SPX Official List

APP $2.99      ATH $1.99      CFL $6.39      FBL $4.00      FIL $19.00      FMF $1.70      FTV $0.94      KFL $1.21      KGF $1.65      PBP $7.94      PDM $2.14      PGI $1.08      RBG $2.95      RCF $9.55      SUN $1.90      TTS $21.00      VBH $5.85      VIL $4.30      FHL $0.99      BCN $32.45     
Active Current Market Price (F$): 7.94

Company Overview

 
Operation Description
A diverse and growing corporation principally engaged in production and marketing of bottled water under the AquaSafe® and VaiWai® brands, operating a state-of the-art bottling operation at the source, for the domestic and export markets. PBP also operates a business unit selling single use daily items and manufactures packaging items. It also operates an adventure eco-tourism park and is in the establishment phase of organic farming and property development. PBP values the environment and sustainable practices are at the heart of all that they do. PBP’s source land is certified organic providing assurance of protection of the sustainable water source.

Date Listed
04/02/2009

Registered Office Address
Pleass Drive, Namosi, Fiji

Postal Address
P O Box 502, Pacific Harbour, Fiji

Contacts
    Phone: (+679) 330 8803
    Fax: (+679) 330 8804
    Email: cate@pleass.com
    Website: www.pleass.com  Visit
Directors/Senior Management
Mr Warwick Pleass (Chairman & Joint CEO) Ms Catherine Pleass (Director and Joint CEO) Mr Bruce Sutton (Director) Ms Stephanie Jones (Independent Director) Ms Ashleen Prasad (Director) Mr Roderick Kamleshwaran (Independent Director)

Company Secretary
Ms Catherine Pleass

Share Registry
Central Share Registry Pte Limited, Shop 1 & 11, Sabrina Building, Victoria Parade, Suva Phone: (+679) 330 4130 Email: registry@spx.com.fj


PBP Quotes
Current Market Price (F$)Movement(F$)Volume TradedBuy(F$)Sell(F$)Low(F$)High(F$)Earnings Per Share(Cents)Price Earnings Ratio(Times)Current Yield(%) (Dividend/Interest)Market Cap(F$)% of Market Cap
7.94  7.457.94  80.889.822.0257,130,2291.58%
BIDS & OFFERS   LAST 10 TRADES
Buy OrdersBuy QuantityBuy PriceSell PriceSell QuantitySell Orders
1
750
7.45
7.94
7.95
8.74
6,997
50,000
100
1
1
1
FJST Trade DateVolume TradedPriceConsideration
20-Feb-2025 10:43 AM 100$7.94$794.00
17-Feb-2025 02:43 PM 21$7.94$166.74
14-Feb-2025 10:38 AM 50,000$7.25$362,500.00
04-Feb-2025 03:11 PM 100$7.94$794.00
04-Feb-2025 11:10 AM 6$7.94$47.64
31-Dec-2024 03:53 PM 11$7.94$87.34
31-Dec-2024 03:52 PM 621$7.50$4,657.50
28-Nov-2024 11:41 AM 50$7.94$397.00
28-Nov-2024 11:40 AM 125$7.50$937.50
27-Nov-2024 04:02 PM 1,000$7.50$7,500.00

Price History

Note: The above graph shows the Share Price History for the past 12 months. Use the filter to select between a range of the past 5 years.

Trades

Company:
    
Start Date:
    
End Date:
  

FJST Trade DateSecurityTrade NumberBuyerSellerVolume TradedPriceConsiderationSettlement Date
20/02/2025 10:43 AM PBP20250220-5215KSBKSB100$7.94$794.0024-Feb-2025
17/02/2025 02:43 PM PBP20250217-5182FSBKSB21$7.94$166.7419-Feb-2025
14/02/2025 10:38 AM PBP20250214-5162KSBKSB50,000$7.25$362,500.0018-Feb-2025
04/02/2025 03:11 PM PBP20250204-5091FHSKSB100$7.94$794.0006-Feb-2025
04/02/2025 11:10 AM PBP20250204-5086KSBKSB6$7.94$47.6406-Feb-2025
31/12/2024 03:53 PM PBP20241231-4908FSBKSB11$7.94$87.3403-Jan-2025
31/12/2024 03:52 PM PBP20241231-4907FSBFSB621$7.50$4,657.5003-Jan-2025
28/11/2024 11:41 AM PBP20241128-4066KSBKSB50$7.94$397.0002-Dec-2024
28/11/2024 11:40 AM PBP20241128-4065KSBFSB125$7.50$937.5002-Dec-2024
27/11/2024 04:02 PM PBP20241127-4063FSBFSB1,000$7.50$7,500.0029-Nov-2024
         

Dividend Details

 
Announcement Date Dividend Type Financial Year Dividend per Share (F$) Ex-Benefit Date Record Date Payment Date
28/Feb/25  Final  2024  0.11  17/Mar/25  20/Mar/25  28/Mar/25 
25/Jul/24 Interim  2024  0.05 09/Aug/24  14/Aug/24  22/Aug/24 
19/Mar/24  Final  2023  0.06  05/Apr/24  10/Apr/24  18/Apr/24 
16/Aug/23  Interim  2023  0.04  31/Aug/23  05/Sep/23  13/Sep/23 
06/Apr/23  Final  2022  0.03  25/Apr/23  28/Apr/23  08/May/23 
12/Aug/22  Interim  2022  0.03  29/Aug/22  01/Sep/22  12/Sep/22 
27/May/22  Final  2021  0.02  13/Jun/22  16/Jun/22  24/Jun/22 
17/Dec/21  Interim  2021  0.02  06/Jan/22  11/Jan/22 19/Jan/22 
23/Mar/21  Final 2020  0.02  09/Apr/21  14/Apr/21  22/Apr/21 
27/Oct/20  Interim  2020  0.02  12/Nov/20  18/Nov/20  26/Nov/20 
30/Apr/20 Final 2019 0.02 15/May/20 20/May/20 28/May/20
12/Nov/19 Interim 2019 0.02 27/Nov/19 02/Dec/19 10/Dec/19
30/May/19 Final 2018 0.02 14/Jun/19 19/Jun/19 27/Jun/19
22/Nov/18 Interim 2018 0.02 04/Dec/18 12/Dec/18 20/Dec/18
17/May/18 Final 2017 0.02 29/May/18 06/Jun/18 14/Jun/18
26/Oct/17 Interim 2017 0.02 07/Nov/17 15/Nov/17 23/Nov/17
18/May/17 Final 2016 0.02 30/May/17 07/Jun/17 15/Jun/17
18/Oct/16 Interim 2016 0.02 28/Oct/16 08/Nov/16 16/Nov/16
26/May/16 Final 2015 0.02 07/Jun/16 15/Jun/16 23/Jun/16
13/Nov/15 Interim 2015 0.02 25/Nov/15 03/Dec/15 11/Dec/15
05/Jun/15 Final 2014 0.03 17/Jun/15 25/Jun/15 06/Jul/15

Announcements

ReportedCompanyTitle
28 March 2025 01:49 PM PBP Pleass Global Ltd
Price Sensitive
Water Commissioning Project
17 March 2025 11:24 AM PBP Pleass Global Ltd
Price Sensitive
Annual Report 2024
06 March 2025 03:36 PM PBP Pleass Global Ltd
Price Sensitive
Dividend Reinvestment Plan
28 February 2025 11:10 AM PBP Pleass Global Ltd
Price Sensitive
Declares Final Dividend
28 February 2025 11:08 AM PBP Pleass Global Ltd
Price Sensitive
Audited Financial Statements 2024
14 February 2025 02:30 PM PBP Pleass Global Ltd
Price Sensitive
Market Update; 2024 Performance and Projects Announcements
05 August 2024 04:35 PM PBP Pleass Global Ltd
Price Sensitive
Dividend Reinvestment Plan
25 July 2024 12:38 PM PBP Pleass Global Ltd
Declares Interim Dividend & Half Year Financial Results 2024
16 July 2024 01:21 PM PBP Pleass Global Ltd
Renews Partnership with Fijian Drua
18 June 2024 04:35 PM PBP Pleass Global Ltd
Price Sensitive
Annual General Meeting Resolutions and Presentation
05 June 2024 09:08 AM PBP Pleass Global Ltd
Updated Annual General Meeting Notice
27 May 2024 11:01 AM PBP Pleass Global Ltd
Notice of Annual General Meeting
09 May 2024 02:10 PM PBP Pleass Global Ltd
Advises of Fire Incident
01 May 2024 04:17 PM PBP Pleass Global Ltd
Price Sensitive
Annual Report 2023
22 March 2024 10:14 AM PBP Pleass Global Ltd
Announces Environmental and Sustainability Programme
19 March 2024 03:06 PM PBP Pleass Global Ltd
Dividend Reinvestment Plan
19 March 2024 01:09 PM PBP Pleass Global Ltd
Price Sensitive
Declares Final Dividend
15 March 2024 09:21 AM PBP Pleass Global Ltd
Price Sensitive
Audited Financial Statements 2023
12 March 2024 06:48 PM PBP Pleass Global Ltd
VaiWai® Natural Artesian Water Changing Lives
23 February 2024 11:13 AM PBP Pleass Global Ltd
VaiWai® Natural Artesian Water Scholarship Programme
12345...>>

Financial Summary

 
Click here to view the Full Audited Financial Statements/Annual Reports
Click here to view the Detailed Historical Financial Analysis

Presented below is a brief Financial Summary:

   FYE 2024 FYE 2023   FYE 2022  FYE 2021 FYE 2020 FYE 2019 FYE 2018 FYE 2017 FYE 2016 FYE 2015
Statement of Profit & Loss                    
Revenue  26,395,324  21,943,767  17,303,308  11,002,780  10,996,869 13,743,053 12,199,828 11,528,859 11,227,096 9,161,880
Other Income  747,522  660,089  204,835  36,292  11,494 156,573 204,733 189,970 150,353 43,521
Total Revenue  27,142,846  22,603,856  17,508,143  11,039,072  11,008,363 13,899,626 12,404,561 11,718,829 11,377,449 9,205,401

         




Net profit before tax  6,047,667  5,639,769  2,335,704  1,218,324  1,162,748 765,952       6,780,406 827,691       1,056,209        925,270
Income tax Expense  (228,113)  1,233,756  1,113,146  99,899  102,325 92,693         689,741 92,354        114,101           98,882
Net Profit after tax  5,819,554  6,873,525  1,222,558  1,118,425  1,060,423 673,259       6,090,665        735,337         942,108         826,388

         




Statement of Financial Position                    
Assets          




Current Assets  11,429,525  8,970,323  7,264,212  5,949,839  4,996,290 5,349,170 5,334,283 5,993,889 6,080,734 5,113,470
Non-Current Assets  29,984,879  27,065,709  24,067,491  23,359,863  23,765,949 24,233,900 24,499,810 17,537,303 11,662,595 8,970,639
Total Assets  41,414,404  36,036,032  31,331,703  29,309,702  28,762,239 29,583,070 29,834,093 23,531,192 17,743,329 14,084,109

         




Liabilities          




Current Liabilities  4,890,839  4,202,303  5,088,232  4,606,071  3,744,707 3,949,234 3,822,275 4,317,691 2,312,017 2,572,602
Non-Current Liabilities  5,017,824  5,945,414  7,583,722  7,339,654  8,607,678      10,272,843 11,267,959 10,504,223 7,193,371 5,752,980
Total Liabilities  9,908,663  10,147,717  12,671,954  11,945,725  12,352,385 14,222,077 15,090,234 14,821,914 9,505,388 8,325,582

         




Net Assets  31,505,741  25,888,315  18,659,749  17,363,977  16,409,854 15,360,993 14,743,859 8,709,278 8,237,941 5,758,527

         




Equity          




Share capital  4,857,665  4,456,893  4,024,641  3,627,303  3,520,312 3,308,716 3,100,000 3,100,000 3,100,000 1,200,000
Reserves  1,655,821  1,475,821  1,065,196  1,046,383  1,046,383 1,001,383 1,001,383 704,383 704,383 874,698
Retaining earnings   24,992,255  19,955,601  13,569,912  12,690,291  11,843,159     11,050,894 10,642,476 4,904,895 4,433,558 3,683,829
Total Equity  31,505,741  25,888,315  18,659,749  17,363,977  16,409,854 15,360,993 14,743,859 8,709,278 8,237,941 5,758,527

         




Statement of Cash Flows                    
Net cash flows from operating activities   5,350,123  4,919,218  3,068,487  874,636  2,733,130       2,296,471       1,750,419 1,259,467 796,617         405,975
Net cash flows from investing activities   (3,980,405)  (2,816,445)  (1,498,564)  (493,178)  (317,647)       (613,624)        (962,198)     (6,450,931)      (2,478,956)      (4,041,763)
Net cash flows from financing activities   (1,246,461)  (740,374)  (867,938)  (1,578,035)  (966,563)     (1,209,875)       (652,751)       3,591,084      2,712,373       3,109,240
Net increase(decrease) in cash held  123,257  1,362,399  701,985  (1,196,577)  1,448,920 472,972         135,470      (1,600,380)       1,030,034        (526,548)
Cash at the beginning of the period  1,606,774  244,375  (457,610)  738,967  (709,953)     (1,182,925)      (1,318,395)         281,985        (748,049)        (221,501)
Cash at the end of the period  1,730,031  1,606,774  244,375  (457,610)  738,967       (709,953)      (1,182,925)     (1,318,395)         281,985        (748,049)

Financial Year Ending (FYE) - December