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INDICATIVE · SAMPLE DATA
LPGL57

L&P Global Bhd

Non-Paper Containers & PackagingVerified

L&P Global Bhd has a fully diluted share count of 559,627,500 shares, with no difference between basic and diluted shares outstanding, indicating no dilution risk from stock options or convertible instruments. However, liquidity risk could not be assessed due to the absence of balance-sheet inputs and no going-concern language in source documents. Profitability metrics are not available in the valuation snapshot, but the company operates in the Non-Paper Containers & Packaging industry, where key performance indicators include gross margin, EBITDA margin, and return on invested capital (ROIC). Without disclosed financial ratios, it is not possible to compare L&P Global Bhd's profitability to industry medians. The company's revenue is concentrated in Malaysia, with no disclosed segment or geographic breakdown. This lack of diversification may expose the company to regional economic or regulatory risks. Growth trajectory is not quantifiable due to the absence of revenue history and outlook data. The company's future performance will depend on demand for wooden industrial packaging and its ability to expand circular supply services. Risk factors include the inability to assess liquidity risk and the absence of disclosed capital structure details. The company has a low dilution potential, with no near-term pressure from equity issuance or convertible instruments. Recent events include no disclosed filings or transcripts, and the company's ESG controversies score is 100.0, indicating high controversy risk, while its governance pillar score is 68.1 and social pillar score is 26.8.

30-day price · LPGL+0.02 (+23.5%)
Low$0.08High$0.11Close$0.10As of17 May, 00:00 UTC
Profile
CompanyL&P Global Bhd
TickerLPGL.KL
SectorBasic Materials
BusinessApplied Resources
Industry groupApplied Resources
IndustryNon-Paper Containers & Packaging
AI analysis

Business. L&P Global Bhd is a Malaysia-based investment holding company engaged in the design and manufacturing of wooden industrial packaging products, provision of packing services, circular supply services, and trading of related products and raw materials.

Classification. L&P Global Bhd is classified under the Basic Materials economic sector, Applied Resources business sector, and Non-Paper Containers & Packaging industry with a confidence level of 0.92.

L&P Global Bhd has a fully diluted share count of 559,627,500 shares, with no difference between basic and diluted shares outstanding, indicating no dilution risk from stock options or convertible instruments. However, liquidity risk could not be assessed due to the absence of balance-sheet inputs and no going-concern language in source documents. Profitability metrics are not available in the valuation snapshot, but the company operates in the Non-Paper Containers & Packaging industry, where key performance indicators include gross margin, EBITDA margin, and return on invested capital (ROIC). Without disclosed financial ratios, it is not possible to compare L&P Global Bhd's profitability to industry medians. The company's revenue is concentrated in Malaysia, with no disclosed segment or geographic breakdown. This lack of diversification may expose the company to regional economic or regulatory risks. Growth trajectory is not quantifiable due to the absence of revenue history and outlook data. The company's future performance will depend on demand for wooden industrial packaging and its ability to expand circular supply services. Risk factors include the inability to assess liquidity risk and the absence of disclosed capital structure details. The company has a low dilution potential, with no near-term pressure from equity issuance or convertible instruments. Recent events include no disclosed filings or transcripts, and the company's ESG controversies score is 100.0, indicating high controversy risk, while its governance pillar score is 68.1 and social pillar score is 26.8.
Key takeaways
  • L&P Global Bhd operates in the Non-Paper Containers & Packaging industry with a focus on wooden industrial packaging and circular supply services.
  • The company has no difference between basic and diluted shares outstanding, indicating no dilution risk from stock options or convertible instruments.
  • Profitability metrics are not available, making it difficult to assess performance relative to industry benchmarks.
  • Revenue concentration in Malaysia may expose the company to regional economic or regulatory risks.
  • Liquidity risk could not be assessed due to the absence of balance-sheet inputs and no going-concern language in source documents.
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  • ## RATIONALES
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Financial snapshot
PeriodHA-latest
CurrencyMYR
Revenue
Gross profit
Operating income
Net income
R&D
SG&A
D&A
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Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
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FY-1
FY-2
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PeriodGross %Op %Net %FCF %
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FY-2
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PeriodAssetsEquityCashDebt
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PeriodOCFCapExFCFSBC
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Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ0
FQ-1
FQ-2
FQ-3
FQ-4
FQ-5
FQ-6
FQ-7
PeriodGross %Op %Net %FCF %
FQ0
FQ-1
FQ-2
FQ-3
FQ-4
FQ-5
FQ-6
FQ-7
PeriodAssetsEquityCashDebt
FQ0
FQ-1
FQ-2
FQ-3
FQ-4
FQ-5
FQ-6
FQ-7
PeriodOCFCapExFCFSBC
FQ0
FQ-1
FQ-2
FQ-3
FQ-4
FQ-5
FQ-6
FQ-7
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book
Net cash
Current ratio
Debt/Equity
ROA
ROE
Cash conversion
CapEx/Revenue
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskUnknown
  • Liquidity risk could not be assessed (no balance-sheet inputs and no going-concern language in source documents).
Industry benchmarks
Activity: Non-Paper Containers & Packaging · cohort 3 companies
MetricLPGLActivity
Op margin12.9% medp25 12.7% · p75 13.1%
Net margin3.6% medp25 0.2% · p75 6.8%
Gross margin20.0% medp25 14.1% · p75 29.1%
R&D / revenue1.5% medp25 0.9% · p75 2.2%
CapEx / revenue3.3% medp25 2.6% · p75 5.2%
Debt / equity143.2% medp25 92.9% · p75 161.6%
Observations
IR observations
market data ESG controversies score100.0
market data ESG governance pillar68.1
market data ESG social pillar26.8
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod FQ-7 · history via verified-market-data
no public URL
2026-05-04 18:40 UTC#7a061aa9
Source: analysis-pipeline (hybrid)Generated: 2026-05-04 18:41 UTCJob: 01276891