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3298.KL

Buy

Hexza Corporation Berhad · Basic Materials · Malaysia · $53M · Avg Vol: $24K/d

71
StockRank
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Q
51
V
38
M
77
P/E (TTM)
104.0x
ROE
0.3%
D/E
0.0x
Dividend %
4.8%

COMPANY DESCRIPTION

Hexza Corporation Berhad, an investment holding company, manufactures and sells ethanol and formaldehyde-based liquid adhesive resins in Malaysia. The company operates through five segments: Investment holding, Resins, Ethanol, Trading, and Others.

FINANCIAL SUMMARY (MYR)

Year2022202320242025CAGRTTM
Revenue78.0M60.0M55.5M59.3M-8.7%68.5M
EPS (MYR)0.030.030.040.00-57.5%0.01
Shares200.4M200.4M200.4M200.4M0.0%205.6M
Debt00.1M02.6M335.5%4.4M
Equity254.2M349.4M468.7M451.9M21.1%
Op CF28.4K8.4M9.2M4.4M436.4%-8.3M
Inv CF-2.0M-11.0M-42.1M6.2M
Fin CF-15.0M-7.9M-10.5M-12.7M
Loading 1Y...
PRICE (1Y)+11.2%
0.230.240.240.250.26Jul 17Aug 7Aug 28
SMA 50SMA 200

Close
$0.2584
RSI (14)
80.8
52W High
$0.2609
From 52W High
1.0%

SCORE BREAKDOWN

Quality
51
ROIC
0.6%40.1
ROE
0.3%40.1
GP/Assets
4.3%27.6
Op. Margin
5.3%49.3
FCF/Assets
-3.3%36.2
Piotroski
574.2
Int. Cover
32.2x78.9
D/E Ratio
0.01x76.9
Current Ratio
6.90x83.7
Value
38
P/E (TTM)
104.0x7.9
EV/EBITDA
25.3x17.8
P/FCF
N/A
P/B
0.5x93.7
P/S
3.1x35.5
Div Yield
4.8%88.2
Momentum
77
52W High %
99%98.7
RS 6M
18%85.6
SMA 50/200
1.06x73.7
EPS Rev 4W
N/A
EPS Rev 12W
N/A
EPS Improve
N/A
Q Growth
N/A

FUNDAMENTALS

Market Cap
$53M
P/E (Forward)
Gross Margin
30.1%

SECTOR PEERS

Closest peers in Basic Materials, ranked by industry match, size, and score similarity. Cross-listings of 3298.KL are excluded.

TickerCompanyMkt CapStockRankSignal
3298.KLHexza Corporation Berhad(you)$53M71Buy
7155.KLSKP Resources Bhd$108M77Buy
5289.KLTechbond Group Berhad$54M99Strong Buy
5308.KLSeng Fong Holdings Berhad$126M51Hold
4758.KLAncom Nylex Berhad$230M92Strong Buy
7192.KLGIIB Holdings Berhad$78M27Sell
8052.KLCentral Global Berhad$181M34Sell
5168.KLHartalega Holdings Berhad$826M91Strong Buy
0379.KLPMW International Berhad$54M75Buy
0336.KLWinstar Capital Berhad$52M76Buy

Peer medians: ROE 7.8% · P/E 13.2x · Gross margin 18.2%

Hexza Corporation Berhad (3298.KL): Stock Score Summary

Hexza Corporation Berhad (3298.KL) has a MoatMap StockRank of 71/100 based on Quality (51/100), Value (38/100), and Momentum (77/100) factor scores. The current signal is BUY.

Hexza Corporation Berhad, an investment holding company, manufactures and sells ethanol and formaldehyde-based liquid adhesive resins in Malaysia. The company operates through five segments: Investment holding, Resins, Ethanol, Trading, and Others.

Key Financial Metrics

Price$0.26
Market Cap$53M
P/E (TTM)104.00
Price/Book0.46
Return on Equity0.3%
Return on Invested Capital0.6%
Debt/Equity0.01x
Gross Margin30.1%
Operating Margin5.3%
Revenue Growth26.6%
Dividend Yield4.8%
Free Cash Flow$-4M

Hexza Corporation Berhad operates in the Specialty Chemicals industry, part of the Basic Materials sector (Malaysia).

Frequently Asked Questions

What is Hexza Corporation Berhad’s (3298.KL) StockRank?
MoatMap’s StockRank for Hexza Corporation Berhad (3298.KL) is 71/100, with a Buy signal. It is a composite of Quality (51), Value (38), and Momentum (77) factor ranks across MoatMap’s 20,000+ stock universe.
Does Hexza Corporation Berhad have an economic moat?
Hexza Corporation Berhad (3298.KL) has a Quality factor score of 51/100. The Quality factor combines ROIC, Piotroski F-Score, and leverage: the financial fingerprints of a durable competitive advantage. A Quality score above 70 typically indicates a company with the characteristics of a moated business.
Is Hexza Corporation Berhad a buy, hold, or sell?
MoatMap’s current signal for Hexza Corporation Berhad (3298.KL) is Buy, based on a StockRank of 71/100. Signals are derived mechanically from the StockRank composite and should be one input among many; combine with your own thesis on management, competitive position, and valuation.
What sector is Hexza Corporation Berhad in?
Hexza Corporation Berhad (3298.KL) operates in the Basic Materials sector, specifically the Specialty Chemicals industry (Malaysia).