Regional Container Lines PCL
SET:RCL
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Regional Container Lines PCL
SET:RCL
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Murray & Roberts Holdings Ltd
F:LDYA
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ZA |
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E
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Electronic Arts Inc
XMUN:ERT
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US |
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A
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Alnylam Pharmaceuticals Inc
F:DUL
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US |
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S
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Swiss Re AG
XMUN:SR9
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CH |
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C
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CH Robinson Worldwide Inc
XMUN:CH1A
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US |
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Logitech International SA
F:LTEC
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CH |
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S
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Swiss Re AG
F:SR9
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CH |
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G
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Gap Inc
F:GAP
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US |
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P
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Palo Alto Networks Inc
F:5AP
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US |
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A
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Avis Budget Group Inc
XMUN:CUCA
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US |
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F
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First Citizens BancShares Inc (Delaware)
F:FC6A
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US |
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F
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Fanuc Corp
SWB:FUC
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JP |
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R
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Ralph Lauren Corp
F:PRL
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US |
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C
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Canadian Imperial Bank of Commerce
NYSE:CM
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CA |
Dividends
Dividend Yield
Regional Container Lines PCL
| Current Yield | |
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| Average Yield | |
| Median Yield |
Dividend Per Share
Regional Container Lines PCL
Payout Ratio
Regional Container Lines PCL
Peers Comparison
Dividends
Shareholder Yield
Current shareholder yield for RCL is hidden .
Peers Comparison
Shareholder Yield
Buybacks
Buyback Yield measures how much a company reduces its outstanding shares through repurchases, expressed as a percentage.
This metric directly reflects the company’s efforts to return value to shareholders. By reducing the number of shares, buybacks can increase earnings per share and potentially boost the stock's price.
Peers Comparison
Buybacks
Debt Paydown
Debt Paydown Yield measures the amount of debt a company repays within a specific period, shown as a percentage of its market capitalization.
This metric indicates how the company is using its capital to decrease financial liabilities, which can strengthen its financial health and potentially enhance shareholder value.
Peers Comparison
Debt Paydown
Price Appreciation
RCL Price
Regional Container Lines PCL
| Average Annual Return | 0.93% |
| Standard Deviation of Annual Returns | 25.7% |
| Max Drawdown | -100% |
| Market Capitalization | 26.5B THB |
| Shares Outstanding | 828 750 000 |
| Percentage of Shares Shorted |
N/A
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RCL Return Decomposition
Main factors of price return
Stock Splits
RCL's latest stock split occurred on Sep 18, 2003
The company executed a 10-for-1 stock split, meaning that for every share held, investors received 10 new shares.
The adjusted shares began trading on Sep 18, 2003. This was stock split number 3 in RCL's history, following the previous one in Aug 11, 1997.