PUNCAK NIAGA HOLDINGS BHD

KLSE: 6807 (PUNCAK)

Last update: 54 minutes ago

0.175

-0.01 (-2.78%)

Previous Close 0.180
Open 0.180
Volume 111,100
Avg. Volume (3M) 407,786
Market Cap 78,268,352
Price / Sales 0.430
Price / Book 0.070
52 Weeks Range
0.155 (-11%) — 0.280 (60%)
Earnings Date 25 Aug 2025 - 1 Sep 2025
Profit Margin -60.74%
Operating Margin (TTM) 28.97%
Diluted EPS (TTM) -0.270
Quarterly Revenue Growth (YOY) -35.20%
Total Debt/Equity (MRQ) 89.30%
Current Ratio (MRQ) 1.17
Operating Cash Flow (TTM) 16.68 M
Levered Free Cash Flow (TTM) 247.97 M
Return on Assets (TTM) 2.22%
Return on Equity (TTM) -9.51%

Market Trend

Short Term Medium Term
Industry Conglomerates (MY) Mixed Mixed
Conglomerates (Global) Bullish Mixed
Stock PUNCAK - -

AIStockmoo Score

0.0
Analyst Consensus 0.0
Insider Activity NA
Price Volatility 0.5
Technical Moving Averages -2.5
Technical Oscillators 2.0
Average 0.00

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Puncak Niaga Holdings Bhd is a regional integrated water and environmental solutions provider, with involvement in the oil and gas sector. It is an investment holding company engaged in the construction, water and environmental engineering sectors, through its subsidiaries. The operating segments of the company are Construction, Concession, and Plantation. It derives maximum revenue from Concession segment.

Sector Industrials
Industry Conglomerates
Investment Style Small Value
% Held by Insiders 55.34%

No data within this time range.

Name Avg. Buy ($) Avg. Sell ($) Net Quantity Net Value ($)
TAN SRI ROZALI BIN ISMAIL - - 0 0
Aggregate Net Quantity 0
Aggregate Net Value ($) 0
Aggregate Avg. Buy ($) -
Aggregate Avg. Sell ($) -
Name Holder Date Type Quantity Price Value ($)
TAN SRI ROZALI BIN ISMAIL Director 14 Apr 2026 Others 0 - -

The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.

Portfolio

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Risk Profile

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Conservative
Moderate Conservative
Moderate
Moderate Aggressive
Aggressive
Margin of Safety (EP)
Partial Profit (TP1)
Target Profit (TP2)
Maximum Loss (SL)

Disclaimer: The above is for illustrative purposes only and is NOT investment advice. Seek advice from a qualified financial professional.

Entry Price (EP)

Take Profit 1 (TP1)

Take Profit 2 (TP2)

Stop Loss (SL)

52W Range
 
52WL
 
52WH
SL
EP
TP1
TP2

All alert prices are within 52 weeks price range

Realized Profit -
Unrealized Profit -
Dividend Received 2026 -
Total Profit -
Avg. Return -
Quantity (Buy) -
Avg. Price (Buy) -
Quantity (Sold) -
Avg. Price (Sold) -
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