Kamdar Group (M) Berhad - Company Capsule

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Kamdar Group (M) Berhad - Company Capsule
Kamdar Group (M) Berhad



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Kamdar Group (M) Berhad Financial Snapshot



Operating Performance

Fast Facts

109, 2nd Floor, Jalan Bunus,, Kuala The company reported revenue of US$66.41 million

Headquarters Address

Lumpur, 50100,Malaysia during the fiscal year 2011 (2011). The company's

revenue grew at a CAGR of 6.52% during 2007–

Telephone + +603.2693.8988

2011, with an annual growth of 3.26% over 2010. In

2011, the company recorded an operating margin of

Fax + +603.2698.8400 10.83%, as against 11.14% in 2010.



Website N/A

Revenue and Margins

KAMDAR, Bursa MalaysiaONPRQ , Over

Ticker Symbol, Stock Exchange

The Counter



Number of Employees 1,368



Fiscal Year End December



Revenue (in US$ million) 66.41



Revenue (in MYR million) 214.50









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Kamdar Group (M) Berhad - Company Capsule Page 1

Kamdar Group (M) Berhad



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TABLE OF CONTENTS



1 Business Analysis ................................................................................................................................... 5

1.1 Company Overview ................................................................................................................................................5

1.2 Major Products and Services .................................................................................................................................5

2 Analysis of Key Performance Indicators ............................................................................................... 6

2.1 Five Year Snapshot: Overview of Financial and Operational Performance Indicators ..........................................6

2.2 Key Financial Performance Indicators ...................................................................................................................9

2.2.1 Revenue and Operating Profit ...........................................................................................................................9

2.2.2 Asset, Liabilities and Capex .............................................................................................................................10

2.2.3 Net Debt vs. Gearing Ratio ..............................................................................................................................11

2.2.4 Operational Efficiency ......................................................................................................................................12

2.2.5 Solvency ..........................................................................................................................................................13

2.3 Key Competitors ...................................................................................................................................................14

3 Key Employees ...................................................................................................................................... 15

4 Locations and Subsidiaries .................................................................................................................. 16

4.1 Head Office ..........................................................................................................................................................16

4.2 Other Locations and Subsidiaries ........................................

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