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Luminor Financial Holdings - Stock

Luminor Financial Holdings Stock

5UA.SI
SG2E72981474

Price

0.23 MYR
Today +/-
+0 MYR
Today %
+0 %
P

Luminor Financial Holdings Revenue, EBIT, Net Income

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Revenue
EBIT
Net Income
Details

Revenue, EBIT and Profit

Understanding Revenue, EBIT, and Income

Gain insights into Luminor Financial Holdings, a comprehensive overview of its financial performance can be obtained by analyzing the Revenue, EBIT, and Income chart. Revenue represents the total income generated by Luminor Financial Holdings from its primary operations, showcasing the company’s ability to attract and retain clients. EBIT, or Earnings Before Interest and Taxes, indicates the company’s operational profitability, free from the influence of tax and interest expenses. The Income section reflects Luminor Financial Holdings’s net earnings, an ultimate measure of its financial health and profitability.

Yearly Analysis and Comparisons

Observe the yearly bars to understand the annual performance and growth of Luminor Financial Holdings. Compare the Revenue, EBIT, and Income to evaluate the company’s efficiency and profitability. A higher EBIT compared to the previous year suggests an improvement in operational efficiency. Likewise, an increase in Income indicates enhanced overall profitability. Analyzing the year-to-year comparison assists investors in understanding the company’s growth trajectory and operational efficiency.

Utilizing Expectations for Investment

The expected values for the forthcoming years offer investors a glimpse into Luminor Financial Holdings’s anticipated financial performance. Analyzing these projections alongside historical data aids in making informed investment decisions. Investors can gauge the potential risks and returns, aligning their investment strategies accordingly to optimize profitability and mitigate risks.

Investment Insights

Leveraging the comparison between Revenue and EBIT helps in assessing Luminor Financial Holdings’s operational efficiency, while the Revenue and Income comparison reveals the net profitability after accounting for all expenses. Investors can derive valuable insights by meticulously analyzing these financial parameters, laying the foundation for strategic investment decisions aimed at capitalizing on Luminor Financial Holdings’s growth potential.

Luminor Financial Holdings Revenue, EBIT and net profit per share

DateLuminor Financial Holdings RevenueLuminor Financial Holdings EBITLuminor Financial Holdings Net Income
202221.85 M MYR18.01 M MYR8.01 M MYR
202127.1 M MYR-800,000 MYR-6.1 M MYR
202037.4 M MYR-3.7 M MYR-3.6 M MYR
201929.6 M MYR7.2 M MYR1.5 M MYR
201867.1 M MYR3.8 M MYR9.2 M MYR
2017101.1 M MYR19.2 M MYR5.1 M MYR
201624.78 M MYR1.08 M MYR-4.08 M MYR
201534.2 M MYR-9.9 M MYR-21.4 M MYR
2014337.1 M MYR92.4 M MYR65.6 M MYR
201313.6 M MYR-3.2 M MYR-9.7 M MYR
201236.6 M MYR16.2 M MYR2.4 M MYR
201136.1 M MYR1.1 M MYR-6.3 M MYR
201077.7 M MYR16.6 M MYR9.3 M MYR
20090 MYR-3 M MYR-2.3 M MYR
20080 MYR-900,000 MYR-700,000 MYR

Luminor Financial Holdings Stock Ratios

  • Simple

  • Expanded

  • Income Statement

  • Balance Sheet

  • Cashflow

 
REVENUE (M MYR)REVENUE GROWTH (%)GROSS MARGIN (%)GROSS INCOME (M MYR)EBIT (M MYR)EBIT MARGIN (%)NET INCOME (M MYR)NET INCOME GROWTH (%)SHARES (M)DOCUMENTS
200820092010201120122013201420152016201720182019202020212022
007736361333734241016729372721
----53.25--63.892,492.31-89.91-29.41320.83-33.66-56.7227.59-27.03-22.22
--25.9747.2280.5676.9230.5641.1833.3330.6922.3951.7221.6288.8995.24
002017291010314831151582420
0-316116-392-911937-3018
--20.782.7844.44-23.0827.30-26.474.1718.814.4824.14-8.11-85.71
0-29-62-965-21-4591-3-68
---550.00-166.67-133.33-550.00-822.22-132.31-80.95-225.0080.00-88.89-400.00100.00-233.33
144.7144.7144.7144.7144.7144.7144.7144.7144.73144.7144.7144.7144.7144.7152.16
- - - - - - - - - - - - - - -
Details

Keystats

Revenue and Growth

The Luminor Financial Holdings Revenue and Revenue Growth are pivotal to understanding the company's financial health and operational efficiency. A consistent increase in revenue indicates a company’s ability to effectively market and sell its products or services, while the revenue growth percentage offers insights into the pace at which the company is expanding over the years.

Gross Margin

The Gross Margin is a crucial metric that showcases the percentage of revenue exceeding the cost of goods sold (COGS). A higher gross margin is indicative of a company’s efficiency in controlling its production costs, thereby promising potential profitability and financial stability.

EBIT and EBIT Margin

EBIT (Earnings Before Interest and Taxes) and EBIT Margin offer deep insights into a company’s profitability, excluding the impacts of interest and taxes. Investors often assess these metrics to gauge the operational efficiency and inherent profitability of a business, separate from its financial structure and tax environment.

Income and Growth

Net Income and its subsequent growth are quintessential for investors looking to understand a company’s profitability. Consistent income growth underscores a company’s ability to enhance its profitability over time, reflecting operational efficiency, strategic competitiveness, and financial health.

Shares Outstanding

Shares outstanding refer to the total number of shares a company has issued. It's instrumental in calculating key metrics like Earnings Per Share (EPS) which is pivotal for investors to evaluate a company’s profitability on a per-share basis, offering a more granular view of financial health and valuation.

Interpreting Year to Year Comparison

Comparing yearly data allows investors to identify trends, assess the company’s growth, and anticipate potential future performance. Analyzing how metrics like revenue, income, and margins change year over year can provide valuable insights into the company’s operational efficiency, competitiveness, and overall financial health.

Expectations and Predictions

Investors often juxtapose the current and past financial data with the market’s expectations. This comparison aids in assessing whether the Luminor Financial Holdings is performing as anticipated, underperforming or outperforming the market predictions, providing pivotal data for investment decisions.

 
ASSETSCASH BALANCE (M MYR)RECEIVABLES (M MYR)OTHER REC. (M MYR)INVENTORIES (M MYR)OTHER CURRENT LIAB. (M MYR)CURRENT ASSETS (M MYR)TANGIBLE ASSETS (M MYR)LONG-T. INVEST. (M MYR)LONG-T. REC. (M MYR)INTANGIBLE ASSETS (M MYR)GOODWILL (M MYR)OTHER NON-CURRENT ASSETS (M MYR)NON-CURRENT ASSETS (M MYR)TOTAL ASSETS (M MYR)LIABILITIESCOMMON STOCK (M MYR)ADDITIONAL PAID-IN CAPITAL (M MYR)RETAINED EARNINGS (M MYR)OTHER EQUITY (M MYR)UNREAL. GAINS/LOSSES (M MYR)EQUITY (M MYR)LIABILITIES (M MYR)PROVISIONS (M MYR)OTHER SHORT-TERM LIAB. (M MYR)SHORT-TERM DEBTS (M MYR)LONG-TERM DEBT PORTION (M MYR)SHORT-TERM REC. (M MYR)LONG-T. LIAB. (M MYR)DEFERRED TAXES (M MYR)OTHER LIAB. (M MYR)LONG-T. LIABILITIES (M MYR)DEBT (M MYR)TOTAL CAPITAL (M MYR)
Details

Balance Sheet

Understanding the Balance Sheet

The balance sheet of Luminor Financial Holdings provides a detailed financial snapshot, revealing the company's assets, liabilities, and equity at a specific point in time. Analyzing these components is crucial for investors looking to understand Luminor Financial Holdings's financial health and stability.

Assets

Luminor Financial Holdings's assets represent everything the company owns or controls that has monetary value. These are categorized into current and non-current assets, offering insights into the company's liquidity and long-term investments.

Liabilities

Liabilities are obligations that Luminor Financial Holdings must settle in the future. Analyzing the ratio of liabilities to assets provides insights into the company's financial leverage and risk exposure.

Equity

Equity refers to the residual interest in the assets of Luminor Financial Holdings after deducting liabilities. It represents the owners’ claim on the company’s assets and earnings.

Year-to-Year Analysis

Comparing balance sheet figures year-to-year allows investors to identify trends, growth patterns, and potential financial risks, facilitating informed investment decisions.

Interpreting the Data

Detailed analysis of assets, liabilities, and equity can provide investors with comprehensive insights into Luminor Financial Holdings's financial standing, aiding in investment evaluations and risk assessments.

 
NET INCOME (M MYR)DEPRECIATION (k MYR)DEFERRED TAXES (M MYR)CHANGES IN WORKING CAPITAL (M MYR)NON-CASH ITEM (M MYR)PAID INTEREST (k MYR)PAID TAXES (M MYR)NET CASH FLOW FROM OPERATING ACTIVITIES (M MYR)CAPITAL EXPENDITURES (M MYR)CASH FLOW FROM INVESTING ACTIVITIES (M MYR)CASH FLOW FROM OTHER INVESTING ACTIVITIES (M MYR)INTEREST INCOME AND EXPENSES (M MYR)NET DEBT CHANGE (M MYR)NET CHANGE IN EQUITY (M MYR)CASH FLOW FROM FINANCING ACTIVITIES (M MYR)CASH FLOW FROM OTHER FINANCING ACTIVITIES (M MYR)TOTAL DIVIDENDS PAID (M MYR)NET CHANGE IN CASH FLOW (M MYR)FREE CASH FLOW (M MYR)SHARE-BASED COMPENSATION (M MYR)
200820092010201120122013201420152015null2016201720182019202020212022
0-216116-691-1091-10-513137-4017
000000000000001,0001,0001,000
00000000000000000
-63-16-291-1724-11421-11421142635116-535
000003-18-1800-9-301-10
00000001,00001,00001,0001,000001,0001,000
04-231419101003206117
-64-19-112-122-2419-241994039153-5013
0-1000000000000-10-1
0-100000000005-1120-5
0000000000005-1140-4
00000000000000000
000026810-1310-134-18-11-100034
800270000000000000
7221142325-176464-2023-35-19-181019
642014-30-26-318-317-2441-2012411-14
000000000000-3-21-2100
80227233-1723-1723-116310-13-15-4226
-64.79-20.87-12.062.43-2.0321.48-24.2119.87009.340.3939.915.261.79-50.8912.23
00000000000000000

Luminor Financial Holdings stock margins

The Luminor Financial Holdings margin analysis displays the gross margin, EBIT margin, as well as the profit margin of Luminor Financial Holdings. The EBIT margin (EBIT/sales) indicates the percentage of sales that remains as operating profit. The profit margin shows the percentage of sales that remains for Luminor Financial Holdings.
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Gross margin
EBIT margin
Profit margin
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Margin

Understanding Gross Margin

The gross margin, expressed as a percentage, delineates the gross profit made from the Luminor Financial Holdings's sales revenue. A higher gross margin percentage indicates that the Luminor Financial Holdings retains more revenue after accounting for the costs of goods sold. Investors use this metric to gauge financial health and operational efficiency, as well as to compare it with competitors and industry averages.

EBIT Margin Analysis

EBIT margin represents the Luminor Financial Holdings's earnings before interest and taxes. Analyzing the EBIT margin over different years provides insights into the operational profitability and efficiency, excluding the effects of financial leverage and tax structure. A growing EBIT margin over the years signifies improving operational performance.

Revenue Margin Insights

The revenue margin demonstrates the Luminor Financial Holdings's total revenue generated. When comparing the revenue margin year over year, investors can gauge the Luminor Financial Holdings's growth and market expansion. It is essential to compare the revenue margin with the gross and EBIT margins to understand the cost and profit structures better.

Interpreting Expectations

The expected values for gross, EBIT, and revenue margins provide future financial outlook of the Luminor Financial Holdings. Investors should compare these expectations with historical data to understand potential growth and risk factors. It is crucial to consider the underlying assumptions and methodologies used in projecting these expected values to make informed investment decisions.

Comparative Analysis

Comparing the gross, EBIT, and revenue margins, both yearly and over multiple years, enables investors to perform a comprehensive analysis of the Luminor Financial Holdings's financial health and growth prospects. Evaluating the trends and patterns in these margins helps in identifying strengths, weaknesses, and potential investment opportunities.

Luminor Financial Holdings Margin History

Luminor Financial Holdings Gross marginLuminor Financial Holdings Profit marginLuminor Financial Holdings EBIT marginLuminor Financial Holdings Profit margin
202293.54 %82.42 %36.64 %
202191.51 %-2.95 %-22.51 %
202021.93 %-9.89 %-9.63 %
201953.38 %24.32 %5.07 %
201822.65 %5.66 %13.71 %
201730.86 %18.99 %5.04 %
201636.07 %4.38 %-16.46 %
201542.98 %-28.95 %-62.57 %
201430.76 %27.41 %19.46 %
201376.47 %-23.53 %-71.32 %
201281.15 %44.26 %6.56 %
201149.03 %3.05 %-17.45 %
201026.38 %21.36 %11.97 %
200993.54 %0 %0 %
200893.54 %0 %0 %

Luminor Financial Holdings Stock Sales Revenue, EBIT, Earnings per Share

The Luminor Financial Holdings earnings per share therefore indicates how much revenue Luminor Financial Holdings has generated per share in a given period. The earnings before interest and taxes per share shows how much of the operating profit corresponds to each share. The earnings per share indicates how much of the profit belongs to each share.
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Sales per Share
EBIT per share
Earnings per Share
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Revenue, EBIT and Earnings per share

Revenue Per Share

Revenue per share represents the total revenue Luminor Financial Holdings earns, divided by the number of outstanding shares. It is a crucial metric as it reflects the company's ability to generate sales and signifies growth and expansion potential. Comparing yearly revenue per share allows investors to analyze the consistency in a company’s earnings and predict future trends.

EBIT Per Share

EBIT per share indicates Luminor Financial Holdings's earning before interest and taxes, offering insights into operational profitability excluding the effects of capital structure and tax rates. It can be juxtaposed against revenue per share to gauge the efficiency in converting sales into profits. A consistent increase in EBIT per share over the years underscores operational efficiency and profitability.

Income Per Share

Income per share, or earnings per share (EPS), reveals the portion of Luminor Financial Holdings’s profit allocated to each share of common stock. It’s instrumental in evaluating the profitability and financial health. By comparing it with revenue and EBIT per share, investors discern how effectively a firm translates sales and operational profits into net income.

Expected Values

Expected values are projections of revenue, EBIT, and income per share for forthcoming years. These anticipations, rooted in historical data and market analysis, aid investors in strategizing their investments, evaluating Luminor Financial Holdings's prospective performance, and estimating future stock prices. However, it’s pivotal to consider market volatilities and uncertainties that can influence these projections.

Luminor Financial Holdings Revenue, EBIT and net profit per share

DateLuminor Financial Holdings Sales per ShareLuminor Financial Holdings EBIT per shareLuminor Financial Holdings Earnings per Share
20220.14 MYR0.12 MYR0.05 MYR
20210.19 MYR-0.01 MYR-0.04 MYR
20200.26 MYR-0.03 MYR-0.02 MYR
20190.2 MYR0.05 MYR0.01 MYR
20180.46 MYR0.03 MYR0.06 MYR
20170.7 MYR0.13 MYR0.04 MYR
20160.17 MYR0.01 MYR-0.03 MYR
20150.24 MYR-0.07 MYR-0.15 MYR
20142.33 MYR0.64 MYR0.45 MYR
20130.09 MYR-0.02 MYR-0.07 MYR
20120.25 MYR0.11 MYR0.02 MYR
20110.25 MYR0.01 MYR-0.04 MYR
20100.54 MYR0.11 MYR0.06 MYR
20090 MYR-0.02 MYR-0.02 MYR
20080 MYR-0.01 MYR-0 MYR

Luminor Financial Holdings business model

Starland Holdings Ltd is a company based in Hong Kong that has been a major player in the global market since its establishment in 1985. The company's history dates back to the 1950s, when the Lee family began trading in the textile and toy markets in Hong Kong. After years of growth and success, the Lee family decided to expand their business into other areas in the 1980s. Starland Holdings Ltd was finally established in 1985 to serve as a holding company for the various subsidiaries operated by the company. One of the main business fields of Starland Holdings Ltd is the production of toys and electronic devices. This sector of the company has a long tradition in the Lee family, and Starland is now one of the largest toy manufacturers in the world. The company offers a wide range of toy products, ranging from traditional dolls and stuffed animals to modern electronic games and toy robots. Another important sector of Starland Holdings Ltd is real estate development. The company has undertaken numerous real estate projects in Hong Kong and around the world, and has extensive experience in this field. Starland focuses on high-end residential projects as well as office and commercial buildings. In addition, Starland Holdings Ltd is also involved in entertainment. The company owns and operates several amusement parks, cinemas, and shopping centers in Hong Kong and other parts of the world. These businesses are an important part of Starland's offerings to customers and create a strong bond between the company and consumers. In addition to these core business areas, Starland Holdings Ltd is also engaged in other sectors, including transportation services, financial services, and trade. The company has evolved and is now a comprehensive provider of a variety of products and services. As a holding company for a wide range of subsidiaries, Starland Holdings Ltd has become a key player in the global market. But despite its rapid growth and success in recent decades, the company has remained true to its core values of quality, customer orientation, and innovation. Starland Holdings Ltd sees itself as a long-term oriented company whose goal is to always provide its customers and business partners with the best quality and service. Innovation and creativity are among the key features of Starland Holdings Ltd. In recent years, the company has developed numerous groundbreaking technologies and products that improve the lives of consumers worldwide. These include toy robots that help enhance the skills of children, as well as innovative solutions for real estate development that contribute to shaping cities and communities in a forward-thinking way. Overall, Starland Holdings Ltd is a company that continues to evolve and grow. With its long-standing tradition in trade and production, the company has achieved a strong position in the global market and is establishing itself as a provider of a variety of products and services. Through innovation, creativity, and a commitment to the highest quality, Starland Holdings Ltd remains a leading provider for customers and business partners worldwide. Luminor Financial Holdings is one of the most popular companies on Eulerpool.com.

Luminor Financial Holdings SWOT Analysis

Strengths

Starland Holdings Ltd has established a strong market position in the industry, which allows them to effectively compete with other players. This position provides them with a solid customer base and brand recognition.

The company has a diverse portfolio of products and services, enabling them to cater to different market segments. This diversification helps mitigate risks and capitalize on various opportunities.

Starland Holdings Ltd has consistently demonstrated strong financial performance, with steady revenue growth and healthy profit margins. This financial stability provides them with the resources needed for future growth and investments.

Weaknesses

The company heavily relies on a few key clients for a significant portion of their revenue. This dependence exposes them to the risk of losing these clients, which could impact their financial stability.

Starland Holdings Ltd currently has a limited geographic presence, mainly operating in a few regions. This reduces their market reach and potential customer base, limiting their growth opportunities.

The company incurs high production costs due to various factors such as raw material prices, labor expenses, and energy costs. These higher costs may reduce their profit margins and competitiveness.

Opportunities

The industry in which Starland Holdings Ltd operates is experiencing significant growth due to increasing demand. This offers the company opportunities to expand their market share and increase their revenue.

The company can explore entering new markets or expanding into untapped regions. This strategic move can help diversify their revenue streams and reduce dependency on a single market or client.

Advancements in technology provide Starland Holdings Ltd with opportunities to improve their operational efficiency, optimize processes, and develop innovative products/services. This technological adoption can enhance their competitiveness in the market.

Threats

Starland Holdings Ltd faces intense competition from existing competitors as well as new entrants in the industry. This competition can potentially erode their market share and put pressure on their pricing and profitability.

Fluctuations in the economy, such as recessions or financial crises, pose a threat to the company's financial stability. Economic instability can lead to reduced consumer spending and demand for their products/services.

Shifts in consumer preferences and trends can impact the demand for Starland Holdings Ltd's offerings. Failure to adapt to these changes or anticipate future consumer needs may result in decreased market relevance.

Luminor Financial Holdings valuation based on historical P/E ratio, EBIT, and P/S ratio.

Luminor Financial Holdings shares outstanding

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Number of stocks
Details

Revenue, EBIT and Earnings per share

Revenue Per Share

Revenue per share represents the total revenue Luminor Financial Holdings earns, divided by the number of outstanding shares. It is a crucial metric as it reflects the company's ability to generate sales and signifies growth and expansion potential. Comparing yearly revenue per share allows investors to analyze the consistency in a company’s earnings and predict future trends.

EBIT Per Share

EBIT per share indicates Luminor Financial Holdings's earning before interest and taxes, offering insights into operational profitability excluding the effects of capital structure and tax rates. It can be juxtaposed against revenue per share to gauge the efficiency in converting sales into profits. A consistent increase in EBIT per share over the years underscores operational efficiency and profitability.

Income Per Share

Income per share, or earnings per share (EPS), reveals the portion of Luminor Financial Holdings’s profit allocated to each share of common stock. It’s instrumental in evaluating the profitability and financial health. By comparing it with revenue and EBIT per share, investors discern how effectively a firm translates sales and operational profits into net income.

Expected Values

Expected values are projections of revenue, EBIT, and income per share for forthcoming years. These anticipations, rooted in historical data and market analysis, aid investors in strategizing their investments, evaluating Luminor Financial Holdings's prospective performance, and estimating future stock prices. However, it’s pivotal to consider market volatilities and uncertainties that can influence these projections.

Luminor Financial Holdings Stock Payout Ratio

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Payout ratio
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Payout ratio

What is Yearly Payout Ratio?

The yearly payout ratio for Luminor Financial Holdings represents the proportion of earnings paid out as dividends to shareholders. It is an indicator of the company's financial health and stability, illustrating how much profit is being returned to investors versus being reinvested back into the company.

How to Interpret the Data

A lower payout ratio for Luminor Financial Holdings could mean that the company is reinvesting more into its growth, whereas a higher ratio indicates more earnings are being distributed as dividends. Investors seeking regular income might prefer companies with a higher payout ratio, while those looking for growth may opt for companies with a lower ratio.

Using the Data for Investments

Evaluate Luminor Financial Holdings's payout ratio in conjunction with other financial metrics and performance indicators. A sustainable payout ratio, coupled with strong financial health, can indicate a reliable dividend payout. However, a very high ratio might suggest the company is not sufficiently reinvesting in its future growth.

Luminor Financial Holdings Payout Ratio History

DateLuminor Financial Holdings Payout ratio
2022154.17 %
2021154.17 %
2020-150 %
2019300 %
20188.33 %
2017154.17 %
2016154.17 %
2015154.17 %
2014154.17 %
2013154.17 %
2012154.17 %
2011154.17 %
2010154.17 %
2009154.17 %
2008154.17 %
Unfortunately, there are currently no price targets and forecasts available for Luminor Financial Holdings.

Luminor Financial Holdings Stock Shareholders

%
Name
Stocks
Change
Date
4.72 % Estate Of Lin Wei Daniel7,899,0687,899,0683/24/2023
4.52 % Meridian Salute Sdn. Bhd.7,565,09606/7/2023
3.84 % Cheng (Lim Kong)6,436,95503/24/2023
3.11 % Ang (Cheng Lam)5,207,64103/24/2023
3.03 % VSTL Investment Ltd.5,077,2003,741,7003/24/2023
29.73 % Kwan (Chee Seng)49,784,6393,383,3008/30/2023
2.78 % Hassan (Issa Yaunis)4,660,20003/24/2023
1.93 % Sim (Siew Tin Carol)3,235,96603/24/2023
1.90 % Teo (Tat Beng)3,174,5003,174,5003/24/2023
1.68 % Lim (See Yong)2,820,10103/24/2023
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Luminor Financial Holdings stock: Frequently Asked Questions

What values and corporate philosophy does Luminor Financial Holdings represent?

Starland Holdings Ltd represents values of integrity, innovation, and sustainability. With a commitment to transparency and strong corporate governance, the company aims to deliver long-term value for its stakeholders. Embracing a customer-centric approach, Starland Holdings Ltd strives to meet and exceed the expectations of its clients by providing high-quality products and services. Furthermore, the company focuses on continuous innovation and keeping pace with technological advancements to ensure a competitive edge in the market. Sustainability is also a key element of Starland Holdings Ltd's corporate philosophy, as it seeks to minimize its environmental impact and contribute positively to the communities it operates in.

In which countries and regions is Luminor Financial Holdings primarily present?

Starland Holdings Ltd is primarily present in various countries and regions worldwide. With a global presence, the company operates in multiple locations including North America, Europe, Asia, and South America. This diversified reach allows Starland Holdings Ltd to capitalize on market opportunities and establish a strong foothold in the international arena.

What significant milestones has the company Luminor Financial Holdings achieved?

Starland Holdings Ltd has achieved several significant milestones in its trajectory. The company successfully expanded its market presence, increasing its global reach through strategic partnerships and acquisitions. Starland Holdings Ltd also achieved noteworthy financial growth, consistently delivering strong quarterly earnings and surpassing market expectations. Moreover, the company successfully launched innovative products and services, enhancing customer satisfaction and loyalty. By prioritizing innovation and maintaining a strong business strategy, Starland Holdings Ltd has solidified its position as a leader in the industry.

What is the history and background of the company Luminor Financial Holdings?

Starland Holdings Ltd is a prominent company recognized for its remarkable history and background. Established several years ago, Starland Holdings Ltd has continuously evolved and grown its presence in the industry. The company has built a strong reputation for its exceptional products and services, catering to a wide range of clienteles. With a focus on strategic investments and innovative solutions, Starland Holdings Ltd has successfully positioned itself as a leading player in the market. Its commitment to delivering excellence and its ability to adapt to changing market trends have contributed to its ongoing success.

Who are the main competitors of Luminor Financial Holdings in the market?

The main competitors of Starland Holdings Ltd in the market include Company A, Company B, and Company C. These companies are also actively involved in the [relevant industry or sector] and are known for their [specific products or services]. However, Starland Holdings Ltd has a competitive edge due to its [unique selling points such as innovative technology, strong market presence, or superior customer service]. With its strategic positioning, expertise, and commitment to excellence, Starland Holdings Ltd continues to thrive and outperform its competitors in the market.

In which industries is Luminor Financial Holdings primarily active?

Starland Holdings Ltd is primarily active in the real estate and property development industries.

What is the business model of Luminor Financial Holdings?

The business model of Starland Holdings Ltd revolves around real estate development and investment. As a prominent company, Starland Holdings Ltd focuses on acquiring, developing, and managing various properties to generate revenue and drive profitability. With a strong emphasis on strategic location selection, Starland Holdings Ltd aims to provide high-quality real estate solutions while considering customer needs and market demands. By leveraging their expertise and extensive industry experience, the company strives to maximize long-term value for its shareholders and stakeholders.

What is the P/E ratio of Luminor Financial Holdings 2024?

The P/E ratio cannot be calculated for Luminor Financial Holdings at the moment.

What is the P/S ratio of Luminor Financial Holdings 2024?

The P/S cannot be calculated for Luminor Financial Holdings currently.

What is the AlleAktien quality score of Luminor Financial Holdings?

The AlleAktien quality score for Luminor Financial Holdings is 3/10.

What is the revenue of Luminor Financial Holdings 2024?

The revenue cannot currently be calculated for Luminor Financial Holdings.

How high is the profit of Luminor Financial Holdings 2024?

The profit cannot currently be calculated for Luminor Financial Holdings.

What is the business model of Luminor Financial Holdings

Starland Holdings Ltd is a multinational company that operates in various sectors including real estate development, hospitality, tourism, medical care, information technology, and commerce. The company is headquartered in Hong Kong and operates businesses throughout Asia, including China, Japan, and Singapore. In the real estate development sector, Starland Holdings focuses on building high-quality residential and commercial properties in major cities in Asia. The company's portfolio includes luxury homes, shopping centers, office buildings, and hotels. With each project, the company emphasizes sustainability, energy efficiency, and innovative design elements. Starland Holdings aims to set new standards in the real estate sector by creating remarkable buildings. In the hospitality and tourism sector, the company operates a variety of hotels and resorts in Asia. With seven brands under its umbrella, Starland Holdings offers hotels for every need. Most brands have a strong focus on sustainability and local culture, providing guests with an authentic experience. Highlights include quality dining options, free Wi-Fi access, and wellness offerings. Starland Holdings also owns several medical facilities in Asia, including clinics and nursing homes. These facilities offer a range of services from routine check-ups to emergency care and specialized treatments. A wide range of specialists, from pediatricians to geriatrics, are able to ensure high-quality medical care. The company is also active in the information technology industry. Starland Holdings' offerings include IT services, cloud computing services, software development, and mobile applications. These services enable clients to digitize their businesses and leverage modern technologies to increase efficiency and cost-effectiveness. In the commerce division, Starland Holdings sells various products such as consumer goods, jewelry, and electronics. With a focus on quality, reliability, and sustainability, the company offers a wide range of products. Most products are offered online, providing customers with a pleasant shopping experience. Overall, Starland Holdings' business model is characterized by broad diversification across various industries. With a clear focus on quality, sustainability, and innovation, the company has established itself as a reliable partner for customers in Asia and beyond.

What is the Luminor Financial Holdings dividend?

Luminor Financial Holdings pays a dividend of 0 MYR distributed over payouts per year.

How often does Luminor Financial Holdings pay dividends?

The dividend cannot currently be calculated for Luminor Financial Holdings or the company does not pay out a dividend.

What is the Luminor Financial Holdings ISIN?

The ISIN of Luminor Financial Holdings is SG2E72981474.

What is the Luminor Financial Holdings ticker?

The ticker of Luminor Financial Holdings is 5UA.SI.

How much dividend does Luminor Financial Holdings pay?

Over the past 12 months, Luminor Financial Holdings paid a dividend of 0.03 MYR . This corresponds to a dividend yield of about 13.3 %. For the coming 12 months, Luminor Financial Holdings is expected to pay a dividend of 0 MYR.

What is the dividend yield of Luminor Financial Holdings?

The current dividend yield of Luminor Financial Holdings is 13.3 %.

When does Luminor Financial Holdings pay dividends?

Luminor Financial Holdings pays a quarterly dividend. This is distributed in the months of .

How secure is the dividend of Luminor Financial Holdings?

Luminor Financial Holdings paid dividends every year for the past 0 years.

What is the dividend of Luminor Financial Holdings?

For the upcoming 12 months, dividends amounting to 0 MYR are expected. This corresponds to a dividend yield of 0 %.

In which sector is Luminor Financial Holdings located?

Luminor Financial Holdings is assigned to the 'Real Estate' sector.

Wann musste ich die Aktien von Luminor Financial Holdings kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of Luminor Financial Holdings from 6/17/2020 amounting to 0.03 MYR, you needed to have the stock in your portfolio before the ex-date on 6/8/2020.

When did Luminor Financial Holdings pay the last dividend?

The last dividend was paid out on 6/17/2020.

What was the dividend of Luminor Financial Holdings in the year 2023?

In the year 2023, Luminor Financial Holdings distributed 0.03 MYR as dividends.

In which currency does Luminor Financial Holdings pay out the dividend?

The dividends of Luminor Financial Holdings are distributed in MYR.

Other fundamentals and analyses of Luminor Financial Holdings in the deep dive.

Our stock analysis for Luminor Financial Holdings Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of Luminor Financial Holdings Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.