Kenon Holdings Ltd

Aktienanalyse zu Kenon Holdings Ltd (KEN)

$67.230

-1.600 (-2.38%)Zum Schluss

Loading chart…
High
68.370
Open
67.820
VWAP
67.59
Vol
15.82K
Mkt Cap
1.29B
Low
67.160
Amount
1.07M
EV/EBITDA, TTM
0.00

Kenon Holdings Ltd. is a Singapore-based holding company that operates dynamic, primarily growth-oriented businesses. The holdings are at various stages of development, ranging from established, cash generating businesses to early-stage companies. The Company has interests in the businesses: OPC (54.5% interest)-an owner, operator and developer of power generation facilities in the Israeli and United States power markets and ZIM (16.5% interest)-an international shipping company. OPC’s portfolio in Israel consists of OPC Rotem, approximately a 466 megawatt (MW) combined cycle power plant and OPC Hadera, a 148MW co-generation power plant. OPC’s portfolio in the United States consists of the CPV Group, a business engaged in the development, construction and management of power plants running conventional energy (powered by natural gas) and renewable energy in the United States. ZIM operates a fleet of approximately 80 container vessels, with a total container capacity of 385,000 TEUs.

AI analysis of Kenon Holdings Ltd (KEN)

buy

Kenon Holdings is a good buy right now due to its recent annual revenue growth of 16.1% to $872 million and a solid dividend yield of 4.82%. The current price of $67.23 is attractive, especially considering the stock's 1-year change of +55.55%, indicating strong long-term performance. However, investors should be cautious of the recent drop in Q1 net profit to $14 million, which is a risk factor to monitor.

Analyst Ratings (1)

Buy
1 Buy
0 Hold
0 Sell
Current: 67.23
Tief
Durchschnitt
Hoch

Bewertungskennzahlen

The current forward P/E ratio for Kenon Holdings Ltd (KEN) is 0.00, compared to its 5-year average forward P/E of 40.50.

Forward P/E

Strongly Undervalued
5Y Average P/E
40.50
Current P/E
0.00
Überbewertet
59.94
Unterbewertet
21.05

Forward EV/EBITDA

Strongly Undervalued
5Y Average EV/EBITDA
6.58
Current EV/EBITDA
0.00
Überbewertet
8.12
Unterbewertet
5.04

Forward P/S

Strongly Undervalued
5Y Average P/S
1.19
Current P/S
0.00
Überbewertet
1.59
Unterbewertet
0.80

Alphio AI Price Scenarios for KEN

Scenario prices are the last monthly forecast band of the current year. Probabilities are fixed model weights (25 / 50 / 25), not guarantees.

B

Bull

Bull · 25%KEN

$47.00

Szenariopreis

B

Base

Base · 50%KEN

$44.57

Szenariopreis

B

Bear

Bear · 25%KEN

$41.74

Szenariopreis

Whales holding KEN

H

Harel Mutual Funds Ltd.

+ HoldingKEN

-5.85%

3M Return

C

Clal Financial Management Ltd

+ HoldingKEN

-13.44%

3M Return

KEN FAQ — answered by Alphio AI

Kenon Holdings Ltd. is a Singapore-based holding company that operates dynamic, primarily growth-oriented businesses. The holdings are at various stages of development, ranging from established, cash generating businesses to early-stage companies. The Company has interests in the businesses: OPC (54.5% interest)-an owner, operator and developer of power generation facilities in the Israeli and United States power markets and ZIM (16.5% interest)-an international shipping company. OPC’s portfolio in Israel consists of OPC Rotem, approximately a 466 megawatt (MW) combined cycle power plant and OPC Hadera, a 148MW co-generation power plant. OPC’s portfolio in the United States consists of the CPV Group, a business engaged in the development, construction and management of power plants running conventional energy (powered by natural gas) and renewable energy in the United States. ZIM operates a fleet of approximately 80 container vessels, with a total container capacity of 385,000 TEUs. It operates in the Utilities sector (ELECTRIC SERVICES industry).

Kenon Holdings is a good buy right now due to its recent annual revenue growth of 16.1% to $872 million and a solid dividend yield of 4.82%. The current price of $67.23 is attractive, especially considering the stock's 1-year change of +55.55%, indicating strong long-term performance. However, investors should be cautious of the recent drop in Q1 net profit to $14 million, which is a risk factor to monitor.

1 analysts cover KEN: 1 rate it Buy, 0 Hold and 0 Sell.

Diese Seite dient nur der Recherche und ist keine Anlageberatung. Modelle können falsch liegen. Vergangene Wertentwicklung ist kein Indikator für die Zukunft.

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