Asset
25 Apr, 2:00 pm UTC
$0.003 AUD
stockPerformance 0.00 (0%)
Description
The Calmer Co International Limited (ASX:TCI) is a plant-based food producer and exporter specialising in high-quality, natural, and vegan-friendly products. TCI is focused on expanding its presence in the health food industry, both domestically and internationally, through the development of innovative, sustainable and nutritious food products. The company is also committed to creating a positive environmental impact through its operations and is actively involved in various local community projects.
Activity
Last price $0.003
Change 0.00 (0%)
Bid/Ask $0.003 - $0.004
Volume 0.00
Volume avg (4w) 3.17M
Open $0.00
Day range $0.00 - $0.00
Previous Close $0.003
Last Trade 25 Apr, 2:00 pm UTC
Fundamentals
1 Week -
1 Month -
YTD -
1 Year -
Performance
Shares Issued 400.09M
Earnings Per Share (EPS) $-0.025
Dividends Per Share (DPS) $0.00
P/E Ratio -
Size
Market Cap $1.2M
Market Rank 8876
Industry Rank 14
Dividends
Check out THE CALMER CO INT's dividend track record
Dividends over the past 5 years
1
0.75
0.50
0.25
0
2019
2020
2021
2022
2023
Source: Grafa
Key Dividend Data
icon
tooltipDividend Per Share is the sum of declared dividends issued by a company for every ordinary share outstanding.
Dividend Per Share
$0.00
icon
tooltipThe Dividend Yield is a financial ratio (dividend/price) that shows how much a company pays out in dividends each year relative to its stock price.
Dividend Yield
0.00%
icon
tooltipThe Dividend Payout Ratio is a financial metric used to measure the proportion of a company’s net income that is distributed to shareholders in the form of dividends.
Payout Ratio
$0.00
icon
tooltipA Dividend Reinvestment Plan is a program that allows investors to reinvest their cash dividends into additional shares or fractional shares of the underlying stock on the dividend payment date.
DRP
No
Short Positions
Chart shows percentage of shares on issue being shorted

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Tooltip
FieldValue
Date/Time
Changes
1 Day
0.00
1 Week
0.00
1 Month
0.00
Note: A decrease in short positions means investors feel more positive about this stock, whereas an increase means investors feel more negative about this stock.
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