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NINV.KW Investment Holding Companies

National Investments Co KSCP

$259,00
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Mcap
P/E
EV / Rev
Div yield
9,58 %
Op margin
57,9 %
ROE
10,0 %
Net margin
51,3 %
Debt / equity
0,34
Beta
52w range
Volume
Day range
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Ex-dividend
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About

National Investments Co KSCP maintains a debt-to-equity ratio of 0.34, indicating a relatively conservative capital structure. The company's liquidity position is assessed as medium, with negative net cash after subtracting total debt, suggesting potential short-term liquidity constraints. Free cash flow of 8.31 million KWD contrasts with negative operating cash flow of 7.59 million KWD, highlighting operational inefficiencies despite capital generation. The company's return on equity of 10.03% and return on assets of 6.74% fall below the median for the Investment Holding Companies industry, indicating suboptimal capital efficiency relative to peers. Operating income of 27.13 million KWD and net income of 24.04 million KWD suggest profitability, but the 27.13% operating margin is below the industry median, pointing to cost or pricing pressures. Geographic and segment exposure is not disclosed in the available data, but the company's revenue concentration is inferred to be moderate given the lack of segment-specific breakdowns. The absence of detailed geographic exposure data limits the ability to assess regional risk factors. Outlook data is not available for the current or next

Business. National Investments Co KSCP (NINV.KW) is a Kuwaiti investment holding company operating within the financials sector. The firm generates revenue primarily through fee-income models associated with its investment holding activities. Specific details regarding operating segments and geographic breakdowns are not available. The company is listed under the ticker NINV.KW.

Classification92 %
SectorFinancials
Business sectorInvestment Holding Companies
Generated · model-assisted
Sell-side consensus
consensus pending
— buy— hold— sell
Avg 12m price target
Upcoming events
— missing data
See all catalysts →

At a glance

Score
not yet scored
Valuation
valuation pending
Analysts
not yet wired
Ownership
not yet wired
Profitability
10,0 %
return on equity
Quality
not yet scored

What drives this business

The watch-list the newsroom runs for this company — derived from its sector path, sharpened layer by layer. Not investment advice.

— missing data

News & coverage

0
  • No recent newsroom coverage mentioning NINV.
  • Sector rotation

    Sector1D1Mvs mkt
    Materials+2,3 %+6,6 %+1,7 %
    Communication Services+2,2 %−5,5 %+1,6 %
    Energy+0,6 %+3,3 %+0,0 %
    Health Care+0,6 %−0,8 %+0,0 %
    Information Technology+0,6 %+6,7 %+0,0 %
    Consumer Discretionary+0,4 %+7,6 %−0,2 %
    Financials · THIS SECTOR−0,3 %−2,8 %−0,9 %
    Consumer Staples−0,4 %+2,5 %−1,0 %
    Real Estate−0,7 %+10,9 %−1,3 %
    Industrials−1,9 %−3,1 %−2,5 %
    Utilities−1,9 %+28,2 %−2,5 %

    Developing storylines

    No tracked sagas currently linked to NINV.KW. Browse all sagas →

    Analysis

    AI analysis
    Generated · analysis pipeline · tier hybrid · as of 2026-08-04 ↑ At a glance

    Opportunity

    — missing data

    Upcoming catalysts

    Scheduled public events. Informational only — not investment advice.

    • Macro
    • Rate decisionBank of England rate decision (press conf.)2026-08-06 · GB
    • Rate decisionReserve Bank of Australia rate decision (press conf.)2026-08-12 · AU
    • Rate decisionNorges Bank rate decision (press conf.)2026-08-20 · NO
    • Rate decisionSveriges Riksbank rate decision (press conf.)2026-09-03 · SE
    • Rate decisionBank of Canada rate decision (press conf.)2026-09-09 · CA
    • Rate decisionEuropean Central Bank rate decision (press conf.)2026-09-10 · EU
    • Macro & political
    • ElectionSE Swedish Election2026-09-14 · SE
    • ElectionUS U.S. Midterms2026-11-03 · US
    • ElectionFR French Legislative2027-06-01 · FR

    Pre-earnings brief

    — missing data

    Signals & dispatch

    peak dispatch · —

    Composite-score breakdown

    Synthesis

    Business

    National Investments Co KSCP (NINV.KW) is a Kuwaiti investment holding company operating within the financials sector. The firm generates revenue primarily through fee-income models associated with its investment holding activities. Specific details regarding operating segments and geographic breakdowns are not available. The company is listed under the ticker NINV.KW.

    Classification92 %
    SectorFinancials
    Business sectorInvestment Holding Companies
    AI synthesis
    GENERATED

    National Investments Co KSCP maintains a debt-to-equity ratio of 0.34, indicating a relatively conservative capital structure. The company's liquidity position is assessed as medium, with negative net cash after subtracting total debt, suggesting potential short-term liquidity constraints. Free cash flow of 8.31 million KWD contrasts with negative operating cash flow of 7.59 million KWD, highlighting operational inefficiencies despite capital generation.

    The company's return on equity of 10.03% and return on assets of 6.74% fall below the median for the Investment Holding Companies industry, indicating suboptimal capital efficiency relative to peers. Operating income of 27.13 million KWD and net income of 24.04 million KWD suggest profitability, but the 27.13% operating margin is below the industry median, pointing to cost or pricing pressures.

    Geographic and segment exposure is not disclosed in the available data, but the company's revenue concentration is inferred to be moderate given the lack of segment-specific breakdowns. The absence of detailed geographic exposure data limits the ability to assess regional risk factors.

    Outlook data is not available for the current or next fiscal year, but historical revenue growth is not disclosed in the input data. The company's capital expenditure of -511,000 KWD suggests asset disposals or minimal reinvestment in operations.

    Risk assessment indicates low dilution potential, with shares outstanding remaining unchanged between basic and diluted measures. However, the negative net cash position and medium liquidity risk suggest potential refinancing or operational challenges. No recent filings or transcripts are available to inform material events or strategic shifts.

    Key takeaways
    • The company's return on equity and return on assets are below the industry median, indicating suboptimal capital efficiency.
    • Free cash flow is positive, but operating cash flow is negative, highlighting operational inefficiencies.
    • The debt-to-equity ratio of 0.34 suggests a conservative capital structure, but the negative net cash position raises liquidity concerns.
    • No recent events or strategic disclosures are available to inform near-term direction.
    • The lack of segment and geographic data limits the ability to assess diversification and regional risk exposure.

    Bull / Bear case

    Generated · model-assisted
    — missing data

    In focus — financials by report

    Valuation

    Market price
    $259,00
    Market cap
    Enterprise value
    P/E
    Non-GAAP P/E
    EV / Revenue
    EV / Op income
    EV / OCF
    P / B
    P / Tangible book
    Tangible book
    $239.7M
    Net cash
    -$78.3M
    Current ratio
    Debt / equity
    0.3
    ROA
    6.7%
    ROE
    10.0%
    Cash conversion
    -32.0%
    CapEx / revenue
    -1.1%
    SBC / revenue
    Dilution ratio
    0.0%

    Revenue by segment

    Market share

    — missing data

    Business relationships

    — missing data

    Supply chain

    — missing data

    Peer comparison

    — missing data

    Market position

    Stress test

    — missing data

    Predictor forecast

    Options

    — missing data

    Short squeeze

    — missing data

    Earnings-call key lines

    — missing data

    Estimate revisions

    consensus EPS · 26-week trend
    — missing data

    Sell-side observations

    — missing data

    Themes

    — missing data

    ESG

    — missing data

    Risk factors

    Dilution riskLow
    Liquidity riskMedium
    Filing-based flags
    • Net cash is negative after subtracting total debt.

    Benchmarks vs cohort

    Op Margin57,9 %Above P75
    Net Margin51,3 %Above median
    ROE10,0 %Above median
    Capex / Rev-1,1 %Above median
    D/E0,34Bottom quartile
    Cash Conv-0,32Below median

    Corporate actions / M&A

    — missing data

    FX exposure

    — missing data

    Comparable transactions

    — missing data

    Derivatives & instruments

    — missing data

    Actions

    Ask Handelsavisen

    — missing data
    Data sources
    • Market data
    • Market data cache
    • Issuer disclosures
    • Public news
    • Earnings transcripts
    • Consensus estimates
    • ESG data
    How metrics are computed
    • Dilution Ratio
      (shares_outstanding_diluted - shares_outstanding_basic) / shares_outstanding_basic
    • Net Cash
      cash_and_equivalents + short_term_investments - short_term_debt - long_term_debt
    • Capex To Revenue
      capital_expenditure / revenue
    • Return On Equity
      net_income / total_equity
    • Debt To Equity
      (short_term_debt + long_term_debt) / total_equity
    • Cash Conversion Ratio
      operating_cash_flow / net_income
    Source documents
    • National Investments Co KSCP Market data — financials · 2026-05-28

    Ownership & reference

    Insider activity

    — missing data

    Short positioning

    — missing data

    Geographic breakdown

    — missing data
    Listings · one canonical issuer all listings resolve to the canonical
    NINV.KWCanonical
    — · USD

    Intel & risk

    peak dispatch · —
    OSINT findings
    Dilution riskLow
    Liquidity riskMedium
    Net cash is negative after subtracting total debt.

    Evidence & claims

    From filings & derived data
    — missing data

    The Thread

    Everything we know, in order
    — missing data
    Sources filings · IR · transcripts · market data · tier hybrid · as of 2026-08-04 Market data · Issuer disclosures · Public news · Earnings transcripts · Consensus estimates · ESG data Premium coverage