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Keppel Corporation Limited

KPELY
25
Conglomerates · Industrials
Price
$17.82
+0.48 (+2.77%)
Market Cap
$16.04B
Exchange
Other OTC
Winston Score
25
Winston is worried
Below-average fundamentals — multiple weak pillars.
Data as of Aug 13, 2026 · filings through Jun 30, 2026

Keppel Corporation is a Singapore-based conglomerate that operates across several industries, including infrastructure, real estate, and asset management. Its core businesses include building offshore oil rigs and specialized vessels, managing data centers, and developing properties across Asia. The company serves energy companies, governments, and institutional investors as its main customers.

Keppel makes money through a mix of project-based engineering contracts, property sales and leases, and recurring fees from managing real estate and infrastructure funds. It operates primarily in Singapore, China, and other parts of Asia, with some presence in other regions, and generates roughly $15 billion in market value. In recent years, Keppel has been shifting its strategy away from cyclical rig-building toward more stable, fee-based asset management, which could provide steadier income — but the transition is still ongoing, and a low ROIC of 2.2% signals the business has not yet converted its assets into strong returns for shareholders.

Winston Score History

Growth Profile

When traditional metrics don't capture the full picture, these are the signals growth stock investors use instead.

Revenue Growth

+24.6% YoY

YoY Growth Rate

Steady revenue growth

EPS Growth

-57.5% YoY

YoY Growth Rate

Earnings declining

R&D Spend

$0/ year

0.0% of revenue

Below sector average (4%)

Research and development spending

Insider Activity

21.8%ownership

Insiders own a meaningful stake in the company

Cash Runway

5+ years

Quarterly Free Cash Flow

↑ Burn rate improving

$11.8B cash & investments at current burn rate

Growth context

Keppel Corporation Limited is growing revenue at 25% year-over-year. The Winston Score measures business quality today — these growth metrics show what could matter tomorrow.

The Winston Score above measures business quality today. Growth stocks often score lower because they invest in the future rather than maximising current profits. These metrics show what matters most for evaluating that future.

Share count broadly stable

0.1% over 4y

The share count has stayed roughly flat over this period — little dilution or buyback activity.

Diluted shares outstanding: 915.4M (2021) → 914.7M (2025)

Score breakdown

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Quality

Gross Margin
24.7%
Thin — 24.7% gross margin
Operating Margin
4.6%
Thin — 4.6% operating margin
ROCE
0.4%
Weak — 0.4% return on capital

ROIC between 0% and 5%. They earn a few cents back per dollar invested in the business.

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Growth

Sales YoY
N/A
Data not available
EPS YoY
N/A
Data not available
EPS Consistency
0/7 quarters
Earnings rarely grow — volatile business

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Cash Flow

Cash Conversion
N/A
Data not available
FCF Margin
N/A
Data not available

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Stability

Debt / Equity
1.05
Elevated debt (1.05)
Interest Cover
N/A
Data not available

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Valuation

P/E Ratio (TTM)
104.8x
Expensive — P/E 104.8

P/E over 35. The market is pricing in heavy, sustained growth.

P/E vs Forward
+83.3
GROWING
Earnings expected to grow meaningfully — cheaper on forward P/E (104.8 → 21.5)

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Dividends

Dividend Yield
3.25%
Moderate income — 3.25% yield

Standard yield zone for stable dividend payers. A meaningful piece of total return.

Dividend Growth
-8.4%
Dividend cut (-8.4% YoY) — warning sign

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