O

Oriental Interest Bhd
KLSE:OIB

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Oriental Interest Bhd
KLSE:OIB
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Price: 1.21 MYR 0.83%
Market Cap: 733.7m MYR

Balance Sheet

Balance Sheet Decomposition
Oriental Interest Bhd

Balance Sheet
Oriental Interest Bhd

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Balance Sheet
Currency: MYR
Jun-2002 Jun-2003 Jun-2004 Jun-2005 Jun-2006 Jun-2007 Jun-2008 Jun-2009 Jun-2010 Jun-2011 Jun-2012 Jun-2013 Jun-2014 Jun-2015 Jun-2016 Jun-2017 Jun-2018 Jun-2019 Aug-2020 Aug-2021 Aug-2022 Aug-2023 Aug-2024 Aug-2025
Assets
Cash & Cash Equivalents
8
5
7
10
7
14
21
12
13
15
13
9
19
32
21
16
13
21
10
13
19
24
63
50
Cash
8
5
7
10
7
14
21
12
13
15
13
9
19
32
21
16
13
21
10
13
19
24
63
50
Short-Term Investments
1
6
14
14
30
38
40
40
48
30
30
39
46
8
37
40
18
10
7
123
83
53
85
153
Total Receivables
51
40
44
58
67
66
54
47
41
43
32
39
36
74
77
96
210
183
173
214
313
344
287
309
Accounts Receivables
47
37
41
52
55
55
42
38
35
23
20
23
28
62
62
89
199
166
164
199
301
312
261
283
Other Receivables
4
3
3
6
12
11
12
9
6
20
13
15
8
12
16
7
11
18
9
15
11
32
26
27
Inventory
128
153
153
107
101
89
97
104
126
125
131
126
119
111
136
165
204
183
349
296
260
277
425
445
Other Current Assets
13
14
11
33
32
33
28
37
38
40
47
40
37
33
32
58
73
71
79
83
114
112
109
144
Total Current Assets
201
218
228
222
238
239
240
240
266
252
254
252
256
258
303
376
518
469
616
728
789
801
935
1 080
PP&E Net
24
24
25
30
43
29
27
25
53
62
60
63
73
71
72
73
73
61
62
59
59
63
77
89
PP&E Gross
24
24
25
30
43
29
27
25
53
62
60
63
73
71
72
73
73
61
62
0
59
63
77
89
Accumulated Depreciation
15
16
18
19
21
22
23
25
27
39
40
9
9
9
10
11
13
15
15
0
19
21
24
31
Intangible Assets
0
0
0
0
0
15
15
14
13
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Note Receivable
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
22
22
27
40
65
Long-Term Investments
40
26
27
38
27
32
29
31
15
24
45
43
33
100
33
32
34
35
38
49
59
59
58
64
Other Long-Term Assets
0
4
5
5
4
3
3
4
4
4
4
3
3
4
101
268
361
530
499
558
575
590
659
586
Total Assets
266
N/A
272
+2%
285
+5%
296
+4%
311
+5%
318
+2%
313
-1%
314
+0%
351
+12%
341
-3%
363
+6%
362
0%
366
+1%
433
+18%
510
+18%
748
+47%
985
+32%
1 094
+11%
1 215
+11%
1 416
+17%
1 504
+6%
1 540
+2%
1 769
+15%
1 884
+7%
Liabilities
Accounts Payable
23
14
8
16
17
17
16
14
12
14
20
19
27
0
0
103
103
86
218
237
204
488
507
453
Accrued Liabilities
0
1
3
2
2
2
2
2
3
3
3
2
5
8
3
1
4
7
8
0
16
13
12
28
Short-Term Debt
29
22
29
3
1
0
0
0
0
0
0
0
0
0
47
50
125
144
177
261
300
275
406
365
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
16
6
6
6
6
17
9
7
0
0
3
Other Current Liabilities
2
3
4
5
3
3
2
3
3
3
7
7
5
4
5
7
8
13
20
25
52
35
88
122
Total Current Liabilities
53
40
43
25
23
23
20
18
17
20
31
28
37
27
61
167
247
255
440
532
578
547
749
730
Long-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
24
30
24
115
98
80
65
48
48
0
5
Deferred Income Tax
0
2
2
2
2
2
1
1
1
1
0
0
1
0
1
1
0
0
0
1
1
2
0
0
Minority Interest
17
17
17
19
18
21
20
20
52
54
58
60
55
59
61
70
77
87
94
83
86
97
123
142
Other Liabilities
0
0
0
0
0
0
0
1
1
1
6
6
5
39
43
146
154
216
132
120
113
113
101
75
Total Liabilities
70
N/A
59
-16%
62
+5%
45
-26%
44
-4%
45
+4%
41
-10%
40
-2%
71
+78%
75
+6%
95
+26%
95
+0%
97
+2%
149
+54%
196
+31%
408
+108%
593
+45%
656
+11%
746
+14%
801
+7%
827
+3%
807
-2%
974
+21%
953
-2%
Equity
Common Stock
90
90
90
90
90
91
91
91
91
91
91
91
91
91
145
145
170
170
170
250
250
250
250
433
Retained Earnings
105
123
133
160
177
182
182
184
178
164
167
164
167
183
160
187
214
260
290
357
419
475
538
492
Additional Paid In Capital
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
11
11
11
13
12
10
9
9
9
8
8
8
8
7
7
7
Total Equity
196
N/A
213
+9%
223
+5%
250
+12%
268
+7%
273
+2%
273
N/A
274
+1%
280
+2%
266
-5%
268
+1%
267
0%
269
+1%
284
+5%
314
+11%
341
+8%
393
+15%
439
+12%
469
+7%
616
+31%
678
+10%
733
+8%
795
+8%
932
+17%
Total Liabilities & Equity
266
N/A
272
+2%
285
+5%
296
+4%
311
+5%
318
+2%
313
-1%
314
+0%
351
+12%
341
-3%
363
+6%
362
0%
366
+1%
433
+18%
510
+18%
748
+47%
985
+32%
1 094
+11%
1 215
+11%
1 416
+17%
1 504
+6%
1 540
+2%
1 769
+15%
1 884
+7%
Shares Outstanding
Common Shares Outstanding
144
144
145
145
145
145
145
145
145
145
145
145
145
145
390
390
417
417
417
465
465
465
465
604
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