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KLSE:03005 - Metro Healthcare Bhd
Metro Healthcare Bhd
Sector:
Health Care
, Industry:
Health Care Facilities
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Yahoo Finance
Summary
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Quarterly
Annual
TTM
Balance Sheet
Cash Flow
Income Statement
Key Ratios
Personalized
Adjust Display Metrics
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Show %
2015 Q4
2016 Q4
2017 Q2
2017 Q3
2017 Q4
2018 Q2
2018 Q4
2019 Q2
2019 Q4
2020 Q2
2020 Q4
2021 Q2
2021 Q4
2022 Q2
2022 Q4
2023 Q2
2023 Q4
Graph
Insider Holdings (%)
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
-
-
-
-
-
-
Net Margin
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
20.86%
7.9%
22.33%
7.0%
18.81%
-15.8%
12.45%
-33.8%
13.3%
6.8%
13.98%
5.1%
Gross Margin
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
48.68%
4.6%
47.55%
-2.3%
43.41%
-8.7%
39.74%
-8.5%
40.5%
1.9%
40.46%
-0.1%
Operating Margin
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
24.79%
23.4%
21.15%
-14.7%
15.12%
-28.5%
10.08%
-33.3%
12.29%
21.9%
19.79%
61.1%
Total Revenue
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
38.02M
34.2%
42.26M
11.2%
40.94M
-3.1%
40.27M
-1.6%
42.47M
5.5%
44.69M
5.2%
Total Assets
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
46.2M
21.6%
50.24M
8.8%
49.37M
-1.7%
51.31M
3.9%
56.11M
9.4%
59.78M
6.5%
Total Liabilities
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
17.36M
13.6%
15.9M
-8.4%
16.48M
3.6%
16.06M
-2.6%
22.32M
38.9%
22.4M
0.4%
Total Equity
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
28.83M
27.1%
34.34M
19.1%
32.89M
-4.2%
35.25M
7.2%
33.79M
-4.1%
37.38M
10.6%
Operating CashFlow
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
12.96M
77.2%
12.1M
-6.6%
7.7M
-36.4%
9.25M
20.2%
9.4M
1.6%
10.93M
16.3%
Beginning Cash Position
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
8.12M
46.5%
9.02M
11.1%
15.11M
67.5%
15.26M
1.0%
11.63M
-23.8%
14.29M
22.9%
End Cash Position
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
15.11M
67.5%
15.26M
1.0%
11.63M
-23.8%
14.29M
22.9%
11.71M
-18.1%
15.16M
29.5%
Free Cash Flow
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
7.43M
168.2%
7.21M
-3.0%
2.97M
-58.8%
4.67M
57.4%
6.42M
37.3%
7.38M
15.1%
Net Income (Cont Operations)
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
11M
51.3%
12.6M
14.5%
9.84M
-21.9%
7.38M
-25.1%
8.38M
13.6%
8.54M
1.9%
Diluted Net Income
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
7.93M
44.8%
9.44M
19.0%
7.7M
-18.4%
5.02M
-34.9%
5.65M
12.6%
6.25M
10.6%
Diluted EPS
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
0.013
43.6%
0.011
-18.0%
0.008
-26.3%
0.008
3.4%
0.009
12.3%
0.01
11.0%
Return On Equity (%)
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
33.04%
19.8%
33.1%
0.2%
24.95%
-24.6%
14.42%
-42.2%
16.94%
17.5%
17.21%
1.6%
Return On Assets (%)
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
[friend]
19.75%
21.9%
21.4%
8.3%
16.12%
-24.7%
9.88%
-38.7%
10.71%
8.4%
11.25%
5.0%
Values are in MYR whenever applicable | Fiscal year ends on December 31
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