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ARK Resources Holdings (7007) Fair Value & Analysis

Industrials · MY · Market cap 21.9M MYR

AR ARK Resources Holdings 7007 · KLSE
Price0.2000 MYR
Fair Value0.3655 MYR
Upside+82.8%
Quality40/100
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Mixed Growth
Thin margins · 1.7% net margin
Low debt · generates free cash flow
Mixed vs. peers (7/12)
Narrow moat 26/100
Evidence: High Range 0.2805 MYR – 0.4590 MYR Share as image

Fair value as of: Jul 18, 2026

From 24 valuation models · updated 23 days ago

Share price −4.8% over the past month.

Below-average quality, screening 83% undervalued on our models.

What matters now

  • The large discount to fair value meets weak quality (40/100). That raises the risk this is a value trap rather than a bargain.
  • The price is below even our cautious bear case (0.2805 MYR). The market is more pessimistic than our downside scenario.
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Price vs Fair Value (5 years)

0.7250 MYR 0.1150 MYR Fair Value 0.3655 MYR Jun 2015 Jul 2026

White line = price, green steps = our fair value per fiscal year, dashed = 300-day average. As of Jul 18, 2026.

How to read this chart

60‑month range 0.1150 MYR – 0.7250 MYR · fair‑value band 0.2805 MYR – 0.4590 MYR · the 0.2000 MYR price screens below the 0.3655 MYR fair value. Dashed = 300-day average. As of Jul 18, 2026.

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Analysis

ARK Resources Holdings (7007) currently trades at 0.2000 MYR, while our model-based Fair Value estimate is 0.3655 MYR, implying the stock looks roughly 82.8% undervalued today. The Quality Score stands at 40/100 (below-average quality), in the Industrials sector. Bull case: trading below our estimate, it may offer upside if the fundamentals hold. Bear case: a low price can be a value trap when quality is weak or the data is thin (evidence: high), always confirm before acting.

Over the trailing twelve months, ARK Resources Holdings generated revenue of 124M MYR at a net margin of 1.7%. Revenue declined 53.4% year over year. It earns a return on equity of 7.7%. The stock trades on a trailing P/E of 10.5. Fundamentals as of Jul 18, 2026

Our scenario range runs from 0.2805 MYR (bear case) to 0.4590 MYR (bull case); at 0.2000 MYR, the current price sits below that range. Bear and bull are the same models run on conservative and optimistic assumptions (margins, growth, valuation multiples), so a plausible valuation range, not a price target. The share trades about 31% below its 52-week high and 8% above its 52-week low, currently below its 200-day average. For context, the median of 10 Industrials peers we cover trades at -45% fair-value upside, at 83%, 7007 screens cheaper than that median.

Fair Value models

Each model estimates fair value its own way; the Fair Value above is the evidence-weighted blend. Evidence (0–100) measures how completely this model’s inputs are available: well-fed models carry more weight in the blend. The spread across models is intentional, each one stresses a different value driver; dividend models, for instance, come out structurally low when payout is small.

Model Bear Bear = the cautious scenario: the same model computed with conservative anchors (lower growth, margins and valuation multiples). Together with Bull it frames a plausible valuation range, not a price target.BaseBull Bull = the optimistic scenario: the same model computed with favourable anchors (higher growth, margins and valuation multiples). Together with Bear it frames a plausible valuation range, not a price target. Evidence
Highest evidence
Growth DCF 2.82 MYR 4.39 MYR 6.84 MYR 80
Residual Income 0.2100 MYR 0.2100 MYR 0.2000 MYR 76
Rev-Margin DCF 1.45 MYR 1.88 MYR 2.81 MYR 74
All 24 models by family
DCF Models
FCF DCF 3.00 MYR 4.09 MYR 7.29 MYR 38
Owner Earnings 0.5100 MYR 0.7500 MYR 1.16 MYR 31
5Y Revenue Exit 1.37 MYR 1.67 MYR 2.27 MYR 39
5Y EBITDA Exit 1.39 MYR 1.70 MYR 2.31 MYR 41
5Y P/E Exit 1.45 MYR 2.12 MYR 2.91 MYR 38
10Y Revenue Exit 1.97 MYR 2.86 MYR 3.11 MYR 36
10Y EBITDA Exit 1.98 MYR 2.89 MYR 4.13 MYR 37
10Y P/E Exit 2.02 MYR 3.01 MYR 4.35 MYR 35
Earnings-Based
Graham-Dodd 0.1400 MYR 0.9800 MYR 1.38 MYR 54
Lynch FV 0.5100 MYR 0.7200 MYR 0.9400 MYR 50
PEG = 1.0 0.5100 MYR 0.7200 MYR 0.9400 MYR 46
EPV 0.4000 MYR 0.4100 MYR 0.4200 MYR 59
Multiples
P/E Multiple 0.3300 MYR 0.4300 MYR 0.5400 MYR 63
P/S Multiple 0.2600 MYR 0.3500 MYR 0.4400 MYR 58
P/B Multiple 0.2600 MYR 0.3500 MYR 0.4400 MYR 55
EV/EBIT 0.5400 MYR 0.6300 MYR 0.7200 MYR 53
EV/EBITDA 0.5000 MYR 0.5800 MYR 0.6500 MYR 54
EV/Revenue 0.4600 MYR 0.5400 MYR 0.6300 MYR 43
Asset-Based
NCAV (Graham) 0.1400 MYR 0.1900 MYR 0.2900 MYR 50
Growth DCF
Growth DCF 2.82 MYR 4.39 MYR 6.84 MYR 80
Rev-Margin DCF 1.45 MYR 1.88 MYR 2.81 MYR 74
Economic Profit
Residual Income 0.2100 MYR 0.2100 MYR 0.2000 MYR 76
ROIC Compounder 0.4100 MYR 0.4500 MYR 0.4900 MYR 72
Growth Earnings
Growth-Adj P/E 0.6600 MYR 0.9500 MYR 1.23 MYR 68

Widest divergence: DCF Models (2.12 MYR) versus Asset-Based (0.1900 MYR). Highest evidence: Growth DCF (80).

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Key figures & financial health

Revenue (TTM) 124M MYR
Revenue growth (YoY) -53.4%
Net margin 1.7%
Return on equity 7.7%
Free cash flow 22.9M MYR FY2025
P/E ratio 10.5
More key figures
Operating margin 1.3%
EPS (TTM) 0.0200 MYR
EPS growth (YoY) +50.9%

Figures from reported company fundamentals · as of Jul 18, 2026. TTM = trailing twelve months.

Quality Score breakdown

Overall quality 40/100

Of which business quality 48 · Market factors (momentum, volatility) 27

Profitability 39
Margins and returns on capital today
Quality Growth 30
Are margins and returns improving?
Cashflow 86
Earnings quality: real cash, not paper profit
Fin. Strength 72
Balance sheet, leverage, solvency risk
Investment 33
Disciplined investing over empire-building
Low Volatility 50
Calm price path (market factor)
Momentum 19
Price trend over the last 3–12 months (market factor)
52W Momentum 17
Distance to the 52-week high (market factor)
Net Issuance 0
Buybacks instead of dilution

Non-valuation factor families (profitability, growth, cashflow, financial strength, momentum …), each academically grounded. Valuation itself sits in the Fair Value and is deliberately excluded here to avoid double-counting.

About the company

ARK Resources Holdings Berhad, an investment holding company, engages in civil, building construction, and engineering works in Malaysia. It operates through three segments: Property Development, Construction, and Management and Investment Holding.

Full company description

ARK Resources Holdings Berhad, an investment holding company, engages in civil, building construction, and engineering works in Malaysia. It operates through three segments: Property Development, Construction, and Management and Investment Holding. The company also undertakes civil, geo-technical, soil improvement, mechanical, and electrical engineering works. In addition, it engages in the property development business; provision of management services; and turnkey construction. ARK Resources Holdings Berhad was founded in 1983 and is based in Bayan Lepas, Malaysia.

Company description, as reported by the company or data provider.

Revenue & earnings trend

FY2021 – FY2025 · reported fiscal years

ARK Resources Holdings reported revenue of 124M MYR in FY2025 versus 1.1M MYR in FY2021, a compound +224.2%/yr. Reported net income was 2.1M MYR in FY2025.

Growth Quality 84/100
Revenue is growing, but margins or cash flow do not fully confirm the trend.
Latest Revenue (FY 2025)
124M MYR
Latest YoY
−23.7%
Avg. growth/yr (3Y) Measures the company's TOTAL revenue from reported annual statements: compound average growth per year (CAGR) from the fiscal year 3, 5 or N years back to the most recent comparable fiscal year. Not per share: buybacks do not change this number, and a merger can appear as a growth jump.
+157.0%
Avg. growth/yr (5Y) Measures the company's TOTAL revenue from reported annual statements: compound average growth per year (CAGR) from the fiscal year 3, 5 or N years back to the most recent comparable fiscal year. Not per share: buybacks do not change this number, and a merger can appear as a growth jump.
+159.2%
Avg. growth/yr (13Y) Measures the company's TOTAL revenue from reported annual statements: compound average growth per year (CAGR) from the fiscal year 3, 5 or N years back to the most recent comparable fiscal year. Not per share: buybacks do not change this number, and a merger can appear as a growth jump.
+18.9%
Revenue +224.2%/yr
FY21 1.1M MYR
FY22 7.3M MYR
FY23 92.4M MYR
FY24 162M MYR
FY25 124M MYR
Net income
FY21 −2.1M MYR
FY22 −819K MYR
FY23 2.2M MYR
FY24 2.9M MYR
FY25 2.1M MYR

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Cite: Fair Value Calculator (2026). "ARK Resources Holdings Fair Value". https://www.fairvalue-calculator.com/stock/7007

Peer Group

Engineering & Construction · 839 stocks

How this stock ranks against its industry: the green marker is this stock, the band is the typical 25–75% peer range, and the tick is the median.

Quality Score 40 · Below median
Fair Value upside +83% · Top 25%
Return on equity (TTM) 8% · Above median
Return on assets 1% · Below median
Net margin (TTM) 2% · Below median
Operating margin (TTM) 1% · Below median
Revenue growth -53% · Bottom 25%
Debt / equity 0.04× · Lower than median

Valuation Multiples vs Engineering & Construction median · lower = cheaper

P/E (TTM) 11.0× · Cheaper than median
P/B 0.19× · Cheaper than 75% of peers
P/S (TTM) 0.04× · Cheaper than 75% of peers
P/FCF 0.2× · Cheaper than 75% of peers

Snowflake

Five quick dimensions, each 0 to 100: VALUE (fair-value potential), FUTURE (revenue growth), PAST (return on equity), HEALTH (low debt), DIVIDEND (yield). Green = this stock, grey = typical sector peer.

VALUE 100 · sector 16
FUTURE 0 · sector 17
PAST 31 · sector 26
HEALTH 98 · sector 94
DIVIDEND 0 · sector 33

Values & ESG

Does this company touch areas you may want to avoid? The classification is inferred from sector and industry.

None of the checked exposures detected

ESG scores are not available for this stock yet. Values and ESG data are contextual and can differ between providers.

Similar stocks

10 more Engineering & Construction stocks, each showing price versus our Fair Value estimate (as of Jul 18, 2026).

Stock Price Fair Value vs Fair Value
Larsen & Toubro Limited LT ₹3,815 ₹1,994 -48%
Samsung C&T Corporation 028260 346,000 KRW 268,779 KRW -22%
Hyundai Engineering & Construction Co 000720 99,000 KRW 63,993 KRW -35%
United Integrated Services Co 2404 1,250 TWD 925.62 TWD -26%
Samsung E&A Co 028050 42,550 KRW 44,840 KRW +5%
Rail Vikas Nigam Limited RVNL ₹232.67 ₹61.46 -74%
Daewoo Engineering & Construction Co 047040 16,240 KRW 6,507 KRW -60%
NBCC (India) Limited NBCC ₹96.32 ₹48.22 -50%
Cemindia Projects Limited CEMPRO ₹1,330 ₹730.69 -45%
KEPCO Engineering & Construction Company 052690 92,700 KRW 20,172 KRW -78%

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Frequently asked questions

Is ARK Resources Holdings (7007) overvalued or undervalued?
As of Jul 18, 2026, our model estimates a fair value of 0.3655 MYR versus a price of 0.2000 MYR, about +83% (undervalued).
What is the fair value of 7007?
Our model-based fair value for ARK Resources Holdings is 0.3655 MYR (as of Jul 18, 2026), built from audited fundamentals. The current price is 0.2000 MYR.
What is the quality score of 7007?
ARK Resources Holdings has a Quality Score of 40/100. It measures business quality (profitability, growth, cash flow, balance-sheet strength, investment discipline, share issuance). Market factors such as price momentum and volatility do not enter the number; they are shown separately in the detail view.
What is the revenue of ARK Resources Holdings (7007)?
ARK Resources Holdings reported trailing-twelve-month revenue of about 124M MYR (latest available figure, as of Jul 18, 2026).
What is the net profit margin of 7007?
The net profit margin of ARK Resources Holdings is about 1.7%, meaning it keeps roughly 1.7% of revenue as net income. Based on the latest reported figures.

How we calculate Fair Value

Each company is valued through a stack of independent intrinsic-value models (DCF variants, residual-income, multiples and more), blended into one family-balanced consensus and weighted by how much trustworthy data backs it. A separate quality layer scores the fundamentals. Every input is real reported data, nothing guessed.

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