Company Deep Dive

Read the full research report: business segments breakdown, earnings transcripts review, management credibility analysis, competitive landscape, and scenarios.

View Deep Dive

0151.KL

BuyPremium Grower

Kelington Group Berhad · Industrials · Malaysia · $2.0B · Avg Vol: $7M/d

76
StockRank
Get insider-trade alerts
Q
72
V
16
M
84
P/E (TTM)
45.7x
ROE
25.2%
D/E
0.3x
Dividend %
1.3%

COMPANY DESCRIPTION

Kelington Group Berhad is a Malaysian industrial company specializing in the design, engineering, and construction of ultra-high purity (UHP) gas and chemical delivery systems, critical for the semiconductor and electronics industries. The company also manufactures and supplies industrial gases, offering an integrated solution to its high-tech clients. Kelington holds a strong niche market position through its specialized UHP expertise and established presence across Southeast Asia, supporting advanced manufacturing facilities.

FINANCIAL SUMMARY (MYR)

Year20212022202320242025CAGRTTM2026E2027EFwd CAGR
Revenue1.3B1.6B1.3B1.3B-0.1%1.3B1.7B2.4B35.9%
EPS (MYR)0.060.090.160.180.2035.5%0.190.210.3022.6%
Shares643.0M644.8M716.0M778.2M+21.0%880.4M
Debt245.0M188.2M185.3M207.6M-5.4%218.9M
Equity239.3M332.6M473.3M613.5M36.9%
Op CF29.3M177.0M174.5M70.9M34.2%-18.8M
Inv CF-39.0M-68.1M-72.5M-114.5M
Fin CF157.0M-106.8M2.8M43.9M
Loading 1Y...
PRICE (1Y)+7.0%
1.932.012.102.182.27Jul 27Aug 17Sep 8
SMA 50SMA 200

Close
$2.14
RSI (14)
44.2
52W High
$2.28
From 52W High
0.9%

SCORE BREAKDOWN

Quality
72
ROIC
28.2%95.8
ROE
25.2%91.4
GP/Assets
20.6%61.6
Op. Margin
15.4%78.0
FCF/Assets
n/mN/A
Piotroski
654.8
Int. Cover
24.8x67.1
D/E Ratio
0.29x56.1
Current Ratio
2.06x64.2
Value
16
P/E (TTM)
45.7x17.4
EV/EBITDA
31.4x14.8
P/FCF
n/mN/A
P/B
9.8x6.2
P/S
5.7x13.6
Div Yield
1.3%29.8
Momentum
84
52W High %
94%84.4
RS 6M
84%96.7
SMA 50/200
1.31x96.3
EPS Rev 4W
+13.8%94.3
EPS Rev 12W
+4.6%83.0
EPS Improve
+69%60.9
Q Growth
26%59.8

FUNDAMENTALS

Market Cap
$2.0B
P/E (Forward)
27.1x
Gross Margin
21.9%

SECTOR PEERS

Closest peers in Industrials, ranked by industry match, size, and score similarity. Cross-listings of 0151.KL are excluded.

TickerCompanyMkt CapStockRankSignal
0151.KLKelington Group Berhad(you)$2.0B76Buy
5263.KLSunway Construction Group Berhad$2.7B87Strong Buy
7161.KLKerjaya Prospek Group Berhad$923M96Strong Buy
0245.KLMN Holdings Berhad$579M98Strong Buy
0339.KLCBH Engineering Holding Berhad$421M93Strong Buy
0223.KLSamaiden Group Berhad$238M69Buy
0291.KLCritical Holdings Berhad$189M83Strong Buy
0310.KLUUE Holdings Berhad$134M77Buy
0045.KLSouthern Score Builders Berhad$339M97Strong Buy
0351.KLLim Seong Hai Capital Berhad$335M54Hold

Peer medians: ROE 9.6% · P/E 18.2x · Gross margin 22.9%

Kelington Group Berhad (0151.KL): Stock Score Summary

Kelington Group Berhad (0151.KL) has a MoatMap StockRank of 76/100 based on Quality (72/100), Value (16/100), and Momentum (84/100) factor scores. The current signal is BUY.

Kelington Group Berhad is a Malaysian industrial company specializing in the design, engineering, and construction of ultra-high purity (UHP) gas and chemical delivery systems, critical for the semiconductor and electronics industries. The company also manufactures and supplies industrial gases, offering an integrated solution to its high-tech clients. Kelington holds a strong niche market position through its specialized UHP expertise and established presence across Southeast Asia, supporting advanced manufacturing facilities.

Key Financial Metrics

Price$2.14
Market Cap$2.0B
P/E (TTM)45.74
P/E (Forward)27.11
Price/Book9.84
Return on Equity25.2%
Return on Invested Capital28.2%
Debt/Equity0.29x
Gross Margin21.9%
Operating Margin15.4%
Revenue Growth22.1%
Dividend Yield1.3%
Free Cash Flow$20M

Kelington Group Berhad operates in the Engineering & Construction industry, part of the Industrials sector (Malaysia).

Frequently Asked Questions

What is Kelington Group Berhad’s (0151.KL) StockRank?
MoatMap’s StockRank for Kelington Group Berhad (0151.KL) is 76/100, with a Buy signal. It is a composite of Quality (72), Value (16), and Momentum (84) factor ranks across MoatMap’s 20,000+ stock universe.
Does Kelington Group Berhad have an economic moat?
Kelington Group Berhad (0151.KL) has a Quality factor score of 72/100. 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 Kelington Group Berhad a buy, hold, or sell?
MoatMap’s current signal for Kelington Group Berhad (0151.KL) is Buy, based on a StockRank of 76/100. 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 Kelington Group Berhad in?
Kelington Group Berhad (0151.KL) operates in the Industrials sector, specifically the Engineering & Construction industry (Malaysia).