5222.KL
Price:
$1.35
Market Cap:
$4.93B
FGV Holdings Berhad, an investment holding company, engages in agri-business in Malaysia, India, China, Pakistan, rest of Asia, the United States, Europe, Africa, New Zealand, Indonesia and internationally. The company's Plantation segment cultivates, harvests, and produces fresh fruit bunches; processes fresh fruit bunches into crude palm oil (CPO) and palm kernel; refines and trades in CPO; fractionates refined bleached deodorized palm oil and olein; produces oleochemicals namely fatty acid and glycerin; processes and sells biodiesel products; produces consumer bulk and packed products; processes fertilizers and rubber; and sells planting materials, as well as engages in the research and d...[Read more]
Industry
Agricultural Farm Products
IPO Date
2012-06-28
Stock Exchange
KLS
Ticker
5222.KL
According to FGV Holdings Berhad’s latest financial reports and current stock price. The company's current PE Ratio is 16.88. This represents a change of -213.86% compared to the average of -14.82 of the last 4 quarters.
The mean historical PE Ratio of FGV Holdings Berhad over the last ten years is 36.97. The current 16.88 PE Ratio has changed 4.47% with respect to the historical average. Over the past ten years (40 quarters), 5222.KL's PE Ratio was at its highest in in the March 2018 quarter at 1.17K. The PE Ratio was at its lowest in in the March 2019 quarter at -316.27.
Average
36.97
Median
22.48
Minimum
-14.00
Maximum
179.66
Discovering the peaks and valleys of FGV Holdings Berhad PE Ratio, unveiling quarterly and yearly fluctuations to gain insights into the company’s financial performance and market dynamics, offering valuable data for investors and analysts alike.
Maximum Annual Increase = 1.27%
Maximum Annual PE Ratio = 179.66
Minimum Annual Increase = -313.66%
Minimum Annual PE Ratio = -14.00
Year | PE Ratio | Change |
---|---|---|
2024 | 15.05 | -69.61% |
2023 | 49.54 | 1.27% |
2022 | 3.62 | -16.27% |
2021 | 4.33 | -85.53% |
2020 | 29.90 | -313.66% |
2019 | -14.00 | 479.92% |
2018 | -2.41 | -105.28% |
2017 | 45.68 | -74.58% |
2016 | 179.66 | 208.12% |
2015 | 58.31 | 138.64% |
The current PE Ratio of FGV Holdings Berhad (5222.KL) is less than than its 3-year, less than than its 5-year, and less than than its 10-year historical averages
3-year avg
22.74
5-year avg
20.49
10-year avg
36.97
FGV Holdings Berhad’s PE Ratio is greater than Sapura Energy Berhad (4.36), less than IOI Corporation Berhad (18.06), greater than CIMB Group Holdings Berhad (9.96), greater than Sime Darby Berhad (5.21), greater than Telekom Malaysia Berhad (13.11),
Company | PE Ratio | Market cap |
---|---|---|
4.36 | $826.92M | |
18.06 | $23.33B | |
9.96 | $77.17B | |
5.21 | $14.72B | |
13.11 | $26.44B |
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