Stocks
Investors heated while Oimex Electrode releases Q1 & Q2 Financials
One of the listed companies, Oimex Electrode Ltd., discloses its financial reports for the first and second quarters, This source is known from DSE.
Q1 Financials: EPS was loss Tk 0.28 for (July-September 22). EPS was loss Tk o.35 during the same period last year. As of September 30, 2022, the net asset value per share (NAVPS) Tk 11.44.
Q2 Financials: EPS was loss Tk 0.24 for (October-December 22). EPS was loss Tk o.41 during the same period last year. As of December 31, 2022, the net asset value per share (NAVPS) Tk 11.19.
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Stocks
Asia Insurance discloses their Q1 Financials
One of the listed companies, Asia Insurance Limited discloses its financial reports for the first quarter, (January – March 24).
The company’s earnings per share (EPS) was Tk 0.37 paisa in Q1 of the current financial year (January – March 24). EPS was Tk 0.21 (restated) paisa during the same period last year. As of March 31, 2024, at the end of the first quarter of the fiscal year, the company’s net asset value (NAV) per share stood at Tk 27.87.
Stocks
Uttara Bank reveals Q1 Financials
One of the listed companies, Uttara Bank PLC discloses its financial reports for the first quarter, (January – March 24).
The company’s earnings per share (EPS) was Tk 0.77 paisa in Q1 of the current financial year (January – March 24). EPS was Tk 0.75 (restated) paisa during the same period last year. As of March 31, 2024, at the end of the first quarter of the fiscal year, the company’s net asset value (NAV) per share stood at Tk 31.82.
Stocks
Islami Insurance Discloses their Q1 Financials
One of the listed companies, Islami Insurance Bangladesh Limited discloses its financial reports for the first quarter, (January – March 24).
The company’s earnings per share (EPS) was Tk 0.72 paisa in Q1 of the current financial year (January – March 24). EPS was Tk 0.61 (restated) paisa during the same period last year. As of March 31, 2024, at the end of the first quarter of the fiscal year, the company’s net asset value (NAV) per share stood at Tk 21.39.