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8273 (Public Packages Holdings Bhd) Stock Analysis
Buy, Hold or Sell?

Let's analyze Public Packages Holdings Bhd together

I guess you are interested in Public Packages Holdings Bhd. Buy, hold or sell? I don't know! However, I do recommend doing research before doing anything. I will help you with that.

  • 📊 Fundamental Analysis (FA) – Public Packages Holdings Bhd’s Financial Insights
  • 📈 Technical Analysis (TA) – Public Packages Holdings Bhd’s Price Targets

I'm going to help you getting a better view of Public Packages Holdings Bhd. At the end you don't have to ask anyone for trading advice. You can make your own decision, with more confidence, the odds in your favor, backed by data.

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1. Quick Overview

1.1. Quick analysis of Public Packages Holdings Bhd (30 sec.)










1.2. What can you expect buying and holding a share of Public Packages Holdings Bhd? (30 sec.)

How much money do you get?

How much money do you get?
RM0.00
When do you have the money?
1 year
How often do you get paid?
61.5%

What is your share worth?

Current worth
RM1.67
Expected worth in 1 year
RM1.80
How sure are you?
100.0%

+ What do you gain per year?

Total Gains per Share
RM0.15
Return On Investment
22.7%

For what price can you sell your share?

Current Price per Share
RM0.65
Expected price per share
RM0.615 - RM0.675
How sure are you?
50%
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2. Detailed Analysis

2.1. Valuation of Public Packages Holdings Bhd (5 min.)




Live pricePrice per Share (EOD)
RM0.65
Intrinsic Value Per Share
RM1.83 - RM2.14
Total Value Per Share
RM3.49 - RM3.80

2.2. Growth of Public Packages Holdings Bhd (5 min.)




Is Public Packages Holdings Bhd growing?

Current yearPrevious yearGrowGrow %
How rich?$106.2m$93.5m$9.8m9.6%

How much money is Public Packages Holdings Bhd making?

Current yearPrevious yearGrowGrow %
Making money$2.1m$3m-$881.8k-41.0%
Net Profit Margin17.7%24.5%--

How much money comes from the company's main activities?

2.3. Financial Health of Public Packages Holdings Bhd (5 min.)




2.4. Comparing to competitors in the Packaging & Containers industry (5 min.)




  Industry Rankings (Packaging & Containers)  

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3. Summary and Key Metrics

3.1. What can you expect buying and holding a share of Public Packages Holdings Bhd?

Welcome investor! Public Packages Holdings Bhd's management wants to use your money to grow the business. In return you get a share of Public Packages Holdings Bhd.

First you should know what it really means to hold a share of Public Packages Holdings Bhd. And how you can make/lose money.

Speculation

The Price per Share of Public Packages Holdings Bhd is RM0.645. The market price reflects what other people think it is worth; not what it's really worth. Your job is to find out if the market price is fair, overpriced, or underpriced. I will help you with that.

If you buy blind, there is a 50% chance of making or losing money by selling the stock in the future. However, we can look at a few things to determine the odds in our favor:

  • The fundamentals: the financial health trends of Public Packages Holdings Bhd.
  • The technials: based on market psychology, we can make a calculated estimate of what the price will do in the future. We can do this through technical analysis. We can calculate the probabilities and the expected value (millionaire math). That's called speculation.
  • The book value: what is the market price compared to it's book value.

Investing

If you really want to invest in Public Packages Holdings Bhd, you will have to let go of the thought of selling in the future. If you have to sell the share for less than you bought it, it can still be a good investment. Focus on what it means to hold the stock forever:

  • You own a part of the company. The equity of this part can grow or shrink. The current Book Value per Share is RM1.67. Based on the TTM, the Book Value Change Per Share is RM0.03 per quarter. Based on the YOY, the Book Value Change Per Share is RM0.05 per quarter.
  • You may receive quarterly/yearly dividend in the form of additional shares.
  • You may receive quarterly/yearly dividend in the form of cash. Based on the TTM the Dividend per Share is RM0.00 per quarter.
Based on historical numbers we can estimate the returns while holding a share of Public Packages Holdings Bhd.

How much money are you going to get?

 MRQTTMYOY3Y5Y10Y
 RM% of Price per ShareRM% of Price per ShareRM% of Price per ShareRM% of Price per ShareRM% of Price per ShareRM% of Price per Share
Usd Eps0.011.0%0.011.3%0.011.8%0.011.4%0.011.3%0.011.1%
Usd Book Value Change Per Share0.010.9%0.011.3%0.011.7%0.011.5%0.011.3%0.011.5%
Usd Dividend Per Share0.000.0%0.000.1%0.000.0%0.000.1%0.000.1%0.000.1%
Usd Total Gains Per Share0.010.9%0.011.4%0.011.8%0.011.5%0.011.4%0.011.6%
Usd Price Per Share0.16-0.18-0.20-0.18-0.18-0.18-
Price to Earnings Ratio6.57-5.76-4.96-5.05-6.11-8.28-
Price-to-Total Gains Ratio27.10-21.69-19.66-19.17-22.85-29.75-
Price to Book Ratio0.41-0.47-0.56-0.50-0.59-0.69-
Price-to-Total Gains Ratio27.10-21.69-19.66-19.17-22.85-29.75-

When do you get the money?

Usd Investment
$.00
Usd Price Per Share0.154026
Number of shares6492
Gains per QuarterTrailing 12 Months5 Year
Usd Dividend Per Share0.000.00
Usd Book Value Change Per Share0.010.01
Usd Total Gains Per Share0.010.01
Gains per Quarter (6492 shares)56.7258.87
Gains per Year (6492 shares)226.88235.46
YearsReturn on Investment (TTM)Return on Investment (5Y)
 DividendBook Value gainTotal gainsDividendBook Value gainTotal gains
Broker costs---10---10
11720921711224225
23541944422449460
35262867133673695
47083889844898930
587104711255511221165
6105125713526613471400
7122146615797715711635
8139167618068817951870
9157188520339920202105
101742094226011022442340

How sure are you?

Based on the past periods, how sure are you to get value out of your investment.

Linear %
 Trailing 12 Months3Y5 Year10 YearALLTIME
  % % % % %
Earnings Per Share4.00.00.0100.0%12.00.00.0100.0%20.00.00.0100.0%26.00.00.0100.0%27.00.00.0100.0%
Book Value Change Per Share4.00.00.0100.0%12.00.00.0100.0%20.00.00.0100.0%26.00.00.0100.0%27.00.00.0100.0%
Dividend per Share3.00.01.075.0%8.00.04.066.7%14.00.06.070.0%16.00.010.061.5%16.00.011.059.3%
Total Gains per Share4.00.00.0100.0%12.00.00.0100.0%20.00.00.0100.0%26.00.00.0100.0%27.00.00.0100.0%
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3.2. Key Performance Indicators

The key performance indicators of Public Packages Holdings Bhd compared to the Most Recent Quarter (MRQ).

 End of day+/-Most Recent QuarterTrailing 12 Months+/-Year-Over-Year+/-3Y+/-5 Year+/-10 Year+/-
Book Value Change Per Share--0.0250.034-26%0.047-47%0.039-36%0.036-31%0.041-38%
Book Value Per Share--1.6691.624+3%1.469+14%1.462+14%1.310+27%1.200+39%
Current Ratio--10.62410.128+5%8.599+24%8.470+25%6.765+57%5.788+84%
Debt To Asset Ratio--0.0700.076-8%0.090-22%0.093-25%0.120-42%0.149-53%
Debt To Equity Ratio--0.0750.082-9%0.099-24%0.103-27%0.139-46%0.149-50%
Dividend Per Share---0.003-100%0.001-100%0.002-100%0.002-100%0.002-100%
Enterprise Value--147985149.720310945938.580-52%180501404.680-18%245826947.340-40%244628882.916-40%228260391.917-35%
Eps--0.0260.034-23%0.048-46%0.039-34%0.035-27%0.031-16%
Ev To Sales Ratio--0.7871.524-48%0.890-12%1.184-34%1.187-34%1.134-31%
Free Cash Flow Per Share--0.0240.030-18%0.035-30%0.037-33%0.031-22%0.032-24%
Free Cash Flow To Equity Per Share--0.0240.016+51%0.035-30%0.029-16%0.016+53%0.016+56%
Gross Profit Margin--1.0001.0000%1.0000%1.0000%1.0000%1.0000%
Intrinsic Value_10Y_max--2.136----------
Intrinsic Value_10Y_min--1.826----------
Intrinsic Value_1Y_max--0.157----------
Intrinsic Value_1Y_min--0.154----------
Intrinsic Value_3Y_max--0.515----------
Intrinsic Value_3Y_min--0.491----------
Intrinsic Value_5Y_max--0.926----------
Intrinsic Value_5Y_min--0.856----------
Market Cap172019559.840-5%181354149.720203689938.580-11%219024904.680-17%196355697.340-8%200756182.916-10%203766776.532-11%
Net Profit Margin--0.1470.177-17%0.245-40%0.199-26%0.180-18%0.160-8%
Operating Margin----0%-0%0.074-100%0.057-100%0.075-100%
Operating Ratio--0.8080.782+3%0.759+6%0.977-17%0.915-12%0.949-15%
Pb Ratio0.387-5%0.4080.471-13%0.556-27%0.503-19%0.592-31%0.688-41%
Pe Ratio6.229-5%6.5675.755+14%4.964+32%5.050+30%6.107+8%8.282-21%
Price Per Share0.645-5%0.6800.764-11%0.821-17%0.736-8%0.753-10%0.764-11%
Price To Free Cash Flow Ratio6.587-5%6.9446.936+0%6.268+11%5.545+25%3.565+95%3.090+125%
Price To Total Gains Ratio25.707-5%27.10221.690+25%19.658+38%19.173+41%22.845+19%29.746-9%
Quick Ratio--8.80914.056-37%6.872+28%10.116-13%8.244+7%6.853+29%
Return On Assets--0.0140.019-25%0.029-51%0.024-41%0.024-39%0.022-34%
Return On Equity--0.0160.021-26%0.032-52%0.027-43%0.027-43%0.024-35%
Total Gains Per Share--0.0250.037-31%0.048-48%0.041-39%0.038-34%0.042-40%
Usd Book Value--106262895.600103459204.500+3%93575332.200+14%93115741.700+14%83459334.360+27%76408128.785+39%
Usd Book Value Change Per Share--0.0060.008-26%0.011-47%0.009-36%0.009-31%0.010-38%
Usd Book Value Per Share--0.3980.388+3%0.351+14%0.349+14%0.313+27%0.286+39%
Usd Dividend Per Share---0.001-100%0.000-100%0.000-100%0.000-100%0.000-100%
Usd Enterprise Value--35338853.75374253890.133-52%43103735.438-18%58703475.025-40%58417377.240-40%54508581.590-35%
Usd Eps--0.0060.008-23%0.011-46%0.009-34%0.008-27%0.007-16%
Usd Free Cash Flow--1559125.2001908549.300-18%2222153.400-30%2341633.000-33%1997120.220-22%1725945.369-10%
Usd Free Cash Flow Per Share--0.0060.007-18%0.008-30%0.009-33%0.007-22%0.008-24%
Usd Free Cash Flow To Equity Per Share--0.0060.004+51%0.008-30%0.007-16%0.004+53%0.004+56%
Usd Market Cap41078270.890-5%43307370.95348641157.333-11%52303147.238-17%46889740.525-8%47940576.480-10%48659506.236-11%
Usd Price Per Share0.154-5%0.1620.182-11%0.196-17%0.176-8%0.180-10%0.182-11%
Usd Profit--1648675.2002152304.400-23%3034133.100-46%2486704.000-34%2243108.100-27%1970651.077-16%
Usd Revenue--11227182.00012082683.000-7%12243335.700-8%12438972.600-10%12367917.660-9%12029403.046-7%
Usd Total Gains Per Share--0.0060.009-31%0.011-48%0.010-39%0.009-34%0.010-40%
 EOD+4 -4MRQTTM+11 -26YOY+10 -273Y+10 -285Y+13 -2510Y+13 -25

3.3 Fundamental Score

Let's check the fundamental score of Public Packages Holdings Bhd based on Penke's default stock scanner.

Penke's Stock Scanner

  
  
IndicatorConditionValue
Price to Earnings Ratio (EOD)Between0-156.229
Price to Book Ratio (EOD)Between0-10.387
Net Profit Margin (MRQ)Greater than00.147
Operating Margin (MRQ)Greater than00.000
Quick Ratio (MRQ)Greater than18.809
Current Ratio (MRQ)Greater than110.624
Debt to Asset Ratio (MRQ)Less than10.070
Debt to Equity Ratio (MRQ)Less than10.075
Return on Equity (MRQ)Greater than0.150.016
Return on Assets (MRQ)Greater than0.050.014
Total7/10 (70.0%)

3.4 Technical Score

Let's check the technical score of Public Packages Holdings Bhd based on Penke's default Symbol scanner.

Penke's Symbol Scanner

  
  
IndicatorConditionValue
OpenGreater thanClose0.640
Total0/1 (0.0%)

4. In-depth Analysis

4.1 About Public Packages Holdings Bhd

Public Packages Holdings Berhad, an investment holding company, engages in the production and sale of paper packaging products in Malaysia, the Asia Pacific, Europe, the United States, and internationally. It operates through Investment, Manufacturing, Property, Trading, and Hospitality segments. The company manufactures and retails corrugated cartons, packing materials, and gift and display boxes; manufactures offset printed display boxes; and designs and sells paper, as well as trades in paper products. It also provides financial, administrative, advisory, and management services; supply chain management solutions, such as graphic and structural design, printing and packaging, digital pre-press, media duplication, kitting, warehousing, inventory management, distribution, and creative services. In addition, the company involved in the property investment; and management and operation of hotel and restaurant. Public Packages Holdings Berhad was incorporated in 1976 and is based in Bayan Lepas, Malaysia.

Fundamental data was last updated by Penke on 2025-09-13 00:13:01.

4.2 In-depth Summary

4.2.1. Financial Health Summary

Profitability Details
 Compared to previous yearCompared to industry
The company is making a huge profit.
Using its assets, the company is less efficient in making profit.
Using its investors money, the company is inefficient in making profit.
Operating Efficiency Details
 Compared to previous yearCompared to industry
The company is efficient in keeping operating costs low.
Liquidity Details
 Compared to previous yearCompared to industry
The company is very able to pay all its short-term debts.
The company is very able to pay all its short-term debts with the most liquid assets.
Solvency Details
 Compared to previous yearCompared to industry
The company is very able to pay all its debts by selling its assets.
The company is very able to pay all its debts with equity.

4.2.2. Valuation Summary

Valuation Details
 Compared to previous yearCompared to industry
Based on the equity, the company is cheap.
Based on the earnings, the company is cheap.
Based on how much money comes from the company's main activities, the company is cheap.
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4.3 Financial Health

4.3.1. Profitability

4.3.1 Profitability
4.3.1.1. Net Profit Margin

Measures how much net profit Public Packages Holdings Bhd earns for each RM1 of revenue.

  • Above 10% is considered healthy but always compare Public Packages Holdings Bhd to the Packaging & Containers industry mean.
  • A Net Profit Margin of 14.7% means that RM0.15 for each RM1 in revenue is generated as profit.

Let's take a look of the Net Profit Margin trends of Public Packages Holdings Bhd:

  • The MRQ is 14.7%. The company is making a huge profit. +2
  • The TTM is 17.7%. The company is making a huge profit. +2
Trends
Current periodCompared to+/- 
MRQ14.7%TTM17.7%-3.0%
TTM17.7%YOY24.5%-6.8%
TTM17.7%5Y18.0%-0.3%
5Y18.0%10Y16.0%+2.0%
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
MRQ14.7%2.5%+12.2%
TTM17.7%3.0%+14.7%
YOY24.5%3.9%+20.6%
3Y19.9%3.7%+16.2%
5Y18.0%4.3%+13.7%
10Y16.0%4.1%+11.9%
4.3.1.2. Return on Assets

Shows how efficient Public Packages Holdings Bhd is using its assets to generate profit.

  • Above 5% is considered healthy but always compare Public Packages Holdings Bhd to the Packaging & Containers industry mean.
  • 1.4% Return on Assets means that Public Packages Holdings Bhd generated RM0.01 profit for each $1 in assets.

Let's take a look of the Return on Assets trends of Public Packages Holdings Bhd:

  • The MRQ is 1.4%. Using its assets, the company is less efficient in making profit.
  • The TTM is 1.9%. Using its assets, the company is less efficient in making profit.
Trends
Current periodCompared to+/- 
MRQ1.4%TTM1.9%-0.5%
TTM1.9%YOY2.9%-1.0%
TTM1.9%5Y2.4%-0.4%
5Y2.4%10Y2.2%+0.2%
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
MRQ1.4%0.8%+0.6%
TTM1.9%0.7%+1.2%
YOY2.9%1.0%+1.9%
3Y2.4%1.0%+1.4%
5Y2.4%1.1%+1.3%
10Y2.2%1.2%+1.0%
4.3.1.3. Return on Equity

Shows how efficient Public Packages Holdings Bhd is using its investors money to generate profit.

  • Above 15%-20% is considered healthy but always compare Public Packages Holdings Bhd to the Packaging & Containers industry mean.
  • 1.6% Return on Equity means Public Packages Holdings Bhd generated RM0.02 for each RM1 the owners (shareholders) invested.

Let's take a look of the Return on Equity trends of Public Packages Holdings Bhd:

  • The MRQ is 1.6%. Using its investors money, the company is inefficient in making profit. -1
  • The TTM is 2.1%. Using its investors money, the company is inefficient in making profit. -1
Trends
Current periodCompared to+/- 
MRQ1.6%TTM2.1%-0.5%
TTM2.1%YOY3.2%-1.2%
TTM2.1%5Y2.7%-0.6%
5Y2.7%10Y2.4%+0.3%
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
MRQ1.6%1.4%+0.2%
TTM2.1%1.5%+0.6%
YOY3.2%1.8%+1.4%
3Y2.7%1.8%+0.9%
5Y2.7%2.2%+0.5%
10Y2.4%2.2%+0.2%
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4.3.2. Operating Efficiency of Public Packages Holdings Bhd.

4.3.2. Operating Efficiency
4.3.2.1. Operating Margin

Measures how efficient Public Packages Holdings Bhd is operating .

  • Measures how much profit Public Packages Holdings Bhd makes for each RM1 of sales after paying variable costs (production costs, wages, etc) but before taxes.
  • Above 15% is considered healthy but always compare Public Packages Holdings Bhd to the Packaging & Containers industry mean.
  • An Operating Margin of 0.0% means the company generated RM0.00  for each RM1 in revenue (before taxes).

Let's take a look of the Operating Margin trends of Public Packages Holdings Bhd:

  • The MRQ is 0.0%. The data is not here.
Trends
Current periodCompared to+/- 
MRQ-TTM-0.0%
TTM-YOY-0.0%
TTM-5Y5.7%-5.7%
5Y5.7%10Y7.5%-1.8%
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
MRQ-5.4%-5.4%
TTM-5.0%-5.0%
YOY-3.9%-3.9%
3Y7.4%3.3%+4.1%
5Y5.7%5.2%+0.5%
10Y7.5%5.4%+2.1%
4.3.2.2. Operating Ratio

Measures how efficient Public Packages Holdings Bhd is keeping operating costs low.

  • Below 1 is considered healthy (always compare to Packaging & Containers industry mean).
  • An Operation Ratio of 0.81 means that the operating costs are RM0.81 for each RM1 in net sales.

Let's take a look of the Operating Ratio trends of Public Packages Holdings Bhd:

  • The MRQ is 0.808. The company is less efficient in keeping operating costs low.
  • The TTM is 0.782. The company is efficient in keeping operating costs low. +1
Trends
Current periodCompared to+/- 
MRQ0.808TTM0.782+0.025
TTM0.782YOY0.759+0.024
TTM0.7825Y0.915-0.133
5Y0.91510Y0.949-0.033
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
MRQ0.8081.623-0.815
TTM0.7821.498-0.716
YOY0.7591.104-0.345
3Y0.9771.221-0.244
5Y0.9151.127-0.212
10Y0.9491.033-0.084
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4.4.3. Liquidity of Public Packages Holdings Bhd.

4.4.3. Liquidity
4.4.3.1. Current Ratio

Measures if Public Packages Holdings Bhd is able to pay off Short-term Debt.

  • Above 1.5 is considered healthy (always compare to Packaging & Containers industry mean).
  • A Current Ratio of 10.62 means the company has RM10.62 in assets for each RM1 in short-term debts.

Let's take a look of the Current Ratio trends of Public Packages Holdings Bhd:

  • The MRQ is 10.624. The company is very able to pay all its short-term debts. +2
  • The TTM is 10.128. The company is very able to pay all its short-term debts. +2
Trends
Current periodCompared to+/- 
MRQ10.624TTM10.128+0.496
TTM10.128YOY8.599+1.529
TTM10.1285Y6.765+3.363
5Y6.76510Y5.788+0.977
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
MRQ10.6241.506+9.118
TTM10.1281.578+8.550
YOY8.5991.575+7.024
3Y8.4701.614+6.856
5Y6.7651.646+5.119
10Y5.7881.668+4.120
4.4.3.2. Quick Ratio

Measures if Public Packages Holdings Bhd is able to pay off Short-term Debt but only using the most liquid assets.

  • Above 1 is considered healthy but always compare Public Packages Holdings Bhd to the Packaging & Containers industry mean.
  • A Quick Ratio of 8.81 means the company can pay off RM8.81 for each RM1 in debt (using most liquid assets).

Let's take a look of the Quick Ratio trends of Public Packages Holdings Bhd:

  • The MRQ is 8.809. The company is very able to pay all its short-term debts with the most liquid assets. +2
  • The TTM is 14.056. The company is very able to pay all its short-term debts with the most liquid assets. +2
Trends
Current periodCompared to+/- 
MRQ8.809TTM14.056-5.248
TTM14.056YOY6.872+7.184
TTM14.0565Y8.244+5.813
5Y8.24410Y6.853+1.391
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
MRQ8.8090.687+8.122
TTM14.0560.751+13.305
YOY6.8720.792+6.080
3Y10.1160.824+9.292
5Y8.2440.872+7.372
10Y6.8530.923+5.930
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4.5.4. Solvency of Public Packages Holdings Bhd.

4.5.4. Solvency
4.5.4.1. Debt to Asset Ratio

Measures how much % of Public Packages Holdings Bhd assets are financed with debt.

  • Below 1 (100%) is considered healthy but always compare Public Packages Holdings Bhd to Packaging & Containers industry mean.
  • A Debt to Asset Ratio of 0.07 means that Public Packages Holdings Bhd assets are financed with 7.0% credit (debt) and the remaining percentage (100% - 7.0%) is financed by its owners/shareholders. 

Let's take a look of the Debt to Asset Ratio trends of Public Packages Holdings Bhd:

  • The MRQ is 0.070. The company is very able to pay all its debts by selling its assets. +2
  • The TTM is 0.076. The company is very able to pay all its debts by selling its assets. +2
Trends
Current periodCompared to+/- 
MRQ0.070TTM0.076-0.006
TTM0.076YOY0.090-0.014
TTM0.0765Y0.120-0.045
5Y0.12010Y0.149-0.029
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
MRQ0.0700.473-0.403
TTM0.0760.473-0.397
YOY0.0900.471-0.381
3Y0.0930.478-0.385
5Y0.1200.481-0.361
10Y0.1490.481-0.332
4.5.4.2. Debt to Equity Ratio

Measures if Public Packages Holdings Bhd is able to pay off its debts by using shareholders equity.

  • Below 2 is considered healthy but always compare Public Packages Holdings Bhd to the Packaging & Containers industry mean.
  • A Debt to Equity ratio of 7.5% means that company has RM0.07 debt for each RM1 in shareholders equity.

Let's take a look of the Debt to Equity Ratio trends of Public Packages Holdings Bhd:

  • The MRQ is 0.075. The company is very able to pay all its debts with equity. +2
  • The TTM is 0.082. The company is very able to pay all its debts with equity. +2
Trends
Current periodCompared to+/- 
MRQ0.075TTM0.082-0.007
TTM0.082YOY0.099-0.017
TTM0.0825Y0.139-0.057
5Y0.13910Y0.149-0.009
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
MRQ0.0750.852-0.777
TTM0.0820.881-0.799
YOY0.0990.906-0.807
3Y0.1030.916-0.813
5Y0.1390.967-0.828
10Y0.1491.000-0.851
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4.6. Market Valuation

4.6.1. Earnings Per Share
4.6.2.1. Price to Earnings Ratio

Measures how much money you pay for each share for every RM1 in earnings Public Packages Holdings Bhd generates.

  • Above 15 is considered overpriced but always compare Public Packages Holdings Bhd to the Packaging & Containers industry mean.
  • A PE ratio of 6.57 means the investor is paying RM6.57 for every RM1 in earnings.

Let's take a look of the Price to Earnings Ratio trends of Public Packages Holdings Bhd:

  • The EOD is 6.229. Based on the earnings, the company is cheap. +2
  • The MRQ is 6.567. Based on the earnings, the company is cheap. +2
  • The TTM is 5.755. Based on the earnings, the company is cheap. +2
Trends
Current periodCompared to+/- 
EOD6.229MRQ6.567-0.338
MRQ6.567TTM5.755+0.812
TTM5.755YOY4.964+0.791
TTM5.7555Y6.107-0.352
5Y6.10710Y8.282-2.174
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
EOD6.22911.462-5.233
MRQ6.56712.061-5.494
TTM5.75510.234-4.479
YOY4.96413.374-8.410
3Y5.05013.774-8.724
5Y6.10716.251-10.144
10Y8.28217.027-8.745
4.6.2.2. Price To Free Cash Flow Ratio

Let's take a look of the Price To Free Cash Flow Ratio trends of Public Packages Holdings Bhd:

  • The EOD is 6.587. Based on how much money comes from the company's main activities, the company is cheap. +2
  • The MRQ is 6.944. Based on how much money comes from the company's main activities, the company is cheap. +2
  • The TTM is 6.936. Based on how much money comes from the company's main activities, the company is cheap. +2
Trends
Current periodCompared to+/- 
EOD6.587MRQ6.944-0.357
MRQ6.944TTM6.936+0.008
TTM6.936YOY6.268+0.669
TTM6.9365Y3.565+3.372
5Y3.56510Y3.090+0.475
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
EOD6.5872.708+3.879
MRQ6.9442.598+4.346
TTM6.9361.524+5.412
YOY6.2681.964+4.304
3Y5.5453.424+2.121
5Y3.5651.787+1.778
10Y3.0902.678+0.412
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4.6.2. Book Value per Share
4.6.2.1. Price to Book Ratio

Measures if the stock price of Public Packages Holdings Bhd is to cheap or to expensive compared to its book value.

  • At or below 1 is considered healthy (always compare to Packaging & Containers industry mean).
  • A PB ratio of 0.41 means the investor is paying RM0.41 for each RM1 in book value.

Let's take a look of the Price to Book Ratio trends of Public Packages Holdings Bhd:

  • The EOD is 0.387. Based on the equity, the company is cheap. +2
  • The MRQ is 0.408. Based on the equity, the company is cheap. +2
  • The TTM is 0.471. Based on the equity, the company is cheap. +2
Trends
Current periodCompared to+/- 
EOD0.387MRQ0.408-0.021
MRQ0.408TTM0.471-0.064
TTM0.471YOY0.556-0.085
TTM0.4715Y0.592-0.121
5Y0.59210Y0.688-0.096
Compared to industry (Packaging & Containers)
PeriodCompanyIndustry (mean)+/- 
EOD0.3871.326-0.939
MRQ0.4081.272-0.864
TTM0.4711.311-0.840
YOY0.5561.467-0.911
3Y0.5031.508-1.005
5Y0.5921.712-1.120
10Y0.6881.916-1.228
4.6.2. Total Gains per Share
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6. Financial Statements




6.1. Latest Balance Sheet

Balance Sheet of 2025-06-30. Currency in MYR. All numbers in thousands.

Summary
Total Assets478,356
Total Liabilities33,369
Total Stockholder Equity444,987
 As reported
Total Liabilities 33,369
Total Stockholder Equity+ 444,987
Total Assets = 478,356

Assets

Total Assets478,356
Total Current Assets265,907
Long-term Assets212,449
Total Current Assets
Cash And Cash Equivalents 23,264
Short-term Investments 180,936
Net Receivables 39,544
Inventory 14,828
Total Current Assets  (as reported)265,907
Total Current Assets  (calculated)258,572
+/- 7,335
Long-term Assets
Property Plant Equipment 141,427
Long-term Assets  (as reported)212,449
Long-term Assets  (calculated)141,427
+/- 71,022

Liabilities & Shareholders' Equity

Total Current Liabilities25,030
Long-term Liabilities8,339
Total Stockholder Equity444,987
Total Current Liabilities
Short Long Term Debt 2,443
Accounts payable 22,409
Total Current Liabilities  (as reported)25,030
Total Current Liabilities  (calculated)24,852
+/- 178
Long-term Liabilities
Long term Debt 195
Capital Lease Obligations Min Short Term Debt1,788
Long-term Liabilities  (as reported)8,339
Long-term Liabilities  (calculated)1,983
+/- 6,356
Total Stockholder Equity
Retained Earnings 302,814
Total Stockholder Equity (as reported)444,987
Total Stockholder Equity (calculated)302,814
+/- 142,173
Other
Capital Stock133,794
Common Stock Shares Outstanding 266,697
Net Invested Capital 447,625
Net Working Capital 240,877
Property Plant and Equipment Gross 141,427



6.2. Balance Sheets Structured

Currency in MYR. All numbers in thousands.

 Trend2025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302015-12-312015-09-302015-06-30
> Total Assets 
242,000
243,000
249,000
313,170
317,598
315,910
311,295
322,632
339,828
335,931
335,306
339,632
363,270
357,796
360,672
374,842
388,644
390,901
400,231
408,580
438,542
434,026
440,372
452,199
474,442
469,994
478,356
478,356469,994474,442452,199440,372434,026438,542408,580400,231390,901388,644374,842360,672357,796363,270339,632335,306335,931339,828322,632311,295315,910317,598313,170249,000243,000242,000
   > Total Current Assets 
104,000
106,000
109,000
118,197
122,980
123,945
120,972
134,139
147,156
144,333
140,042
146,362
165,897
161,103
160,351
168,102
182,036
182,863
190,763
198,534
220,453
223,399
230,255
241,890
256,158
258,248
265,907
265,907258,248256,158241,890230,255223,399220,453198,534190,763182,863182,036168,102160,351161,103165,897146,362140,042144,333147,156134,139120,972123,945122,980118,197109,000106,000104,000
       Cash And Cash Equivalents 
12,000
12,000
43,000
15,590
26,645
25,311
21,302
26,237
80,121
28,829
21,030
21,169
75,166
27,590
25,696
29,326
37,270
36,742
34,534
28,476
26,998
28,784
23,639
25,285
24,638
20,280
23,264
23,26420,28024,63825,28523,63928,78426,99828,47634,53436,74237,27029,32625,69627,59075,16621,16921,03028,82980,12126,23721,30225,31126,64515,59043,00012,00012,000
       Short-term Investments 
23,000
27,000
1,000
25,384
0
37,730
42,514
48,761
50,497
64,256
66,060
70,209
25,149
74,629
73,253
77,951
81,054
92,719
104,745
114,506
129,350
138,096
148,858
156,444
166,240
178,143
180,936
180,936178,143166,240156,444148,858138,096129,350114,506104,74592,71981,05477,95173,25374,62925,14970,20966,06064,25650,49748,76142,51437,730025,3841,00027,00023,000
       Net Receivables 
47,000
49,000
46,000
53,948
51,828
42,817
40,985
45,003
49,502
36,933
37,833
38,930
44,341
40,504
40,470
42,132
48,013
39,123
37,531
39,031
45,371
41,549
40,455
42,462
46,431
38,328
39,544
39,54438,32846,43142,46240,45541,54945,37139,03137,53139,12348,01342,13240,47040,50444,34138,93037,83336,93349,50245,00340,98542,81751,82853,94846,00049,00047,000
       Inventory 
21,000
19,000
18,000
21,409
17,905
18,087
16,171
14,138
13,891
14,315
15,119
16,054
17,019
17,480
20,447
18,693
15,469
14,279
13,953
13,545
12,811
11,815
13,236
12,959
12,119
15,004
14,828
14,82815,00412,11912,95913,23611,81512,81113,54513,95314,27915,46918,69320,44717,48017,01916,05415,11914,31513,89114,13816,17118,08717,90521,40918,00019,00021,000
   > Long-term Assets 
0
0
0
194,973
194,711
191,965
190,323
188,493
192,672
191,598
195,264
193,270
197,373
196,693
200,321
206,740
206,608
208,038
209,468
210,046
218,089
210,627
210,117
210,309
218,284
211,746
212,449
212,449211,746218,284210,309210,117210,627218,089210,046209,468208,038206,608206,740200,321196,693197,373193,270195,264191,598192,672188,493190,323191,965194,711194,973000
       Property Plant Equipment 
0
0
0
0
159,958
158,279
156,523
154,122
157,395
155,997
159,479
157,505
144,495
142,787
142,016
148,079
146,964
147,157
147,537
147,151
143,344
143,998
141,684
143,352
142,673
141,030
141,427
141,427141,030142,673143,352141,684143,998143,344147,151147,537147,157146,964148,079142,016142,787144,495157,505159,479155,997157,395154,122156,523158,279159,9580000
       Goodwill 
1,000
1,000
1,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0000000000000000000000001,0001,0001,000
       Long Term Investments 
14,000
12,000
20,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
00000000000000000000000020,00012,00014,000
       Other Assets 
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
23,610
25,263
25,407
25,547
0
0
0
0
0
5,663
0
0
005,6630000025,54725,40725,26323,610000000000000000
> Total Liabilities 
78,000
76,000
77,000
70,320
70,891
67,158
59,355
60,590
66,491
58,909
53,768
52,180
61,891
49,083
41,444
45,877
47,358
40,985
41,626
40,093
48,338
34,246
31,417
33,154
43,784
31,699
33,369
33,36931,69943,78433,15431,41734,24648,33840,09341,62640,98547,35845,87741,44449,08361,89152,18053,76858,90966,49160,59059,35567,15870,89170,32077,00076,00078,000
   > Total Current Liabilities 
54,000
52,000
54,000
44,702
46,096
44,399
39,956
43,219
48,376
41,250
36,170
34,779
43,456
30,378
23,523
27,209
30,823
24,780
26,220
22,419
32,473
26,027
22,649
24,058
29,671
23,057
25,030
25,03023,05729,67124,05822,64926,02732,47322,41926,22024,78030,82327,20923,52330,37843,45634,77936,17041,25048,37643,21939,95644,39946,09644,70254,00052,00054,000
       Short-term Debt 
51,000
47,000
47,000
0
0
21,687
18,237
19,274
17,662
17,599
12,785
11,040
11,768
12,814
10,083
7,689
0
7,381
6,721
0
0
0
0
1,252
521
381
0
03815211,25200006,7217,38107,68910,08312,81411,76811,04012,78517,59917,66219,27418,23721,6870047,00047,00051,000
       Short Long Term Debt 
51,000
47,000
47,000
25,878
24,094
23,251
19,801
20,493
19,102
19,039
14,225
12,480
12,989
14,037
11,306
8,912
9,047
8,850
8,190
6,688
6,227
5,379
3,652
2,902
2,219
2,073
2,443
2,4432,0732,2192,9023,6525,3796,2276,6888,1908,8509,0478,91211,30614,03712,98912,48014,22519,03919,10220,49319,80123,25124,09425,87847,00047,00051,000
       Accounts payable 
17,000
18,000
10,000
14,783
10,025
17,500
15,207
16,071
9,315
16,318
16,520
16,455
13,179
14,911
11,075
17,547
20,553
14,379
16,193
14,081
19,622
19,712
18,092
20,268
30,992
20,779
22,409
22,40920,77930,99220,26818,09219,71219,62214,08116,19314,37920,55317,54711,07514,91113,17916,45516,52016,3189,31516,07115,20717,50010,02514,78310,00018,00017,000
       Other Current Liabilities 
0
0
5,000
0
0
0
0
0
0
0
0
0
0
0
0
0
-21,423
0
0
0
-19,622
0
0
0
0
0
0
000000-19,622000-21,42300000000000005,00000
   > Long-term Liabilities 
0
0
0
25,618
24,797
22,759
19,399
17,371
18,115
17,659
17,598
17,401
18,435
18,705
17,921
18,668
16,535
16,205
15,406
17,674
15,865
8,219
8,768
9,096
14,113
8,642
8,339
8,3398,64214,1139,0968,7688,21915,86517,67415,40616,20516,53518,66817,92118,70518,43517,40117,59817,65918,11517,37119,39922,75924,79725,618000
       Long term Debt Total 
0
0
0
0
0
0
0
9,467
8,994
8,355
8,275
7,865
7,726
7,672
7,153
7,794
5,405
4,824
4,163
0
0
0
0
2,421
1,585
2,374
0
02,3741,5852,42100004,1634,8245,4057,7947,1537,6727,7267,8658,2758,3558,9949,4670000000
       Other Liabilities 
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
10,874
11,130
11,381
11,243
0
0
0
0
0
0
0
0
0000000011,24311,38111,13010,874000000000000000
> Total Stockholder Equity
0
0
0
242,850
246,707
248,752
251,940
262,042
273,337
277,022
281,538
287,452
301,379
308,713
319,228
328,965
341,286
349,916
358,605
368,487
390,204
399,780
408,955
419,045
430,658
438,295
444,987
444,987438,295430,658419,045408,955399,780390,204368,487358,605349,916341,286328,965319,228308,713301,379287,452281,538277,022273,337262,042251,940248,752246,707242,850000
   Common Stock
56,000
56,000
56,000
0
94,361
94,361
94,361
94,361
94,361
94,361
94,361
94,417
94,787
94,787
132,570
133,379
133,918
133,918
133,918
0
0
0
0
133,795
133,794
133,794
0
0133,794133,794133,7950000133,918133,918133,918133,379132,57094,78794,78794,41794,36194,36194,36194,36194,36194,36194,361056,00056,00056,000
   Retained Earnings Total Equity000000000000000000000000000
   Accumulated Other Comprehensive Income 000000000000000000000000000
   Capital Surplus 000000000000000000000000000
   Treasury Stock000000000000000000000000000
   Other Stockholders Equity 
0
0
0
0
0
0
0
0
1,304
0
0
0
0
0
0
6,864
7,166
7,435
7,672
0
0
0
0
0
0
0
0
000000007,6727,4357,1666,8640000001,30400000000



6.3. Balance Sheets

Currency in MYR. All numbers in thousands.




6.4. Cash Flows

Currency in MYR. All numbers in thousands.




6.5. Income Statements

Currency in MYR. All numbers in thousands.


6.6. Latest Income Statement

Income Statement (annual), 2024-12-31. Currency in MYR. All numbers in thousands.

Gross Profit (+$)
totalRevenue206,768
Cost of Revenue-117,537
Gross Profit89,23189,231
 
Operating Income (+$)
Gross Profit89,231
Operating Expense-157,961
Operating Income48,807-68,730
 
Operating Expense (+$)
Research Development-
Selling General Administrative45,115
Selling And Marketing Expenses-
Operating Expense157,96145,115
 
Net Interest Income (+$)
Interest Income1,718
Interest Expense-468
Other Finance Cost-1,518
Net Interest Income-268
 
Pretax Income (+$)
Operating Income48,807
Net Interest Income-268
Other Non-Operating Income Expenses-
Income Before Tax (EBT)50,52548,807
EBIT - interestExpense = -468
40,973
41,441
Interest Expense468
Earnings Before Interest and Taxes (EBIT)-50,993
Earnings Before Interest and Taxes (EBITDA)-
 
After tax Income (+$)
Income Before Tax50,525
Tax Provision-9,552
Net Income From Continuing Ops40,97340,973
Net Income40,973
Net Income Applicable To Common Shares40,973
 
Non-recurring Events
Discontinued Operations-
Extraordinary Items-
Effect of Accounting Charges-
Other Items-
Non Recurring-
Other Operating Expenses-
Total Other Income/Expenses Net-268
 

Technical Analysis of Public Packages Holdings Bhd
The psychology behind the price

Technical indicators reflecting market sentiment and the collective psychology of you and other traders. Your emotions and other traders' emotions, such as fear and greed, play a significant role in driving price movements.

General trend

First of all, I'm going to put something in the back of your mind. One of the most stable factors that gives you more confidence as a trader: the general trend of Public Packages Holdings Bhd. The general trend of Public Packages Holdings Bhd is UNKNOWN with 0.0% confidence. It is very important for your mental being to use each indicator with this in mind. But beware, also the general trend flips once in a while! You can use moving averages to determine Public Packages Holdings Bhd's overall trend. For convenience I use the most commonly used moving averages: 20, 50, 100 & 200. Of course you can use other moving averages or other indicators to determine the trend.

Indicator phases

Some of the indicators I use have 3 zones: overbought, oversold and neutral. Transitions between these zones (market phases) provide valuable trading signals and insights. Expecially with the general trend mind, I use the highlighted phases:

Indicator StateBullish trend Bearish trend
Overbought to neutralBullish pullback=Bearish reversal
Upper to lower neutralBullish correction=Bearish continuation
Nuetral to oversoldOversold=Oversold
Oversold to neutralBullish reversal=Bearish correction
Lower to upper neutralBullish continuation=Bearish pullback
Nuetral to overboughtOverbought=Overbought

1. Public Packages Holdings Bhd Price Targets

1.1 Support & Resistance

Support and resistance are levels on a price chart that act as barriers or zones where the price of an asset tends to stop, reverse, or experience a significant amount of buying or selling pressure.

Support is a price level at which demand for an asset is strong enough to prevent the price from falling further.
Resistance is a price level at which selling pressure becomes significant enough to prevent the price of an asset from rising further.


Score

Let's take a look at the Support & Resistance of Public Packages Holdings Bhd.

The long score for the Support & Resistance is 0/1.
The longshort score for the Support & Resistance is 0/(-1 +1).

  • Between support/resistance: The price is trading between support and resistance lines.

The bullish price targets are: 0.66 < 0.665 < 0.675.

The bearish price targets are: 0.62 > 0.62 > 0.615.

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Public Packages Holdings Bhd Daily Support & Resistance Chart
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2. Trend Indicators

2.1 Moving Averages

Shows the moving average of the selected period.

  • Moving averages are lagging trend indicators.
  • There are many types of moving averages.
  • Moving averages are also used within other indicators.

Score

Let's take a look at the Moving Averages of Public Packages Holdings Bhd. The current mas is .

Directionalities and relatives.

Moving AverageAmount of candlesTrendPrice +/-vs. MA 50vs. MA 100vs. MA 200

Explanation: https://www.youtube.com/watch?v=xwW8h0lrQ-I

Public Packages Holdings Bhd Daily Moving Averages Chart
2.2 Moving Average Convergence/Divergence (MACD)

Shows the momentum of the selected period based on two moving averages.

  • MACD is a lagging momentum indicator.
  • Uses two moving averages.
  • Can show buy or sell signals based on momentum.
  • Can show overbought. and oversold. levels.

Score

Let's take a look at the Moving Average Convergence/Divergence (MACD) of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily Moving Average Convergence/Divergence (MACD) ChartPublic Packages Holdings Bhd Daily Moving Average Convergence/Divergence (MACD) Chart
2.3 Directional Movement Index (DMI)

The DMI is a collection of 3 indicators: +DI (Plus Direction Indicator), -DI (Minus Direction Indicator) and ADX (Average Directional Index). The ADX helps you determine the strength of a trend.


Score

Let's take a look at the Directional Movement Index (DMI) of Public Packages Holdings Bhd. The current adx is .

Public Packages Holdings Bhd Daily Directional Movement Index (DMI) Chart
2.4 Parabolic SAR

Shows the current trend and potential entry and exit signals.

  • Parabolic SAR (stop and reverse) is a lagging trend indicator.
  • Shows the current trend.
  • Shows potential entry signals.
  • Shows  potential exit signals.
  • Can be used to place trailing stoplosses..

Score

Let's take a look at the Parabolic SAR of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily Parabolic SAR Chart
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3. Momentum Indicators

3.1 Relative Strength Index (RSI)

Measures the speed and change of price movements.

  • Leading momentum indicator, meaning the signals are instant.
  • Ranges between 0 and 100.
  • Above 70 is considered overbought.
  • Below 30 is considered oversold.
  • Above or below 50 can also be used to determine price trend or support and resistance.
  • RSI divergence looks at a deviation between RSI and price movement. Penketrading automatically calculates RSI divergences.
  • Can be used in many different ways

Score

Let's take a look at the Relative Strength Index (RSI) of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily Relative Strength Index (RSI) ChartPublic Packages Holdings Bhd Daily Relative Strength Index (RSI) Chart
3.2 Stochastic Oscillator

Compares a certain price to multiple prices ranging over time.

  • Leading momentum indicator, meaning the signals are instant.
  • Used to determine overbought and oversold areas much like the RSI.
  • Ranges between 0 and 100.
  • Above 80 is considered overbought.
  • Below 20 is considered oversold.
  • Consists of two lines named K and D.
  • K compares the highest high and lowest low on the selected price range.
  • The D line is a moving average of the K line.
  • Can be used to spot divergences

Score

Let's take a look at the Stochastic Oscillator of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily Stochastic Oscillator ChartPublic Packages Holdings Bhd Daily Stochastic Oscillator Chart
3.3 Commodity Channel Index (CCI)

Measures the difference between the current price and the historical average price.

  • Lagging or leading Momentum indicator
  • When the CCI is above zero, the price is above the historical average
  • When the CCI is below zero, the price is below the historical average
  • Used for spotting trends
    • If the CCI moves from negative or near zero to positive 100 that might indicate an uptrend
    • If the CCI moves from positive or near zero to negative -100 that might indicate a downtrend

Score

Let's take a look at the Commodity Channel Index (CCI) of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily Commodity Channel Index (CCI) ChartPublic Packages Holdings Bhd Daily Commodity Channel Index (CCI) Chart
3.4 Chande Momentum Oscillator (CMO)

Measures the difference between the sum of recent gains and the sum of recent losses. Then divides the result by the sum of all price movements in that period.

  • Lagging momentum indicator
  • Ranges between +100 and -100
  • Considered overbought above +50
  • Considered oversold below -50
  • It's possible to add a moving average that acts as a signal line

Score

Let's take a look at the Chande Momentum Oscillator (CMO) of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily Chande Momentum Oscillator (CMO) ChartPublic Packages Holdings Bhd Daily Chande Momentum Oscillator (CMO) Chart
3.5 Williams %R

 Shows the current price relative to the highest high over the last 14 days.
 

  • Lagging momentum indicator
  • Ranging between 0 and -100
  • Above -20 is considered overbought
  • Below -80 is considered oversold
  • Is prone to give false signals

Score

Let's take a look at the Williams %R of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily Williams %R ChartPublic Packages Holdings Bhd Daily Williams %R Chart
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4. Volatility Indicators

4.1 Bollinger Bands

Shows if the price is to high or to low relative to an average.

  • Lagging volatility indicator
  • Uses 3 bands: one upper, one lower and one in the middle
  • Works best when the middle band reflects an intermediate trend (MA20).
  • When the price is moving closer to the upper band, the market might be overbought
  • When the price is moving closer to the lower band, the market might be oversold 

Score

Let's take a look at the Bollinger Bands of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily Bollinger Bands Chart
4.2 Average True Range (ATR)
Measures market volatility
  • Leading volatility indicator
  • Can be used to determine stop-loss positions
  • Calculated by:
    • Current high minus the current low
    • Current high minus the previous close
    • Current low minus the previous close
  • The larger the range of the candles, the greater the ATR value

Score

Let's take a look at the Average True Range (ATR) of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily Average True Range (ATR) ChartPublic Packages Holdings Bhd Daily Average True Range (ATR) Chart
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5. Volume Indicators

5.1 On-Balance Volume (OBV)

 Measures market volatility

  • Leading momentum indicator
  • Calculation:
    • If the closing price is above the previous closing price: OBV = previous OBV + current volume
    • If the closing price is below the previous closing price: OBV = previous OBV - current volume
    • If the closing price is the same as the previous closing price than the OBV is the same.
  • Can be used to confirm price trends
  • Can be used with divergences

Score

Let's take a look at the On-Balance Volume (OBV) of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily On-Balance Volume (OBV) ChartPublic Packages Holdings Bhd Daily On-Balance Volume (OBV) Chart
5.2 Money Flow Index (MFI)

Measures the flow of money in and out of a security

  • Lagging momentum indicator
  • Looks like RSI but uses volume as an extra metric (RSI only considers price)
  • Above 80 is considered overbought
  • Below 20 is considered oversold
  • Can be used with divergences

Score

Let's take a look at the Money Flow Index (MFI) of Public Packages Holdings Bhd.

Public Packages Holdings Bhd Daily Money Flow Index (MFI) ChartPublic Packages Holdings Bhd Daily Money Flow Index (MFI) Chart
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6. Summary

6.1. Notifications

TypeNotificationDate
PenkeCurrently no notifications for Public Packages Holdings Bhd.

6.2. Trading Signals

Below you will find trading signals as the indicator is commonly used. This doesn't mean you should use it that way. Learn from these, but don't use them blindly. I recommend using at least 4 indicators, 1 from each category: trend, momentum, volatility and volume.

DateIndicatorSignal
2025-04-29DMI LONG ENTRY SHORT CLOSEThe +DI crossed the -DI to the upside. The trend is reversing to an up trend.
STOCH LONG EXITThe %K line crosses below the %D line.
CCI LONG ENTRY SHORT CLOSE100 crossover to upside
MFI LONG ENTRY SHORT CLOSE80 crossover to upside
2025-05-06STOCH SHORT EXITThe %K line crosses above the %D line.
2025-05-08STOCH LONG EXITThe %K line crosses below the %D line.
2025-05-13STOCH SHORT EXITThe %K line crosses above the %D line.
BB SHORT ENTRY LONG CLOSEPrice closed above the lower band.
2025-05-14STOCH LONG EXITThe %K line crosses below the %D line.
2025-05-16STOCH SHORT EXITThe %K line crosses above the %D line.
2025-05-19STOCH LONG EXITThe %K line crosses below the %D line.
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2025-05-20WILLR LONG ENTRY SHORT CLOSE-20 crossover to upside
2025-05-21MFI SHORT ENTRY LONG CLOSE80 crossover to downside
2025-05-23DMI SHORT ENTRY LONG CLOSEThe +DI crossed the -DI to the downside. The trend is reversing to a down trend.
SAR SHORT ENTRY LONG CLOSEThe price broke the SAR to the downside
2025-05-26MACD SHORT ENTRY LONG CLOSEThe MACD line crosses below the signal line.
CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2025-05-29CCI SHORT ENTRY LONG CLOSE-100 crossover to downside
2025-05-30WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
2025-06-09DMI LONG ENTRY SHORT CLOSEThe +DI crossed the -DI to the upside. The trend is reversing to an up trend.
2025-06-10DMI SHORT ENTRY LONG CLOSEThe +DI crossed the -DI to the downside. The trend is reversing to a down trend.
STOCH LONG EXITThe %K line crosses below the %D line.
2025-06-11STOCH SHORT EXITThe %K line crosses above the %D line.
2025-06-13STOCH LONG EXITThe %K line crosses below the %D line.
CCI SHORT ENTRY LONG CLOSE-100 crossover to downside
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2025-06-16STOCH SHORT EXITThe %K line crosses above the %D line.
2025-06-20STOCH LONG EXITThe %K line crosses below the %D line.
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
2025-06-23STOCH SHORT EXITThe %K line crosses above the %D line.
2025-06-24ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
2025-06-25MFI SHORT ENTRY LONG CLOSE20 crossover to downside
2025-06-26STOCH LONG EXITThe %K line crosses below the %D line.
2025-07-01CCI SHORT ENTRY LONG CLOSE-100 crossover to downside
2025-07-02DMI LONG ENTRY SHORT CLOSEThe +DI crossed the -DI to the upside. The trend is reversing to an up trend.
SAR LONG ENTRY SHORT CLOSEThe price broke the SAR to the upside.
STOCH SHORT EXITThe %K line crosses above the %D line.
2025-07-03STOCH LONG EXITThe %K line crosses below the %D line.
2025-07-04MACD LONG ENTRY SHORT CLOSEThe MACD line crosses above the signal line.
STOCH SHORT EXITThe %K line crosses above the %D line.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
2025-07-07MFI LONG ENTRY SHORT CLOSE20 crossover to upside
2025-07-09STOCH LONG EXITThe %K line crosses below the %D line.
2025-07-10STOCH SHORT EXITThe %K line crosses above the %D line.
CCI LONG ENTRY SHORT CLOSE100 crossover to upside
WILLR LONG ENTRY SHORT CLOSE-20 crossover to upside
BB SHORT ENTRY LONG CLOSEPrice closed above the lower band.
ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
2025-07-15STOCH LONG EXITThe %K line crosses below the %D line.
2025-07-17DMI SHORT ENTRY LONG CLOSEThe +DI crossed the -DI to the downside. The trend is reversing to a down trend.
CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2025-07-21MACD SHORT ENTRY LONG CLOSEThe MACD line crosses below the signal line.
SAR SHORT ENTRY LONG CLOSEThe price broke the SAR to the downside
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2025-07-23STOCH SHORT EXITThe %K line crosses above the %D line.
2025-07-24STOCH LONG EXITThe %K line crosses below the %D line.
2025-07-25STOCH SHORT EXITThe %K line crosses above the %D line.
2025-07-28STOCH LONG EXITThe %K line crosses below the %D line.
2025-07-29CCI SHORT ENTRY LONG CLOSE-100 crossover to downside
2025-07-30ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2025-08-04STOCH LONG EXITThe %K line crosses below the %D line.
2025-08-06STOCH LONG EXITThe %K line crosses below the %D line.
CCI SHORT ENTRY LONG CLOSE-100 crossover to downside
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
2025-08-11STOCH SHORT EXITThe %K line crosses above the %D line.
2025-08-12STOCH LONG EXITThe %K line crosses below the %D line.
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
2025-08-13MACD LONG ENTRY SHORT CLOSEThe MACD line crosses above the signal line.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).
2025-08-14DMI LONG ENTRY SHORT CLOSEThe +DI crossed the -DI to the upside. The trend is reversing to an up trend.
2025-08-15DMI SHORT ENTRY LONG CLOSEThe +DI crossed the -DI to the downside. The trend is reversing to a down trend.
STOCH LONG EXITThe %K line crosses below the %D line.
CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
2025-08-18CCI SHORT ENTRY LONG CLOSE-100 crossover to downside
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2025-08-19STOCH SHORT EXITThe %K line crosses above the %D line.
2025-08-20SAR LONG ENTRY SHORT CLOSEThe price broke the SAR to the upside.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
2025-08-21SAR SHORT ENTRY LONG CLOSEThe price broke the SAR to the downside
STOCH LONG EXITThe %K line crosses below the %D line.
CCI SHORT ENTRY LONG CLOSE-100 crossover to downside
CMO SHORT ENTRY LONG CLOSEZero line crossover to downside
BB LONG ENTRY SHORT CLOSEPrice closed below the lower band.
ATR SHORT ENTRY LONG CLOSEPrice closed below (close - ATR).
2025-08-22MACD SHORT ENTRY LONG CLOSEThe MACD line crosses below the signal line.
2025-08-25MACD LONG ENTRY SHORT CLOSEThe MACD line crosses above the signal line.
STOCH SHORT EXITThe %K line crosses above the %D line.
2025-08-26MACD SHORT ENTRY LONG CLOSEThe MACD line crosses below the signal line.
STOCH LONG EXITThe %K line crosses below the %D line.
CCI SHORT ENTRY LONG CLOSE-100 crossover to downside
2025-08-28WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
BB LONG ENTRY SHORT CLOSEPrice closed below the lower band.
2025-09-03MFI SHORT ENTRY LONG CLOSE20 crossover to downside
2025-09-05STOCH LONG EXITThe %K line crosses below the %D line.
2025-09-10MACD LONG ENTRY SHORT CLOSEThe MACD line crosses above the signal line.
2025-09-11MACD SHORT ENTRY LONG CLOSEThe MACD line crosses below the signal line.
DMI LONG ENTRY SHORT CLOSEThe +DI crossed the -DI to the upside. The trend is reversing to an up trend.
STOCH LONG EXITThe %K line crosses below the %D line.
WILLR SHORT ENTRY LONG CLOSE-80 crossover to downside
2025-09-12MACD LONG ENTRY SHORT CLOSEThe MACD line crosses above the signal line.
STOCH SHORT EXITThe %K line crosses above the %D line.
CMO LONG ENTRY SHORT CLOSEZero line crossover to upside
ATR LONG ENTRY SHORT CLOSEPrice closed above (close + ATR).

6.3. Candlestick Patterns

Public Packages Holdings Bhd Daily Candlestick Chart
DateCandlestick Pattern

6.4. Technical Score

Let's check the technical score of Public Packages Holdings Bhd based on Penke's default Symbol scanner.

Penke's Symbol Scanner

  
  
IndicatorConditionValue
OpenGreater thanClose0.640
Total0/1 (0.0%)
Penke
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