
Financing Cash Flow Items -293.452 -572.345 -295.8 -381.288 -213.574
Issuance (Retirement) of Stock, Net 0 0 0 0
Issuance (Retirement) of Debt, Net 435.56 2528.76 1300.64 1513.34 775.482
Foreign Exchange Effects 0.128 6.151 7.227 4.474 -0.409
Net Change in Cash 64.93 -282.326 30.434 348.158 -110.658
Total Cash Dividends Paid -192.118 -192.118 -121.379

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SIIC Environment Company profile

About SIIC Environment Holdings Ltd

SIIC Environment Holdings Ltd. is a Singapore-based company, which is primarily engaged in water and environmental markets. The Company operates through three segments: Water and Sludge Treatment, Water Supply, and Waste Incineration. The Water and Sludge Treatment segment include construction, management and operation of water and sludge related infrastructure under service concession arrangements, management and operation of water and sludge related infrastructure under nonservice concession arrangements, and financial income under service concession arrangements. The Water Supply segment includes construction, management and operation of water supply-related infrastructure under service concession arrangements. The Waste Incineration segment includes construction, management and operation of waste incineration-related infrastructure under service concession arrangements. It also includes operations, such as design and consultancy on the projects and installation of water meters.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, SIIC Environment Holdings Ltd revenues increased 16% to RMB7.27B. Net income increased 11% to RMB706.2M. Revenues reflect an increase in demand for the Company's products and services due to favorable market conditions. Net income was partially offset by Administrative expenses increase of 7% to RMB486.5M (expense), Selling and distribution costs increase of 11% to RMB80.8M (expense).

Equity composition

02/2010, Rights Issue, 1 new share for every 2 shares held @ SGD .02 (Factor: 1.428571).02/2011, Rights Issue, 1 new share for every 2 shares held @ SGD .06 (Factor: 1.140000)

Industry: Water Supply & Irrigation Systems

One Temasek Avenue
#37-02, Millenia Tower
039192
SG

Income Statement

  • Annual
  • Quarterly

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