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Stock Screener·Malaysia·Industrials·0029.KL
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Digistar Corporation Berhad Stocks

MYR 0.04Last Updated 21.09.2026

Issuer Rating

3/7
Performance

Favourable

Risk

High

Recommendation

Sell

Market Cap

MYR 5.97M

MYR 0.04
Key Takeaways

Risk factor

Very high price volatility

Data is available to registered users only
Data is available to registered users only

Profitability factor

Greatly undervalued vs peers

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Data is available to registered users only
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Risks

  • Default risk
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  • Volatility
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  • Selling difficulty
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  • Stress test
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  • Country risks
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  • Other risks
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About

Digistar Corporation Berhad operates as an investment holding company, primarily offering system integration solutions throughout Malaysia. Its operations are structured into distinct segments: The Systems Integration division specializes in the design, provision, installation, and integration of a wide array of technological infrastructures. This encompasses IT infrastructure, tele-conferencing systems, local area networks, interactive media management platforms, broadcast news automation, telecommunication networks, security surveillance systems, and integrated audio-visual setups, among other related electronic technologies. The Rental and Hotel segment is involved in the leasing, maintenance, and upkeep of properties, alongside managing a health-focused television service and running a hotel. Through its Concession segment, the company undertakes the design, development, construction, and completion of facilities and infrastructure for the Jabatan Kerja Raya Training Institute, also providing asset management services. The Property Development segment is dedicated to real estate development. Additionally, Digistar's business extends to financial lending, the trade of security equipment, property management, construction services, and the distribution of information and communication technology products. The company was established in 1982 and is headquartered in Ampang, Malaysia.

Company Valuation

Greatly undervalued
7/7

Considering past and projected metrics, the stock is distinctly 'cheaper' than its peers. In particular, the stock is of fair value on EV/EBITDA, undervalued on P/FC.

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Risks

  • Default risk
    Data is available to registered users only
  • Volatility
    Data is available to registered users only
  • Selling difficulty
    Data is available to registered users only
  • Stress test
    Data is available to registered users only
  • Country risks
    Data is available to registered users only
  • Other risks
    Data is available to registered users only
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