Projected Income Statement: Kawan Renergy

Forecast Balance Sheet: Kawan Renergy

Fiscal Period: October 2024 2025 2026 2027 2028
Net Debt - - - - -
Change - - - - -
Announcement Date 27/02/25 29/12/25 - - -
Estimates

Cash Flow Forecast: Kawan Renergy

Fiscal Period: October 2025 2026 2027 2028
CAPEX 1 7.384 5 5.6 6.6
Change - -32.29% 12% 17.86%
Free Cash Flow (FCF) 1 - - - -
Change - - - -
Announcement Date 29/12/25 - - -
1MYR in Million
Estimates

Forecast Financial Ratios: Kawan Renergy

Fiscal Period: October 2024 2025 2026 2027 2028

Profitability

     
EBITDA Margin (%) - 25.18% 12.3% 15.81% 23.34%
EBIT Margin (%) - 21.61% 11.91% 15.13% 20.17%
EBT Margin (%) - 22.38% 12.06% 15.89% 20.56%
Net margin (%) - 17.17% 9.69% 12.47% 16.48%
FCF margin (%) - - - - -
FCF / Net Income (%) - - - - -

Profitability

     
ROA - 15.81% 8% 11.1% 13.2%
ROE - 21.64% 12.5% 14.4% 16.6%

Financial Health

     
Leverage (Debt/EBITDA) - - - - -
Debt / Free cash flow - - - - -

Capital Intensity

     
CAPEX / Current Assets (%) - 5.35% 3% 3.01% 4.27%
CAPEX / EBITDA (%) - 21.25% 24.39% 19.05% 18.28%
CAPEX / FCF (%) - - - - -

Items per share

     
Cash flow per share 1 - - - - -
Change - - - - -
Dividend per Share 1 - 0.0125 0.01 0.0145 0.019
Change - - -20% 45% 31.03%
Book Value Per Share 1 - 0.2 0.215 0.234 0.257
Change - - 7.49% 8.84% 9.83%
EPS 1 0.05 0.0431 0.0295 0.042 0.046
Change - -13.8% -31.55% 42.37% 9.52%
Nbr of stocks (in thousands) 550,000 550,000 550,000 550,000 550,000
Announcement Date 27/02/25 29/12/25 - - -
1MYR
Estimates
2026 *2027 *
P/E 12.2x 8.57x
PBR 1.67x 1.54x
EV / Sales 1.17x 1.05x
Yield 2.78% 4.03%

EPS & Dividend

Y-o-Y evolution of P/E

Year-on-year evolution of the Yield

Trader
-
Investor
-
Global
-
Quality
ESG MSCI
-
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
2
Last Close Price
0.3600MYR
Average target price
0.5400MYR
Spread / Average Target
+50.00%

Annual profits - Rate of surprise

  1. Stock Market
  2. Stocks
  3. 0307 Stock
  4. Financials Kawan Renergy