K

KSL Holdings Bhd
KLSE:KSL

Watchlist Manager
KSL Holdings Bhd
KLSE:KSL
Watchlist
Price: 2.98 MYR 0.34% Market Closed
Market Cap: 3.3B MYR

EV/EBIT

5.3
Current
90%
More Expensive
vs 3-y average of 2.8

Enterprise Value to EBIT (EV/EBIT) ratio compares a company`s total enterprise value to its earnings before interest and taxes. It shows how much investors are paying for each dollar of the company`s earnings, including both equity and debt.

EV/EBIT
5.3
=
Enterprise Value
MYR3.7B
/
EBIT
694.7m

Enterprise Value to EBIT (EV/EBIT) ratio compares a company`s total enterprise value to its earnings before interest and taxes. It shows how much investors are paying for each dollar of the company`s earnings, including both equity and debt.

EV/EBIT
5.3
=
Enterprise Value
MYR3.7B
/
EBIT
694.7m

Valuation Scenarios

KSL Holdings Bhd is trading above its 3-year average

If EV/EBIT returns to its 3-Year Average (2.8), the stock would be worth MYR1.57 (47% downside from current price).

Statistics
Positive Scenarios
2/4
Maximum Downside
-47%
Maximum Upside
+135%
Average Upside
40%
Scenario EV/EBIT Value Implied Price Upside/Downside
Current Multiple 5.3 MYR2.98
0%
3-Year Average 2.8 MYR1.57
-47%
5-Year Average 3 MYR1.69
-43%
Industry Average 11.5 MYR6.43
+116%
Country Average 12.6 MYR7.01
+135%

Forward EV/EBIT
Today’s price vs future ebit

Not enough data available to calculate forward EV/EBIT

Peer Comparison

All Multiples
EV/EBIT
P/E
All Countries
Close
Market Cap EV/EBIT P/E
MY
KSL Holdings Bhd
KLSE:KSL
3.2B MYR 5.3 6.1
US
GE Vernova LLC
NYSE:GEV
308.8B USD 0 0
UK
Eight Capital Partners PLC
F:ECS
158.4B EUR 0 0
US
China Industrial Group Inc
OTC:CIND
121B USD 3 537.2 4 020.7
NL
Nepi Rockcastle NV
JSE:NRP
102.4B ZAR 14.4 10.6
US
Fintech Ecosystem Development Corp
NASDAQ:FEXD
68.5B USD -18 116.9 38 690
US
CoreWeave Inc
NASDAQ:CRWV
55.3B USD 0 0
CH
Galderma Group AG
SIX:GALD
37.6B CHF 0 0
US
Symbotic Inc
NASDAQ:SYM
35.8B USD -698.7 -3 284.6
US
Coupang Inc
F:788
31.5B EUR 66.7 174.3
ZA
Vukile Property Fund Ltd
JSE:VKE
30.1B ZAR 17.6 6.9
EV/EBIT Multiple
EBIT Growth EV/EBIT to Growth
MY
K
KSL Holdings Bhd
KLSE:KSL
Average EV/EBIT: 728.2
5.3
N/A N/A
US
G
GE Vernova LLC
NYSE:GEV
Not Available
82%
N/A
UK
E
Eight Capital Partners PLC
F:ECS
Not Available N/A N/A
US
C
China Industrial Group Inc
OTC:CIND
3 537.2
N/A N/A
NL
N
Nepi Rockcastle NV
JSE:NRP
14.4
N/A N/A
US
F
Fintech Ecosystem Development Corp
NASDAQ:FEXD
Negative Multiple: -18 116.9 N/A N/A
US
C
CoreWeave Inc
NASDAQ:CRWV
Not Available N/A N/A
CH
G
Galderma Group AG
SIX:GALD
Not Available
37%
N/A
US
Symbotic Inc
NASDAQ:SYM
Negative Multiple: -698.7 N/A N/A
US
Coupang Inc
F:788
66.7
75%
0.9
ZA
V
Vukile Property Fund Ltd
JSE:VKE
17.6
10%
1.8
P/E Multiple
Earnings Growth PEG
MY
K
KSL Holdings Bhd
KLSE:KSL
Average P/E: 7 151.4
6.1
N/A N/A
US
G
GE Vernova LLC
NYSE:GEV
Not Available
19%
N/A
UK
E
Eight Capital Partners PLC
F:ECS
Not Available N/A N/A
US
C
China Industrial Group Inc
OTC:CIND
4 020.7
N/A N/A
NL
N
Nepi Rockcastle NV
JSE:NRP
10.6
1%
10.6
US
F
Fintech Ecosystem Development Corp
NASDAQ:FEXD
38 690
N/A N/A
US
C
CoreWeave Inc
NASDAQ:CRWV
Not Available N/A N/A
CH
G
Galderma Group AG
SIX:GALD
Not Available
47%
N/A
US
Symbotic Inc
NASDAQ:SYM
Negative Multiple: -3 284.6 N/A N/A
US
Coupang Inc
F:788
174.3
96%
1.8
ZA
V
Vukile Property Fund Ltd
JSE:VKE
6.9
-5%
N/A

Market Distribution

Lower than 83% of companies in Malaysia
Percentile
17th
Based on 402 companies
17th percentile
5.3
Low
0.1 — 8.2
Typical Range
8.2 — 20
High
20 —
Distribution Statistics
Malaysia
Min 0.1
30th Percentile 8.2
Median 12.6
70th Percentile 20
Max 116 799.5

KSL Holdings Bhd
Glance View

Market Cap
3.3B MYR
Industry
N/A

KSL Holdings Bhd.engages as an investment company engages in the provision of management services. The company is headquartered in Segamat, Johor. The company went IPO on 2002-02-06. The Company’s segments include Property development, Property investment, Investment holding and Car park operation. The Property development segment is engaged in the development of residential and commercial properties. The Property investment segment is engaged in the investment of real properties, mall and hotel operator. The Investment holding segment is engaged in the provision of management services to the subsidiaries. The Car park operation segment is engaged in the car park management services. Its portfolio of property development includes Taman Bestari Indah, Taman Mutiara Bestari, KSL Residence 2 at Kangkar Tebrau, Taman Mengkibol, Taman Tasik Sejati at Yayasan, Taman Bukit Mutiara at Buloh Kasap and Bandar Bestari. Its portfolio of property investment includes KSL City Mall, KSL Hotel & Resort, KSL Hot Spring Resort and KSL Esplanade, Klang.

KSL Intrinsic Value
4.61 MYR
Undervaluation 35%
Intrinsic Value
Price MYR2.98
K
Get AI-powered insights for any company or topic.
Open AI Assistant

Intrinsic Value is all-important and is the only logical way to evaluate the relative attractiveness of investments and businesses.

Warren Buffett