Stock Price
8.63
Daily Change
0.05 0.58%
Monthly
0.35%
Yearly
11.64%
Q3 Forecast
8.60

Klcc Property Hldgs reported MYR1.31B in Cash and Equivalent for its fiscal quarter ending in June of 2025.



Financials
Assets MYR 18.57B
Cost of Sales MYR 144.63M
Current Assets MYR 1.4B
Debt MYR 4.32B
EBIT MYR 277.74M
EBITDA MYR 283.98M
Interest Income MYR 11.87M
Loan Capital MYR 3.79B
Net Income MYR 200.45M
Operating Expenses MYR 148.16M
Operating Profit MYR 262.09M
Pre-Tax Profit MYR 233.61M
Sales Revenues MYR 410.25M
Stock MYR 1.93M
Trade Creditors MYR 264.33M
Trade Debtors MYR 222.73M

Cash And Equivalent Change Date
Appeninn EUR 47M 16.44M Dec/2024
Attacq ZAR 1.23B 619.87M Dec/2024
Tenaga Nasional BHD MYR 20.34B 1.04B Jun/2025
Uoa Develop MYR 306.12M 72.44M Jun/2025