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BBMG Corporation

جودة البيانات: 100%
ذروة شراء
BBMPY
OTC Basic Materials Construction Materials
KWD 1.52
KWD 0.00 (0.00%)
القيمة السوقية: 811.51M
نطاق اليوم
KWD 1.52 KWD 2.55
نطاق 52 أسبوعًا
KWD 1.52 KWD 2.55
حجم التداول
50
متوسط 50 يوم / 200 يوم
KWD 1.52 / KWD 1.52
الإغلاق السابق
KWD 1.52

Quick Summary

تاريخ السعر

الاتجاهات المالية

مقارنة الأقران

مقابل وسيط قطاع Basic Materials (468 نظير)

المقياس السهم وسيط القطاع
P/E -1.5 2.3
P/B 0.0 1.7
ROE % -0.8 6.0
Net Margin % -0.5 5.4
Rev Growth 5Y % 0.4 4.7
D/E 1.7 0.4

السعر المستهدف للمحللين

لا تتوفر تغطية محللين

تقديرات الأرباح

الفترة تقدير ربحية السهم تقدير الإيرادات المحللون
FY2026 KWD 0.00
KWD 0.00 – KWD 0.00
795.74B 0

Earnings Surprises

Last 8 quarters
Quarter Est. EPS Actual EPS Surprise
2024-10-30 N/A KWD 0.03
2024-08-30 N/A KWD 0.05
2024-04-29 N/A -KWD 0.12
2024-04-16 N/A KWD 0.00
2023-09-30 N/A -KWD 0.04
2023-06-30 N/A KWD 0.07
2023-03-31 N/A -KWD 0.08
2022-12-31 N/A -KWD 0.13

Dividend History

4 yr streak

Yield

0.50%

Payout Ratio

-8.87%

Growth (3Y)

-23.90%

Growth (5Y)

N/A

Ex-Date Payment Date Amount Yield
Jun 09, 2025 KWD 0.14 9.10%
Jul 05, 2024 Aug 16, 2024 KWD 0.07 2.76%
May 25, 2023 Jul 24, 2023 KWD 0.19 7.60%
May 20, 2022 KWD 0.31 9.57%

النقاط الرئيسية

Revenue grew 0.40% annually over 5 years — modest growth
Earnings declined -2297.55% over the past year
Negative free cash flow of -8.73B
PEG of 0.00 suggests growth is underpriced
Capital efficient — spends only 3.11% of revenue on capex
ROIC of 0.14% — low return on invested capital

النمو

Revenue Growth (5Y)
0.40%
Revenue (1Y)2.64%
Earnings (1Y)-2297.55%
FCF Growth (3Y)N/A

الجودة

Return on Equity
-0.76%
ROIC0.14%
Net Margin-0.51%
Op. Margin0.35%

الأمان

Debt / Equity
1.69
Current Ratio1.38
Interest Coverage0.13

التقييم

P/E Ratio
-1.46
Forward P/EN/A
P/B Ratio0.01
EV/EBITDA282.42
Dividend Yield0.50%

All Fundamental Metrics

Growth
Revenue Growth (1Y) 2.64% Revenue Growth (3Y) 3.31%
Earnings Growth (1Y) -2297.55% Earnings Growth (3Y) N/A
Revenue Growth (5Y) 0.40% Earnings Growth (5Y) N/A
Profitability
Revenue (TTM) 109.75B Net Income (TTM) -555.16M
ROE -0.76% ROA -0.21%
Gross Margin 9.67% Operating Margin 0.35%
Net Margin -0.51% Free Cash Flow (TTM) -8.73B
ROIC 0.14% FCF Growth (3Y) N/A
Safety
Debt / Equity 1.69 Current Ratio 1.38
Interest Coverage 0.13
Dividends
Dividend Yield 0.50% Payout Ratio -8.87%
Dividend Growth (3Y) -23.90% Dividend Growth (5Y) N/A
Consecutive Div Years 4 yrs
Valuation
P/E Ratio -1.46 Forward P/E N/A
P/B Ratio 0.01 P/S Ratio 0.01
PEG Ratio 0.00 Forward PEG N/A
EV/EBITDA 282.42 Fwd EV/EBITDA 1.31
Forward P/S 0.00 Fwd Earnings Yield N/A
FCF Yield -1075.80%
Market Cap 811.51M Enterprise Value 108.05B

Income Statement

Annual, most recent first

Income statement data, annual, most recent first
Metric FY2024 FY2023 FY2022 FY2021 FY2020
Revenue 109.75B 106.92B 102.82B 123.63B 108.00B
Net Income -555.16M 25.26M 1.74B 5.21B 5.16B
EPS (Diluted) -3.00 0.05 3.20 9.80 9.60
Gross Profit 10.62B 10.95B 15.36B 20.07B 21.49B
Operating Income 382.60M 156.37M 6.06B 11.63B 12.03B

Balance Sheet

Annual, most recent first

Balance sheet data, annual, most recent first
Metric FY2024 FY2023 FY2022 FY2021 FY2020
Total Assets 264.00B 269.68B 281.52B 286.36B 291.35B
Total Liabilities 171.88B 175.31B 186.62B 190.82B 196.90B
Shareholders' Equity 73.72B 73.01B 63.63B 63.72B 63.38B
Total Debt 124.37B 111.00B 106.82B 110.66B 117.20B
Cash & Equivalents 17.12B 16.16B 16.00B 21.92B 28.64B
Current Assets 133.20B 141.07B 156.82B 169.96B 182.67B
Current Liabilities 96.78B 117.60B 118.84B 119.73B 118.81B