Public Packages Holdings Bhd (8273) — Capital Reinvestment Ratio

Latest as of December 2025: 0.09x

Public Packages Holdings Bhd (8273) has a Capital Reinvestment Ratio of 0.09x as of December 2025, meaning it reinvests 0% of its operating cash flow (RM45.44 Million) in capital expenditures (RM3.94 Million). See Public Packages Holdings Bhd (8273) net asset quality to measure how much of total assets are equity-financed.

Capital Reinvestment Ratio

0.09x
Capex / Operating Cash Flow

Operating Cash Flow

RM45.44 Million
MYR

Capital Expenditures

RM3.94 Million
MYR

Data as of

Dec 2025
Most recent filing

Public Packages Holdings Bhd Capital Reinvestment Ratio (2012–2025)

This chart tracks Public Packages Holdings Bhd's Capital Reinvestment Ratio across 14 annual periods. Check cash flow reinvestment rate of Public Packages Holdings Bhd to assess the company's total reinvestment commitment from operating cash flow.

Annual Capital Reinvestment Ratio for Public Packages Holdings Bhd (2012–2025)

Year-by-year Capital Reinvestment Ratio for Public Packages Holdings Bhd from 2012 to 2025. For live market cap and broader valuation context, see Public Packages Holdings Bhd stock valuation.

Year Reinvestment Ratio Operating CF (MYR) Capital Expenditures YoY Change
2025 0.09x RM45.44 Million RM3.94 Million ▼ -53.8%
2024 0.19x RM45.64 Million RM8.57 Million ▲ +57.9%
2023 0.12x RM47.74 Million RM5.68 Million ▼ -61.2%
2022 0.31x RM42.15 Million RM12.94 Million ▲ +36.2%
2021 0.23x RM35.40 Million RM7.98 Million ▲ +210.7%
2020 0.07x RM41.25 Million RM2.99 Million ▼ -87.5%
2019 0.58x RM29.56 Million RM17.14 Million ▼ -55.4%
2018 1.30x RM25.06 Million RM32.57 Million ▲ +65.6%
2017 0.78x RM21.76 Million RM17.07 Million ▲ +35.4%
2016 0.58x RM21.05 Million RM12.20 Million ▲ +131.7%
2015 0.25x RM24.00 Million RM6.00 Million ▼ -15.0%
2014 0.29x RM17.00 Million RM5.00 Million ▲ +7.8%
2013 0.27x RM11.00 Million RM3.00 Million ▲ +72.7%
2012 0.16x RM19.00 Million RM3.00 Million
Capital Reinvestment Ratio = ABS(Capital Expenditures) / Operating Cash Flow