Pavilion Real Estate Investment TrustPAVREIT:KLS

1.39
0.00 / 0.00%
732.20k
13.66%
--
Latest price in MYRToday's changeShares traded1 year changeBeta
As of Apr 23 2014 17:00 BST.Data delayed by at least 15 minutes.

About the company

375.51m327.25m----
Revenue in MYR (TTM)Net income in MYRIncorporatedEmployees
IndustryReal Estate OperationsLocation
Pavilion Real Estate Investment Trust
Level 10,
Pavilion Kuala Lumpur, 168, Jalan Bukit
KUALA LUMPUR55100
Malaysia
MYS
Phone+60 321188888Fax+60 321188889Websitehttp://www.pavilion-reit.com
Pavilion Real Estate Investment Trust (Pavilion REIT) is a Malaysia-based real estate investment trust. Pavilion REIT was established with the principal investment policy of investing, directly and indirectly, in a diversified portfolio of income producing real estate used solely or predominantly for retail purposes (including mixed-use developments with a retail component) in Malaysia and other countries within the Asia-Pacific region, as well as real estate-related assets. Pavilion REIT Venture Capital Sdn Bhd is wholly owned by the Company. Pavilion REIT Management Sdn Bhd. is the manager of Pavilion REIT. The Manager undertakes primary management activities in relation to Pavilion REIT. AmTrustee Berhad is the trustee of Pavilion REIT. Henry Butcher Malaysia Sdn Bhd is the property manager of Pavilion REIT.

Mergers & acquisitions

There are no recent mergers or acquisitions for Pavilion Real Estate Investment Trust.

Peer analysis

Company Revenue (TTM)Net income (TTM)Market capEmployeesPrice/earnings
(TTM)
Price/book value (MRQ)Price/cash flow (TTM)Price/sales (TTM)EPS (excluding
extraordinary items (TTM)
EPS (including
extraordinary items) (TTM)
Revenue per
share (TTM)
Book value per
share (MRQ)
Asset turnover
(TTM)
Inventory turnover
(TTM)
Receivables turnover
(TTM)
Revenues per
employee (TTM)
Return on
average
assets
(TTM)
Return on
average
assets
(5 yr average)
Return on
investment
(TTM)
Return on
investment
(5 yr average)
Gross margin (TTM)Gross margin (5 yr average)Net profit margin (TTM)Net Profit margin (5 Yr Average)Quick ratio (MRQ)Interest coverage (TTM)Total debt to capital (MRQ)Payout ratio (5 yr average)Revenue
(Year-over-year change%)
Revenue
(5 yr growth rate)
Net income
(Year-over-year change%)
Net income
(5 Yr growth rate)
Capital
expenditure
(5 Yr growth rate)
Dividend
(5 yr growth rate)
Eco World Development Group Bhd
144.11m18.42m1.37bn5474.244.2873.299.490.07270.07270.56891.260.2960.79664.65--3.780.83324.550.833229.9625.5512.784.590.69027.770.132511.11139.4513.94236.97135.64-2.3761--
Axis Real Estate Investment Trust
143.59m111.28m1.59bn014.331.5514.2811.080.24070.24070.31052.230.0896--9.37--6.949.238.759.2385.5179.5177.5081.93----0.339273.185.1617.757.9211.8957.36-1.8625
Capitamalls Malaysia Trust
309.69m232.01m2.68bn--11.521.2411.508.660.1310.1310.17491.220.0982--15.00--7.36--7.77--67.66--74.91------0.2968--5.4916.91-8.306618.11----
IGB Corporation Berhad
1.09bn210.08m3.73bn2.12k18.250.8399--3.410.14960.14960.77713.250.1561.484.54--4.405.145.165.1459.1060.0228.1927.881.8843.940.257334.069.799.6616.596.2810.1924.82
SUNWAY REAL ESTATE INVESTMENT TRUST
420.84m401.63m4.04bn--10.031.1510.059.600.13750.13750.14411.200.0813--24.77--7.7614.229.2714.2275.9788.9695.43126.27----0.325231.322.344.66-6.69292.41-7.1268--
IGB Real Estate Investment Trust
430.73m311.95m4.05bn--12.961.1312.849.390.09110.09110.12611.050.0866--12.62--6.27--6.53--66.34--72.42------0.2543--------------
Pavilion Real Estate Investment Trust
375.51m327.25m4.19bn--12.781.1912.7711.150.10880.10880.12491.170.087696.9238.84--7.63--7.87--70.07--87.15--3.58--0.1671--8.36---48.0725------
KLCC Property Holdings Berhad
1.28bn825.50m11.57bn1.23k13.310.989510.879.050.48160.48160.77186.480.0798--8.90--6.44--8.49------80.73--1.1712.810.1479--8.52---43.6169------
Data as of Apr 25 2014. Currency figures normalised to Pavilion Real Estate Investment Trust's reporting currency: Malaysian Ringgit MYR.

Institutional shareholders

HolderShares% Held
Employees Provident Fund
as of 08 Apr 2014
157.25m5.22%
Newton Investment Management Ltd.
as of 28 Feb 2014
102.70m3.41%
Permodalan Nasional Bhd.
as of 31 Dec 2012
54.63m1.81%
Kumpulan Wang Persaraan
as of 31 Dec 2012
51.07m1.70%
American International Assurance Bhd.
as of 31 Dec 2012
44.48m1.48%
Great Eastern Life Assurance Co. Ltd.
as of 31 Dec 2012
40.19m1.33%
Eastspring Investments Bhd.
as of 31 Dec 2012
22.70m0.75%
Public Mutual Bhd.
as of 31 Dec 2012
13.62m0.45%
GIC Pte Ltd. (Investment Management)
as of 31 Dec 2012
12.19m0.41%
Sumitomo Mitsui Trust Asset Management Co., Ltd.
as of 16 Jul 2013
10.63m0.35%
16.92%
Per cent of shares
held by top holders
Data from 30 Jun 2013 - 17 Apr 2014Source: FactSet Research Systems Inc.
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