Bright Packaging Industry Bhd 9938

Morningstar Rating

About Quantitative Ratings

Morningstar Quantitative Ratings for Stocks are generated using an algorithm that compares companies that are not under analyst coverage to peer companies that do receive analyst-driven ratings. Companies with quantitative ratings are not formally covered by a Morningstar analyst, but are statistically matched to analyst-rated companies, allowing our models to calculate a quantitative moat, fair value, and uncertainty rating.

Price vs Fair Value

9938 is trading within a range we consider fairly valued.
Price
MYR 0.20
Fair Value
MYR 3.29
Uncertainty
Extreme
1-Star Price
MYR 8.98
5-Star Price
MYR 4.95
Economic Moat
Mspj
Capital Allocation

Trading Information

Previous Close Price
Day Range
52-Week Range
Bid/Ask
/
Market Cap
Volume/Avg
/

Key Statistics

Price/Earnings (Normalized)
8.95
Price/Sales
0.79
Dividend Yield (Trailing)
0.00%
Dividend Yield (Forward)
0.00%
Total Yield

Company Profile

Bright Packaging Industry Bhd is a manufacturer of aluminum foil laminate within Malaysia. The company is engaged in the manufacturing and printing of aluminum foil packaging materials for the tobacco, liquor, confectionaries, and pharmaceutical industry. It offers a range of services, including lamination, slitting, ink matching, and coating or lacquering. Its products include aluminum foil and metallized film laminate to tissue/woodfree/board and inner frame, and also exports to other countries. Geographically the company generates its revenue from Indonesia, Malaysia, Thailand, Korea, Russia, Phillippines.
Sector
Consumer Cyclical
Industry
Packaging & Containers
Stock Style Box
Small Value
Total Number of Employees
191

Valuation

Metric
9938
Price/Earnings (Normalized)
8.95
Price/Book Value
0.33
Price/Sales
0.79
Price/Cash Flow
5.79
Price/Earnings
9938

Financial Strength

Metric
9938
Quick Ratio
18.45
Current Ratio
19.89
Interest Coverage
Quick Ratio
9938

Profitability

Metric
9938
Return on Assets (Normalized)
3.72%
Return on Equity (Normalized)
4.01%
Return on Invested Capital (Normalized)
3.24%
Return on Assets
9938

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