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$16.43B
22.20
1,074
5.19%
Price Chart
Risk-Adjusted Performance
KLCC Property Holdings Bhd (5235SS) Price Performance
KLCC Property Holdings Bhd (5235SS) trades on KLSE in MYR. The company is classified in the Real Estate sector under the REIT - Diversified industry. The stock currently trades at MYR9.15, up 0.88% from the previous close.
Over the past year, 5235SS has traded between a low of MYR9.05 and a high of MYR9.18. The stock has gained 0.3% over this period.
KLCC Property Holdings Bhd has a market capitalization of $16.43B, with a price-to-earnings ratio of 22.20 and a dividend yield of 5.19%.
About KLCC Property Holdings Bhd
KLCC Property Holdings Berhad (KLCCP) and KLCC Real Estate Investment Trust (KLCC REIT), collectively known as KLCCP Stapled Group is Malaysia's largest self-managed stapled security that invests, develops, owns, and manages a stable of iconic and quality assets. KLCCP Stapled Group became the first ever Shariah compliant stapled structure in Malaysia upon the listing of KLCC Stapled Securities (KLCCSS) on 9 May 2013 and trades under the REIT sector of the index as a single price quotation. KLCCP Stapled Group's core business is in property investment and development, and provision of management services. The Group owns iconic prime assets, namely the PETRONAS Twin Towers, Menara ExxonMobil, and Menara 3 PETRONAS under KLCC REIT and Suria KLCC, the premier shopping mall, Mandarin Oriental, Kuala Lumpur hotel and a vacant land (Lot D1) under KLCCP. KLCCP also has a 33% stake in Menara Maxis. KLCCP Stapled Group redefines excellence in real estate. With decades of experience building the nation's iconic landmarks, it has elevated industry standards and expectations, reinforcing its commitment to enriching lives and building a more sustainable future. KLCC Property Holdings Berhad was incorporated in February 7th, 2004 in Malaysia.
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Company Info
- Sector
- Real Estate
- Industry
- REIT - Diversified
- Exchange
- KLSE
- Currency
- MYR
- Country
- Malaysia
Financial Metrics
- Revenue (TTM)
- $1.75B
- EBITDA
- $1.11B
- Profit Margin
- 73.08%
- EPS (TTM)
- 0.41
- Book Value
- 7.83
Technical Indicators
- 52 Week High
- MYR 9.28
- 52 Week Low
- MYR 9.00
- 50 Day MA
- MYR 9.09
- 200 Day MA
- MYR 8.89
- Beta
- 0.14
Valuation
- Trailing P/E
- 22.20
- Forward P/E
- 18.90
- Price/Sales
- 9.40
- Price/Book
- 1.16
- Enterprise Value
- $19.16B