Bright Packaging Industry Berhad, an investment holding company, manufactures and sells aluminium foil packaging materials in Malaysia.
Share Price & News
How has Bright Packaging Industry Berhad's share price performed over time and what events caused price changes?
Latest Share Price and Events
Stable Share Price: BRIGHT is not significantly more volatile than the rest of MY stocks over the past 3 months, typically moving +/- 7% a week.
Volatility Over Time: BRIGHT's weekly volatility (7%) has been stable over the past year.
7 Day Return
1 Year Return
Return vs Industry: BRIGHT underperformed the MY Packaging industry which returned 18.3% over the past year.
Return vs Market: BRIGHT exceeded the MY Market which returned 6.1% over the past year.
Long-Term Price Volatility Vs. Market
How volatile is Bright Packaging Industry Berhad's share price compared to the market and industry in the last 5 years?
Simply Wall St News
No news available
Bright Packaging Industry Berhad Fundamentals Summary
|BRIGHT fundamental statistics|
Is BRIGHT overvalued?See Fair Value and valuation analysis
Earnings & Revenue
|BRIGHT income statement (TTM)|
|Cost of Revenue||RM42.19m|
Last Reported Earnings
May 31, 2021
Next Earnings Date
|Earnings per share (EPS)||-0.019|
|Net Profit Margin||-8.97%|
How did BRIGHT perform over the long term?See historical performance and comparison
Is Bright Packaging Industry Berhad undervalued compared to its fair value and its price relative to the market?
Undervalued compared to fair value
Share Price vs. Fair Value
Below Fair Value: BRIGHT (MYR0.25) is trading below our estimate of fair value (MYR0.7)
Significantly Below Fair Value: BRIGHT is trading below fair value by more than 20%.
Price To Earnings Ratio
PE vs Industry: BRIGHT is unprofitable, so we can't compare its PE Ratio to the MY Packaging industry average.
PE vs Market: BRIGHT is unprofitable, so we can't compare its PE Ratio to the MY market.
Price to Earnings Growth Ratio
PEG Ratio: Insufficient data to calculate BRIGHT's PEG Ratio to determine if it is good value.
Price to Book Ratio
PB vs Industry: BRIGHT is good value based on its PB Ratio (0.4x) compared to the MY Packaging industry average (1.4x).
How is Bright Packaging Industry Berhad forecast to perform in the next 1 to 3 years based on estimates from 0 analysts?
Forecasted Materials industry annual growth in earnings
In this section we usually present revenue and earnings growth projections based on the consensus estimates of professional analysts to help investors understand the company’s ability to generate profit. But as Bright Packaging Industry Berhad has not provided enough past data and has no analyst forecast, its future earnings cannot be reliably calculated by extrapolating past data or using analyst predictions.
This is quite a rare situation as 97% of companies covered by SimplyWall St do have past financial data.
How has Bright Packaging Industry Berhad performed over the past 5 years?
Historical annual earnings growth
Earnings and Revenue History
Quality Earnings: BRIGHT is currently unprofitable.
Growing Profit Margin: BRIGHT is currently unprofitable.
Past Earnings Growth Analysis
Earnings Trend: BRIGHT is unprofitable, and losses have increased over the past 5 years at a rate of 0.7% per year.
Accelerating Growth: Unable to compare BRIGHT's earnings growth over the past year to its 5-year average as it is currently unprofitable
Earnings vs Industry: BRIGHT is unprofitable, making it difficult to compare its past year earnings growth to the Packaging industry (46.2%).
Return on Equity
High ROE: BRIGHT has a negative Return on Equity (-3.44%), as it is currently unprofitable.
How is Bright Packaging Industry Berhad's financial position?
Financial Position Analysis
Short Term Liabilities: BRIGHT's short term assets (MYR69.4M) exceed its short term liabilities (MYR5.3M).
Long Term Liabilities: BRIGHT's short term assets (MYR69.4M) exceed its long term liabilities (MYR3.0M).
Debt to Equity History and Analysis
Debt Level: BRIGHT is debt free.
Reducing Debt: BRIGHT has not had any debt for past 5 years.
Cash Runway Analysis
For companies that have on average been loss making in the past we assess whether they have at least 1 year of cash runway.
Stable Cash Runway: Whilst unprofitable BRIGHT has sufficient cash runway for more than 3 years if it maintains its current positive free cash flow level.
Forecast Cash Runway: BRIGHT is unprofitable but has sufficient cash runway for more than 3 years, due to free cash flow being positive and growing by 34% per year.
What is Bright Packaging Industry Berhad current dividend yield, its reliability and sustainability?
Dividend Yield vs Market
Notable Dividend: Unable to evaluate BRIGHT's dividend yield against the bottom 25% of dividend payers, as the company has not reported any recent payouts.
High Dividend: Unable to evaluate BRIGHT's dividend yield against the top 25% of dividend payers, as the company has not reported any recent payouts.
Stability and Growth of Payments
Stable Dividend: Insufficient data to determine if BRIGHT's dividends per share have been stable in the past.
Growing Dividend: Insufficient data to determine if BRIGHT's dividend payments have been increasing.
Current Payout to Shareholders
Dividend Coverage: BRIGHT is not paying a notable dividend for the MY market.
Future Payout to Shareholders
Future Dividend Coverage: No need to calculate the sustainability of BRIGHT's dividend in 3 years as they are not forecast to pay a notable one for the MY market.
How experienced are the management team and are they aligned to shareholders interests?
Average board tenure
Bright Packaging Industry Berhad has no CEO, or we have no data on them.
Experienced Board: BRIGHT's board of directors are not considered experienced ( 1.4 years average tenure), which suggests a new board.
Who are the major shareholders and have insiders been buying or selling?
Insider Trading Volume
Insider Buying: Insufficient data to determine if insiders have bought more shares than they have sold in the past 3 months.
Dilution of Shares: Shareholders have not been meaningfully diluted in the past year.
Bright Packaging Industry Berhad's company bio, employee growth, exchange listings and data sources
- Name: Bright Packaging Industry Berhad
- Ticker: BRIGHT
- Exchange: KLSE
- Founded: 1988
- Industry: Metal and Glass Containers
- Sector: Materials
- Market Cap: RM50.306m
- Shares outstanding: 205.33m
- Website: https://www.brightpack.net
- Bright Packaging Industry Berhad
- No. 23, Jalan Delima 1/3
- Subang Hi-Tech Industrial Park
- Shah Alam
Bright Packaging Industry Berhad, an investment holding company, manufactures and sells aluminium foil packaging materials in Malaysia. It offers aluminum foils and metallised film laminates to tissue/wood...
Company Analysis and Financial Data Status
|Data||Last Updated (UTC time)|
|Company Analysis||2021/09/17 15:34|
|End of Day Share Price||2021/09/17 00:00|
Unless specified all financial data is based on a yearly period but updated quarterly. This is known as Trailing Twelve Month (TTM) or Last Twelve Month (LTM) Data. Learn more here.