JcbNext Berhad, formerly JobStreet Corporation Berhad, is an investment holding company. The Company is engaged in provision of interactive marketing services. The Company’s segments include Investment holding, which is engaged in equity investments, property investments, treasury investments, investment in associates, and property leasing, and others, which includes online advertising and contract staffing. The Company has operations in Malaysia, Singapore and Philippines, as well as Hong Kong, Indonesia, Japan, British Virgin Islands and India. The Company, through its subsidiaries, is engaged in automobile online advertising services; employment agencies and consultancy services; online recruitment and human resource management services, and search and selection, staffing and career consultancy. The Company’s subsidiaries include Autoworld.com.my Sdn. Bhd., JobStreet.com India Pvt. Ltd., Enerpro Pte. Ltd. and Greenfield Japan Kabushiki Kaisha.
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**Data before 2015 may not be accurate
**Dividend Yield calculated base on the last price of the year
JCBNEXT Dividend Yield Trend
JCBNEXT Quarter DY Yield
Year
Financial Year
DY_Type
Announced
EX Date
Payment Date
DY($)
Yield%
2022
31/12/2022
Final
27/04/2023
03/07/2023
25/07/2023
0.06
4.03
2021
31/12/2021
Final
28/04/2022
05/07/2022
27/07/2022
0.035
2.35
2020
31/12/2020
Final
17/05/2021
29/06/2021
21/07/2021
0.03
2.01
2019
31/12/2019
Final
18/06/2020
27/07/2020
13/08/2020
0.04
2.68
2018
31/12/2018
Final
29/04/2019
05/07/2019
25/07/2019
0.04
2.68
2017
31/12/2017
Final
27/04/2018
07/06/2018
28/06/2018
0.045
3.02
2016
31/12/2016
Final
27/04/2017
07/07/2017
27/07/2017
0.02
1.34
2015
31/12/2015
Final
28/04/2016
10/06/2016
30/06/2016
0.01
0.67
2015
31/12/2015
Interim
23/02/2016
08/03/2016
24/03/2016
0.0063
0.42
2015
31/12/2015
Interim
30/11/2015
11/12/2015
30/12/2015
0.0063
0.42
2015
31/12/2015
Second Interim
19/08/2015
02/09/2015
23/09/2015
0.0063
0.42
2015
31/12/2015
First Interim
22/05/2015
04/06/2015
25/06/2015
0.0063
0.42
2014
31/12/2014
Final
28/05/2015
03/07/2015
23/07/2015
0.0325
2.18
2014
31/12/2014
Interim
25/02/2015
10/03/2015
27/03/2015
0.0175
1.17
2014
31/12/2014
Special
28/11/2014
10/12/2014
24/12/2014
2.65
177.85
2014
31/12/2014
Interim
27/11/2014
10/12/2014
24/12/2014
0.0175
1.17
2014
31/12/2014
Second Interim
21/08/2014
04/09/2014
18/09/2014
0.0175
1.17
2014
31/12/2014
First Interim
05/06/2014
18/06/2014
03/07/2014
0.0175
1.17
2013
31/12/2013
Final
02/06/2014
16/07/2014
07/08/2014
0.005
0.34
2013
31/12/2013
Interim
20/02/2014
10/03/2014
27/03/2014
0.0175
1.17
2013
31/12/2013
Interim
26/11/2013
09/12/2013
26/12/2013
0.0175
1.17
2013
31/12/2013
Second Interim
22/08/2013
09/09/2013
27/09/2013
0.035
2.35
2013
31/12/2013
First Interim
29/05/2013
10/06/2013
28/06/2013
0.035
2.35
2012
31/12/2012
Final
29/04/2013
10/06/2013
28/06/2013
0.0275
1.85
2012
31/12/2012
Interim
20/02/2013
11/03/2013
29/03/2013
0.0175
1.17
2012
31/12/2012
Interim
21/11/2012
10/12/2012
28/12/2012
0.0175
1.17
2012
31/12/2012
Second Interim
16/08/2012
10/09/2012
28/09/2012
0.015
1.01
2012
31/12/2012
First Interim
22/05/2012
11/06/2012
29/06/2012
0.015
1.01
2011
31/12/2011
Final
23/04/2012
11/06/2012
29/06/2012
0.005
0.34
2011
31/12/2011
Interim
22/02/2012
12/03/2012
30/03/2012
0.0175
1.17
2011
31/12/2011
Interim
18/11/2011
02/12/2011
22/12/2011
0.0175
1.17
2011
31/12/2011
Interim
25/08/2011
14/09/2011
30/09/2011
0.015
1.01
2011
31/12/2011
Interim
23/05/2011
10/06/2011
30/06/2011
0.015
1.01
2010
31/12/2010
Final
30/05/2011
04/07/2011
15/07/2011
0.01
0.67
2010
31/12/2010
Interim
24/02/2011
16/03/2011
31/03/2011
0.015
1.01
2010
31/12/2010
Interim
23/11/2010
17/12/2010
28/12/2010
0.015
1.01
2010
31/12/2010
Interim
24/08/2010
17/09/2010
28/09/2010
0.0125
0.84
2010
31/12/2010
Interim
21/05/2010
17/06/2010
28/06/2010
0.0125
0.84
2009
31/12/2009
Final
17/05/2010
10/06/2010
28/06/2010
0.015
1.01
2009
31/12/2009
Interim
17/11/2009
08/12/2009
31/12/2009
0.015
1.01
2008
31/12/2008
Final
07/05/2009
01/06/2009
17/06/2009
0.015
1.01
2008
31/12/2008
Interim
21/11/2008
12/12/2008
31/12/2008
0.02
1.34
2007
31/12/2007
Final
27/05/2008
19/06/2008
04/07/2008
0.02
1.34
2007
31/12/2007
Interim
27/12/2007
15/01/2008
28/01/2008
0.015
1.01
2006
31/12/2006
Interim
16/11/2006
15/12/2006
10/01/2007
0.015
1.01
2005
31/12/2005
Final
26/05/2006
21/06/2006
05/07/2006
0.0125
0.84
2005
31/12/2005
Interim
25/04/2005
11/05/2005
06/06/2005
0.015
1.01
JCBNEXT Annual DY Yield
Year
Annual DY($)
Frequency per yr
SpecialDY
Yield%
2022
0.06
1
No
4.03
2021
0.035
1
No
2.35
2020
0.03
1
No
2.01
2019
0.04
1
No
2.68
2018
0.04
1
No
2.68
2017
0.045
1
No
3.02
2016
0.02
1
No
1.34
2015
0.0352
5
No
2.36
2014
2.7525
6
Yes
184.73
2013
0.11
5
No
7.38
2012
0.0925
5
No
6.21
2011
0.07
5
No
4.70
2010
0.065
5
No
4.36
2009
0.03
2
No
2.01
2008
0.035
2
No
2.35
2007
0.035
2
No
2.35
2006
0.015
1
No
1.01
2005
0.0275
2
No
1.85
JCBNEXT Quarter Report History
Q Date
Announced
Revenue
P/L
EPS
Margin
QoQ%
YoY%
30/06/2023
23/08/2023
4,430,000
12,390,000.00
9.38
279.68
97.92
84.10
31/03/2023
25/05/2023
900,000
6,260,000.00
4.74
695.56
130.15
3.99
31/12/2022
23/02/2023
1,100,000
2,720,000.00
2.06
247.27
-66.42
-46.98
30/09/2022
24/11/2022
4,140,000
8,100,000.00
6.13
195.65
20.36
82.84
30/06/2022
30/08/2022
3,540,000
6,730,000.00
5.10
190.11
11.79
100.30
31/03/2022
25/05/2022
752,000
6,020,000.00
4.56
800.53
17.35
53.18
31/12/2021
24/02/2022
898,000
5,130,000.00
3.88
571.27
15.80
303.94
30/09/2021
24/11/2021
2,240,000
4,430,000.00
3.36
197.77
31.85
246.09
30/06/2021
26/08/2021
2,430,000
3,360,000.00
2.54
138.27
-14.50
64.71
31/03/2021
25/05/2021
779,000
3,930,000.00
2.94
504.49
209.45
122.03
JCBNEXT Quarter Profit Trend
JCBNEXT Annual Profit Trend
Cash Flow
In financial accounting, operating cash flow (OCF), cash flow provided by operations, cash flow from operating activities (CFO) or free cash flow from operations (FCFO), refers to the amount of cash a company generates from the revenues it brings in, excluding costs associated with long – term investment on capital items or investment in securities.(From Wiki)
JCBNEXT Annual Cash Flow
ROE & Payout Ratio
Return on equity (ROE) is a measure of financial performance calculated by dividing net income by shareholders’ equity. Because shareholders’ equity is equal to a company’s assets minus its debt, ROE is considered the return on net assets. ROE is considered a measure of the profitability of a corporation in relation to stockholders’ equity. (From Investopedia)
The payout ratio is a financial metric showing the proportion of earnings a company pays its shareholders in the form of dividends, expressed as a percentage of the company’s total earnings. On some occasions, the payout ratio refers to the dividends paid out as a percentage of a company’s cash flow. The payout ratio is also known as the dividend payout ratio. (From Investopedia)
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