Get the tools used by (smart)2 investors.

Debt / Common Equity for Kim Loong Resources Bhd

Join now and get access to the full platform

Search for company or ETF

 

  0 results available. Select is focused ,type to refine list, press Down to open the menu,

KMLOONG: Kim Loong Resources Bhd

Kim Loong Resources Berhad, an investment holding company, engages in the cultivation of oil palm in Malaysia. The company operates in two segments, Plantation and Milling. It processes and markets oi...

2.27 MYR
Price
MYR
Fair Value
Upside
2.10 - 2.70
52-week range

Analysis

Fiscal Years
Trailing Twelve Months
Fiscal Halfs
Fiscal Quarters
Daily
Hide this widget

The following section summarizes insights on Kim Loong Resources Bhd's Debt / Common Equity:

Jan 2017Jan 2019Jan 2021Jan 2023Jan 20255.0%10.0%15.0%20.0%

Performance Summary
  • Kim Loong Resources's debt / equity last quarter was 18.2%
  • Kim Loong Resources's debt / equity for fiscal years ending January 2021 to 2025 averaged 9.2%.
  • Kim Loong Resources's operated at median debt / equity of 7.0% from fiscal years ending January 2021 to 2025.
  • Looking back at the last 5 years, Kim Loong Resources's debt / equity peaked in January 2025 at 18.2%.
  • Kim Loong Resources's debt / equity hit its 5-year low in January 2024 of 5.9%.
  • Kim Loong Resources's debt / equity decreased in 2023 (7.0%, -14.5%) and 2024 (5.9%, -15.1%) and increased in 2021 (6.6%, +232.2%), 2022 (8.2%, +24.5%), and 2025 (18.2%, +205.7%).

How does Kim Loong Resources's Debt / Common Equity benchmark against competitors?

Hide this widget

We've identified the following companies as similar to Kim Loong Resources Bhd because they operate in a related industry or sector. We also considered size, growth, and various financial metrics to narrow down the list to the ones listed below.

Metric Usage: Debt / Equity

Hide this widget
debt_to_equity
Slug
number
Datatype
text
Format
current
Default Period
FY, Q
Periods Supported
Free
Plan

To view the full list of supported financial metrics please see Complete Metrics Listing.

Similar Metrics

Hide this widget

Metrics similar to Debt / Common Equity in the risk category include:

  • Realized Volatility (1y) - Realized volatility (also known as rolling volatility) over the last one year.
  • Total Debt / EBITDA - A ratio that is calculated as Total Debt (including Capital Leases) divided by EBITDA.
  • FCF / Net Income - This data item measures the ratio of levered free cash flow to net income to common, excluding extra items. It is a quick and helpful check on the quality of earnings.
  • Degree of Operating Leverage (DOL) - The degree of operating leverage measures the sensitivity of a company's operating income with respect to a change in revenue.
View Full List

Search for metric or datapoint

Debt / Equity

A ratio that measures the level of the debt relative to the book value of common equity.

Definition of Debt / Common Equity

Hide this widget

Debt / Equity is defined as:

Total Debt
(/) Total Common Equity
(=) Debt / Equity

Debt / Equity for Kim Loong Resources Berhad is calculated as follows:

Total Debt [ 160.5 M]
(/) Total Common Equity [ 882.4 M ]
(=) Debt / Equity [ 18.2% ]

The tables below summarizes the trend in Kim Loong Resources Berhad’s Debt / Equity over the last five years:

Fiscal Year Total Debt Total Common Equity Debt / Equity
2021-01-31 49.308 M 749.3 M 6.6%
2022-01-31 66.367 M 809.8 M 8.2%
2023-01-31 58.437 M 834.4 M 7.0%
2024-01-31 51.454 M 864.9 M 5.9%
2025-01-31 160.5 M 882.4 M 18.2%

The tables below summarizes the trend in Kim Loong Resources Berhad’s Debt / Equity over the last four quarters:

Fiscal Quarter Total Debt Total Common Equity Debt / Equity
2024-04-30 48.961 M 861.4 M 5.7%
2024-07-31 45.597 M 901.1 M 5.1%
2024-10-31 42.989 M 903.4 M 4.8%
2025-01-31 160.5 M 882.4 M 18.2%

The higher the ratio, the more debt the company has in its capital structure.

Read More on HBR: Debt / Equity Ratio


Click the link below to download a spreadsheet with an example Debt / Common Equity calculation for Kim Loong Resources Bhd below:

Sector Benchmark Analysis

Sector
Industry Group
Industry
Hide this widget
-124.6%75.4%401.5%100300500

The chart above depicts the distribution of debt / common equity for companies operating in the Consumer Staples sector in the Developing economic region. Over 1,430 companies were considered in this analysis, and 1,378 had meaningful values. The average debt / common equity of companies in the sector is 48.9% with a standard deviation of 70.3%.

Kim Loong Resources Bhd's Debt / Common Equity of 18.2% ranks in the 43.5% percentile for the sector. The following table provides additional summary stats:

Debt / Common Equity In The Consumer Staples Sector
Economic Risk RegionDeveloping
Total Constituents1,436
Included Constituents1,378
Min-128.7%
Max393.2%
Median24.6%
Mean48.9%
Standard Deviation70.3%

You can find companies with similar debt / common equity using this stock screener.

All rights reserved. Terms Of Use