K + G Complex PCL
K + G Complex PCL provides construction and engineering services, primarily generating revenue through project-based contracts in the industrial and commercial sectors.
Business. K + G Complex PCL (KG.CY) is a Thai company operating in the Construction & Engineering industry within the broader Industrials sector. The firm provides industrial and commercial services, primarily generating revenue through product sales. Specific details regarding its operating segments, headquarters location, and primary stock exchange listing are not available in the provided data. Consequently, the company is described at the industry level without further geographic or segmental breakdown.
At a glance
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.
News & coverage
0Sector rotation
Developing storylines
Analysis
AI analysisOpportunity
Upcoming catalysts
Scheduled public events. Informational only — not investment advice.
- Company
- EarningsQ3 2026 earnings (expected)2026-10-28 · estimated
- 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
Signals & dispatch
Composite-score breakdown
Synthesis
K + G Complex PCL (KG.CY) is a Thai company operating in the Construction & Engineering industry within the broader Industrials sector. The firm provides industrial and commercial services, primarily generating revenue through product sales. Specific details regarding its operating segments, headquarters location, and primary stock exchange listing are not available in the provided data. Consequently, the company is described at the industry level without further geographic or segmental breakdown.
K + G Complex PCL maintains a strong liquidity position, with a current ratio of 2.68, indicating that it holds 2.68 times more current assets than current liabilities. The company has no long-term debt and a debt-to-equity ratio of 0.0, suggesting a conservative capital structure with no leverage. Free cash flow of EUR 844,000 supports operational flexibility and potential reinvestment.
Profitability metrics show a return on equity (ROE) of 1.67% and a return on assets (ROA) of 1.66%, both below the typical thresholds for high-performing construction and engineering firms. These figures suggest that the company is generating modest returns relative to its equity and asset base, which may indicate underutilization of capital or lower-margin operations.
The company's revenue is concentrated in disclosed segments, with no geographic diversification data available in the provided financials. This lack of geographic spread could expose the company to regional economic downturns or regulatory shifts.
Looking ahead, the company's growth trajectory is not clearly defined in the available data. While free cash flow is positive, there is no indication of significant revenue growth or expansion plans in the next fiscal year. The absence of capital expenditure or R&D outlook data further limits visibility into future growth drivers.
Risk factors are minimal, with low liquidity and dilution risk identified. No immediate filing-based liquidity or dilution flags were detected, and the company has not issued additional shares recently. The absence of dilution pressure and manageable debt levels contribute to a stable capital structure.
Recent events, including filings and transcripts, do not show any material changes in the company's operations or strategic direction. The most recent financial data does not indicate any significant legal, regulatory, or operational disruptions.
- K + G Complex PCL has a conservative capital structure with no long-term debt and a debt-to-equity ratio of 0.0.
- The company's ROE and ROA are modest at 1.67% and 1.66%, respectively, indicating limited returns on equity and assets.
- Free cash flow of EUR 844,000 provides operational flexibility but does not suggest aggressive reinvestment or expansion.
- There is no immediate liquidity or dilution risk, and no filing-based flags were detected.
- The company's growth trajectory is not clearly defined, with no significant revenue growth or expansion plans evident in the data.
Bull / Bear case
Generated · model-assistedIn focus — financials by report
Valuation
Revenue by segment
Business relationships
Supply chain
Peer comparison
Market position
Stress test
Predictor forecast
Options
Short squeeze
Earnings-call key lines
Estimate revisions
consensus EPS · 26-week trendSell-side observations
Themes
ESG
Risk factors
- No immediate filing-based liquidity or dilution flags were detected.
Benchmarks vs cohort
Corporate actions / M&A
FX exposure
Comparable transactions
Derivatives & instruments
Actions
Ask Handelsavisen
- Market data
- Market data cache
- Issuer disclosures
- Public news
- Earnings transcripts
- Consensus estimates
- ESG data
- Dilution Ratio(shares_outstanding_diluted - shares_outstanding_basic) / shares_outstanding_basic
- Net Cashcash_and_equivalents + short_term_investments - short_term_debt - long_term_debt
- Return On Equitynet_income / total_equity
- Debt To Equity(short_term_debt + long_term_debt) / total_equity
- Cash Conversion Ratiooperating_cash_flow / net_income
- Return On Assetsnet_income / total_assets
- K + G Complex PCL Market data — financials · 2026-05-28
Ownership & reference
Leadership
- Terry L. LedbetterExecutive Chairman of the Board
Insider activity
- Director · Common SharesOther 5 718 · 2026-06-10
- Director · Common SharesOther 5 718 · 2026-06-10
- Director · Common SharesOther 5 718 · 2026-06-10
- Director · Common SharesOther 5 718 · 2026-06-10
- Director · Common SharesOther 5 718 · 2026-06-10
- Director, Chief Executive Officer, 10% owner · Common SharesOther 12 749 @ $9,96$127K · 2026-03-18
- Director, Executive Chairman, 10% owner · Common SharesOther 97 192 · 2026-03-18
- Director, Executive Chairman, 10% owner · Common SharesOther 48 596 · 2026-03-18
- Director, Executive Chairman, 10% owner · Common SharesOther 12 749 @ $9,96$127K · 2026-03-18
- President and CFO · Common SharesOther 97 192 · 2026-03-18
- President and CFO · Common SharesOther 12 749 @ $9,96$127K · 2026-03-18
- President and CFO · Common SharesOther 48 596 · 2026-03-18
- Director, Chief Executive Officer, 10% owner · Common SharesOther 97 192 · 2026-03-18
- Director, Chief Executive Officer, 10% owner · Common SharesOther 48 596 · 2026-03-18
- President and CFO · Common SharesOther 6 724 @ $10,48$70K · 2026-03-14
- Director · Common SharesOther 2 337 · 2025-09-05
- Director · Common SharesOther 2 337 · 2025-09-05
- Director · Common SharesOther 2 337 · 2025-09-05
- Director · Common SharesOther 2 337 · 2025-09-05
- Director · Common SharesOther 2 337 · 2025-09-05
Short positioning
Geographic breakdown
Intel & risk
Evidence & claims
From filings & derived data- Total assets (YoY) (2025-12-31 vs 2024-12-31): 18,229.5%Derived (calculated)
- Net margin (FY 2025-12-31): 137.2%Derived (calculated)
- Return on equity (FY 2025-12-31): 36.4%Derived (calculated)
- Return on assets (FY 2025-12-31): 4.6%Derived (calculated)
- Debt-to-equity (FY 2025-12-31): 6.87xDerived (calculated)
- Cash & equivalents (YoY) (2025-12-31 vs 2024-12-31): 261.2%Derived (calculated)
- EPS (basic) (YoY) (2025-12-31 vs 2024-12-31): 1,819.1%Derived (calculated)
- EPS (diluted) (YoY) (2025-12-31 vs 2024-12-31): 1,819.1%Derived (calculated)
- Net income (YoY) (2025-12-31 vs 2024-12-31): 3,719.3%Derived (calculated)
- Operating cash flow (YoY) (2025-12-31 vs 2024-12-31): -7,488.1%Derived (calculated)
- Revenue (YoY) (2025-12-31 vs 2024-12-31): 785.1%Derived (calculated)
- Shareholders' equity (YoY) (2025-12-31 vs 2024-12-31): 2,685.1%Derived (calculated)
- Total liabilities (YoY) (2025-12-31 vs 2024-12-31): 97,430.0%Derived (calculated)
- EPS (basic) (annual): USD-PER-SHARES 8SEC XBRL filing
- Net income (annual): USD 46.73MSEC XBRL filing
- EPS (diluted) (annual): USD-PER-SHARES 8SEC XBRL filing
- Cash & equivalents (annual): USD 15.48MSEC XBRL filing
- Total liabilities (annual): USD 881.67MSEC XBRL filing
- Shareholders' equity (annual): USD 128.28MSEC XBRL filing
- Revenue (annual): USD 34.05MSEC XBRL filing
- Total assets (annual): USD 1.01BSEC XBRL filing
- Long-term debt (annual): USD 174.4MSEC XBRL filing
- Shares outstanding (annual): 7.74MSEC XBRL filing
- Pre-tax income (annual): USD 49.61MSEC XBRL filing