Skip to main content

BANGKOK COMMERCIAL ASSE-NVDR (BAM-R.BK) Stock Price and Company Information, 2024

BANGKOK COMMERCIAL ASSE-NVDR

BAM-R.BK

Exchange: BK
Currency Thai baht
Fiscal Year End: December
Sector: Financial Services
Industry: Asset Management
Gic Sector: Financials
Gic Group: Financial Services
Gic Industry: Capital Markets
Gic Sub Industry: Asset Management & Custody Banks
Description: Bangkok Commercial Asset Management Public Company Limited operates as an asset management company in Thailand. It purchases or transfers non-performing loans (NP Ls) and non-performing assets (NP As) for management or for further disposal or transfer. The company acquires and transfers NP Ls from financial institutions to manage through debt negotiation practices. In addition, it is involved in the acquisition and transfer of NP As from financial institutions; transfers of assets from debt settlement; and purchase of collateral at auction from the legal execution department with an emphasis on adding value. Bangkok Commercial Asset Management Public Company Limited was founded in 1998 and is headquartered in Bangkok, Thailand.
Address: 99, Surasak Road, Bangkok, Thailand, 10500
Website: https://www.bam.co.th
Updated On: 2024-09-02

Highlights

Market Capitalization: 24240300032
Market Capitalization Mln: 24240.3
PE Ratio: 8.92
Book Value: 13.44
Dividend Share: 0.38
Dividend Yield: 0.05
Earnings Share: 0.84
Most Recent Quarter: 2024-06-30
Profit Margin: 0.58
Operating Margin TTM: 0.94
Return On Assets TTM: 0.01
Return On Equity TTM: 0.03
Revenue TTM: 2939735040
Revenue Per Share TTM: 0.9
Quarterly Revenue Growth YOY: 0.02
Gross Profit TTM: 3558301000
Diluted Eps TTM: 0.84
Quarterly Earnings Growth YOY: 0.07

Valuation

Trailing PE: 8.92
Price Sales TTM: 8.24
Price Book MRQ: 1.10
Enterprise Value: 116974527365
Enterprise Value Revenue: 12.58
Enterprise Value Ebitda: 22.23

Technicals

Beta: 0.44
52 Week High: 15
52 Week Low: 7.4
50 Day MA: 15
200 Day MA: 15

Splits & Dividends

Forward Annual Dividend Yield: 0.06
Payout Ratio: 0.65
Ex Dividend Date: 2024-04-29