Klaveness Combination Carriers ASA (KCC.OL)
- Previous Close
56.90 - Open
58.50 - Bid 58.80 x --
- Ask 59.00 x --
- Day's Range
57.90 - 59.40 - 52 Week Range
50.30 - 112.80 - Volume
83,697 - Avg. Volume
89,053 - Market Cap (intraday)
3.478B - Beta (5Y Monthly) 0.16
- PE Ratio (TTM)
4.23 - EPS (TTM)
13.87 - Earnings Date May 8, 2025
- Forward Dividend & Yield 11.35 (18.73%)
- Ex-Dividend Date Feb 19, 2025
- 1y Target Est
87.12
Klaveness Combination Carriers ASA owns and operates combination carriers for the dry bulk shipping and product tanker industries in the Middle East, Australia, Oceania, North East Asia, South America, North America, Europe, Africa, Southeast Asia, and South Asia. The company's vessels transport caustic coda solution, floating fertilizer, molasses, clean petroleum products, heavy liquid cargoes, and various types of dry bulk commodities. It owns and operates eight CABU vessels, three CABU newbuild contracts and eight CLEANBU vessels. The company was formerly known as Klaveness Combination Carriers AS and changed its name to Klaveness Combination Carriers ASA in February 2019. The company was incorporated in 2018 and is headquartered in Oslo, Norway. Klaveness Combination Carriers ASA is a subsidiary of Rederiaksjeselskapet Torvald Klaveness.
www.combinationcarriers.comRecent News: KCC.OL
View MorePerformance Overview: KCC.OL
Trailing total returns as of 5/9/2025, which may include dividends or other distributions. Benchmark is OBX Total Return Index (OBX.OL) .
YTD Return
1-Year Return
3-Year Return
5-Year Return
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Statistics: KCC.OL
View MoreValuation Measures
Market Cap
3.37B
Enterprise Value
5.12B
Trailing P/E
4.10
Forward P/E
7.62
PEG Ratio (5yr expected)
--
Price/Sales (ttm)
1.20
Price/Book (mrq)
0.91
Enterprise Value/Revenue
1.78
Enterprise Value/EBITDA
3.83
Financial Highlights
Profitability and Income Statement
Profit Margin
29.26%
Return on Assets (ttm)
9.60%
Return on Equity (ttm)
22.57%
Revenue (ttm)
278.26M
Net Income Avi to Common (ttm)
81.41M
Diluted EPS (ttm)
13.87
Balance Sheet and Cash Flow
Total Cash (mrq)
58.28M
Total Debt/Equity (mrq)
62.35%
Levered Free Cash Flow (ttm)
58.36M