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FGL

Founder Group Limited

Price Chart
Latest Quote

$0.94

-0.32 (-25.40%)
Current Price
Previous Close $1.26
Open $1.22
Day High $1.25
Day Low $0.89
Volume 203,458
Fetched: 2026-07-17T00:29:49
Stock Information
Note: Financial values converted from MYR to USD
Shares Outstanding 1.05M
Total Debt $31.33M
Cash Equivalents $19.61M
Revenue $29.49M
Net Income $-1.90M
Sector Industrials
Industry Engineering & Construction
Market Cap $1.17M
EPS (TTM) $-6.55
Exchange NCM
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📊 Comprehensive Analysis
Company Data
Enterprise Value$81.67M
Sales$29.49M
Income$-1.90M
Book/sh$0.23
Cash/sh$76.25
Employees76
Financial Ratios
Quick Ratio1.01
Current Ratio1.16
Debt/Eq423.78
Returns & Margins
ROA-0.87%
ROE-32.77%
Gross Margin11.58%
Operating Margin-2.52%
Profit Margin-6.43%
Ownership
Insider Ownership9.78%
Institutional Ownership0.40%
Insider & Institutional transactions data not available
Valuation Ratios
P/S0.01
P/B4.53
Analyst Data
Recommendationnone
Technical Indicators
SMA20$1.39
SMA50$1.72
SMA200$15.52
RSI30.34
ATR0.1585
Shares Float6.20M
Short Float1.86%
Short Ratio0.03
Rel Volume1.55
Performance History
Week-24.44%
Month-43.33%
Quarter-49.50%
6 Months-92.92%
YTD-93.74%
Year-98.95%
10 Years-99.68%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-07-17 $1.02 280,800
2026-07-16 $0.94 222,300
2026-07-15 $1.26 1,365,900
2026-07-14 $1.22 54,100
2026-07-13 $1.29 24,300
2026-07-10 $1.35 30,200
2026-07-09 $1.40 50,100
2026-07-08 $1.43 27,600
2026-07-07 $1.41 20,000
2026-07-06 $1.43 28,300
2026-07-02 $1.46 28,400
2026-07-01 $1.49 30,100
2026-06-30 $1.40 24,600
2026-06-29 $1.41 40,700
2026-06-26 $1.37 27,400
2026-06-25 $1.43 623,900
2026-06-24 $1.43 92,600
2026-06-23 $1.67 83,300
2026-06-22 $1.70 58,600
2026-06-18 $1.76 519,900
About Founder Group Limited

Founder Group Limited provides engineering, procurement, construction, and commissioning solutions (EPCC) for solar projects and commercial and industrial solar projects in Malaysia. It operates through the Large-scale solar, and Commercial & Industrial segments. The company offers engineering and design services for solar PV array, including inverters, transformers, and interconnection to the power grid; procurement of construction materials and equipment for the solar PV facilities, including solar PV modules and balance of systems; and construction services, including civil, structural, mechanical, and electrical works, installation, integration of equipment, and interconnection to the power grid. It also provides commissioning, including testing of equipment and systems and testing of the installed solar PV facilities. In addition, the company engages in the installation, testing, and commissioning of PV modules, inverters, DC cables, and related works; supply of PV mounting structures; piling work; and operation and maintenance services. Founder Group Limited was founded in 2021 and is based in Klang, Malaysia.

Period:
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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $25,796,292 $20,559,081 $31,981,348 $13,468,886
Cost Of Revenue $26,217,790 $20,661,373 $31,986,495 $13,468,886
Total Revenue $29,651,790 $22,194,961 $36,372,430 $15,602,375
Operating Revenue $29,651,790 $22,194,961 $36,372,430 $15,602,375
Expenses
Interest Expense $1,320,274 $507,701 $368,892 $80,908
Total Expenses $30,212,832 $22,525,299 $33,459,834 $14,308,574
Other Income Expense $443,143 $-568,927 $-138,659 $62,110
Other Non Operating Income Expenses $45,057 $200,632 $25,344 $27,570
Net Non Operating Interest Income Expense $-1,271,535 $-488,881 $-368,054 $-80,579
Total Other Finance Cost $10,207 $6,387 $10,772 -
Interest Expense Non Operating $1,320,274 $507,701 $368,892 $80,908
Operating Expense $3,995,042 $1,863,926 $1,473,339 $839,688
General And Administrative Expense $3,672,373 $1,755,478 $1,354,645 -
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-1,907,162 $-1,265,202 $1,755,821 $968,801
Net Interest Income $-1,271,535 $-488,881 $-368,054 $-80,579
Interest Income $58,947 $25,207 $11,609 $329
Normalized Income $-2,208,378 $-563,800 $1,875,510 $942,563
Net Income From Continuing And Discontinued Operation $-1,907,162 $-1,265,202 $1,755,821 $968,801
Total Operating Income As Reported $-521,965 $-1,377,652 $2,740,278 $1,293,801
Net Income Common Stockholders $-1,907,162 $-1,265,202 $1,755,821 $968,801
Net Income $-1,907,162 $-1,265,202 $1,755,821 $968,801
Net Income Including Noncontrolling Interests $-1,907,162 $-1,265,202 $1,755,821 $968,801
Net Income Continuous Operations $-1,907,162 $-1,265,202 $1,755,821 $968,801
Pretax Income $-1,389,433 $-1,388,146 $2,405,883 $1,275,332
Special Income Charges $247,228 $-718,587 $-72,909 -
Earnings From Equity Interest $1,750 $0 $0 -
Interest Income Non Operating $58,947 $25,207 $11,609 $329
Operating Income $-561,042 $-330,338 $2,912,596 $1,293,801
Depreciation Amortization Depletion Income Statement $222,483 $87,359 $74,249 -
Depreciation And Amortization In Income Statement $222,483 $87,359 $74,249 -
Depreciation Income Statement $222,483 $87,359 $74,249 -
Gross Profit $3,434,001 $1,533,588 $4,385,935 $2,133,489
Per Share
Diluted EPS $-6.63 $-6.88 $10.38 $6.14
Basic EPS $-6.63 $-6.88 $10.38 $6.14
Other
Tax Effect Of Unusual Items $95,121 $-68,158 $-44,313 $8,302
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $178,486 $78,766 $3,018,173 $1,423,810
Total Unusual Items $396,336 $-769,560 $-164,002 $34,540
Total Unusual Items Excluding Goodwill $396,336 $-769,560 $-164,002 $34,540
Reconciled Depreciation $643,981 $189,651 $79,396 $102,110
EBITDA (Bullshit earnings) $574,823 $-690,794 $2,854,171 $1,458,350
EBIT $-69,158 $-880,445 $2,774,775 $1,356,240
Diluted Average Shares $81,154 $43,398 $41,564 $41,564
Basic Average Shares $76,855 $43,398 $41,564 $38,570
Diluted NI Availto Com Stockholders $-1,907,162 $-1,265,202 $1,755,821 $968,801
Tax Provision $517,730 $-122,944 $650,062 $306,531
Write Off $-247,228 $718,587 $72,909 -
Gain On Sale Of Security $149,108 $-50,973 $-91,093 $34,540
Other Taxes $100,186 $21,088 $44,445 -
Selling General And Administration $3,672,373 $1,755,478 $1,354,645 $839,688
Other Gand A $1,862,103 $545,416 $522,094 -
Insurance And Claims $127,110 $89,013 $38,137 -
Salaries And Wages $1,683,160 $1,121,049 $794,413 -
Minority Interests - - - $0
Fetched: 2026-07-16
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $7,433,082 $4,206,235 $3,633,377 $1,876,534
Total Assets $46,615,552 $28,078,156 $20,605,213 $8,440,319
Total Non Current Assets $6,463,209 $7,339,388 $1,133,816 $135,757
Non Current Deferred Assets $43,191 $18,180 $18,180 -
Non Current Deferred Taxes Assets $43,191 $18,180 $18,180 -
Non Current Accounts Receivable $370,653 $608,952 $654,929 -
Current Assets $40,152,343 $20,738,768 $19,471,398 $8,304,562
Other Current Assets $175 - - -
Prepaid Assets $4,267,234 $3,121,024 $870,906 $396,428
Inventory $603,836 $749,148 $457,913 $390,109
Receivables $15,567,755 $13,453,297 $16,766,790 $5,495,732
Receivables Adjustments Allowances $-551,035 $-142,593 $-6,768 $-6,768
Other Receivables $10,399,586 $8,549,205 $12,827,674 $4,573,092
Taxes Receivable $0 $186,351 $0 -
Accounts Receivable $5,115,499 $4,265,691 $3,157,981 $920,190
Cash Cash Equivalents And Short Term Investments $19,713,342 $3,415,299 $1,375,789 $2,022,294
Cash And Cash Equivalents $19,713,342 $3,415,299 $1,375,789 $2,022,294
Cash Financial $19,713,342 $3,415,299 $1,375,789 $2,022,294
Other Non Current Assets - - $-0 -
Current Deferred Assets - - $18,180 $0
Current Deferred Taxes Assets - - $18,180 $0
Debt
Net Debt $11,510,042 $5,131,528 $4,694,502 -
Total Debt $31,499,792 $8,791,961 $6,123,268 $1,112,431
Long Term Debt And Capital Lease Obligation $4,419,783 $631,561 $217,434 $12,334
Long Term Debt $4,294,092 $473,675 $199,296 -
Current Debt And Capital Lease Obligation $27,080,010 $8,160,399 $5,905,834 $1,100,098
Current Debt $26,929,292 $8,073,152 $5,870,994 $1,076,406
Other Current Borrowings $26,747,887 $7,713,098 $5,870,994 $1,076,406
Liabilities
Total Liabilities Net Minority Interest $39,182,470 $23,871,921 $16,971,836 $6,563,785
Total Non Current Liabilities Net Minority Interest $4,419,783 $631,561 $217,434 $30,837
Current Liabilities $34,762,687 $23,240,359 $16,754,402 $6,532,948
Current Deferred Liabilities $511,149 $201,187 $32,967 $207,035
Payables And Accrued Expenses $7,057,504 $14,710,965 $10,729,853 $5,193,424
Payables $7,057,504 $14,710,965 $10,729,853 $5,193,424
Other Payable $1,573,933 $7,447,367 $192,338 $12,653
Total Tax Payable $25,555 $392 $421,120 $38,642
Income Tax Payable $25,555 $392 $421,120 $38,642
Accounts Payable $4,499,511 $6,730,577 $9,438,367 $4,567,405
Non Current Deferred Liabilities - - $0 $18,503
Non Current Deferred Taxes Liabilities - - $0 $18,503
Equity
Common Stock Equity $7,433,082 $4,206,235 $3,633,377 $1,876,534
Total Equity Gross Minority Interest $7,433,082 $4,206,235 $3,633,377 $1,876,534
Stockholders Equity $7,433,082 $4,206,235 $3,633,377 $1,876,534
Gains Losses Not Affecting Retained Earnings $299,455 $451,344 $420,427 $419,405
Other Equity Adjustments $299,455 $451,344 $420,427 $419,405
Retained Earnings $23,565 $1,930,727 $3,195,929 $1,440,108
Long Term Equity Investment $472,614 $0 - -
Other
Ordinary Shares Number $81,154 $43,398 $41,564 $41,564
Share Issued $81,154 $43,398 $41,564 $41,564
Tangible Book Value $7,433,082 $4,206,235 $3,633,377 $1,876,534
Invested Capital $38,656,466 $12,753,061 $9,703,668 $2,952,941
Working Capital $5,389,655 $-2,501,592 $2,716,996 $1,771,614
Capital Lease Obligations $276,408 $245,134 $52,978 $36,025
Total Capitalization $11,727,174 $4,679,910 $3,832,674 $1,876,534
Minority Interest $0 $0 - -
Capital Stock $7,110,062 $1,824,163 $17,021 $17,021
Common Stock $7,110,062 $1,824,163 $17,021 $17,021
Long Term Capital Lease Obligation $125,690 $157,887 $18,138 $12,334
Current Deferred Revenue $511,149 $201,187 $32,967 $207,035
Current Capital Lease Obligation $150,717 $87,248 $34,840 $23,691
Line Of Credit $181,405 $360,054 $0 -
Pensionand Other Post Retirement Benefit Plans Current $114,024 $167,808 $85,747 $32,392
Dueto Related Parties Current $958,505 $532,629 $678,028 $574,724
Investments And Advances $472,614 $0 - -
Investmentsin Associatesat Cost $472,614 $0 - -
Net PPE $5,576,751 $6,712,256 $460,708 $135,757
Accumulated Depreciation $-905,180 $-343,035 $-205,053 $-154,754
Gross PPE $6,481,931 $7,055,292 $665,760 $290,511
Construction In Progress $208,581 $157,749 $0 -
Other Properties $88,966 $14,590 $9,967 $9,967
Machinery Furniture Equipment $6,015,397 $6,701,343 $603,279 $245,765
Buildings And Improvements $168,987 $181,610 $52,515 $34,780
Properties $0 $0 $0 $0
Duefrom Related Parties Current $603,705 $594,643 $787,903 $9,218
Fetched: 2026-07-16
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $-10,284,032 $-1,815,575 $-4,579,192 $-660,656
Operating Activities
Operating Cash Flow $-10,081,027 $-1,505,387 $-4,221,678 $-620,890
Cash Flow From Continuing Operating Activities $-10,081,027 $-1,505,387 $-4,221,678 $-620,890
Operating Gains Losses $-56,738 $-19,492 $829 $-30,397
Investing Activities
Capital Expenditure $-203,005 $-310,188 $-357,514 $-39,766
Investing Cash Flow $-1,947,130 $-1,321,394 $-1,053,128 $-230,355
Cash Flow From Continuing Investing Activities $-1,947,130 $-1,321,394 $-1,053,128 $-230,355
Net Other Investing Changes $-1,330,457 $-1,036,413 $-707,223 $-190,589
Financing Activities
Issuance Of Capital Stock $20,856,385 $1,807,142 $0 $0
Financing Cash Flow $27,092,351 $3,419,414 $3,920,884 $2,339,815
Cash Flow From Continuing Financing Activities $27,092,351 $3,419,414 $3,920,884 $2,339,815
Net Other Financing Charges $476,058 $47,861 $-675,381 $1,366,763
Cash Dividends Paid $0 $0 $0 $0
Net Common Stock Issuance $20,856,385 $1,807,142 $0 $0
Common Stock Issuance $20,856,385 $1,807,142 $0 $0
Other
Repayment Of Debt $-88,933 $-50,362 $-30,954 $-25,058
Issuance Of Debt $7,057,585 $2,116,482 $4,993,884 $1,076,406
End Cash Position $16,267,254 $1,121,019 $477,976 $1,831,704
Beginning Cash Position $1,121,019 $477,976 $1,831,704 $316,865
Effect Of Exchange Rate Changes $82,040 $50,410 $193 $26,270
Changes In Cash $15,064,195 $592,633 $-1,353,922 $1,488,570
Interest Paid Cff $-1,208,745 $-501,709 $-366,664 $-78,296
Net Issuance Payments Of Debt $6,968,653 $2,066,120 $4,962,929 $1,051,348
Net Long Term Debt Issuance $6,968,653 $2,066,120 $4,962,929 $1,051,348
Long Term Debt Payments $-88,933 $-50,362 $-30,954 $-25,058
Long Term Debt Issuance $7,057,585 $2,116,482 $4,993,884 $1,076,406
Interest Received Cfi $58,947 $25,207 $11,609 $0
Net Business Purchase And Sale $-472,614 $0 $0 -
Purchase Of Business $-472,614 $0 $0 -
Net PPE Purchase And Sale $-203,005 $-310,188 $-357,514 $-39,766
Purchase Of PPE $-203,005 $-310,188 $-357,514 $-39,766
Taxes Refund Paid $-331,227 $-484,135 $-304,267 $-294,804
Change In Working Capital $-9,961,708 $-1,011,615 $-6,832,558 $-1,760,807
Change In Payables And Accrued Expense $-7,154,416 $-1,104,236 $5,127,959 $3,348,386
Change In Payable $-7,154,416 $-1,104,236 $5,127,959 $3,348,386
Change In Account Payable $-2,231,066 $-2,707,790 $4,870,963 $3,299,015
Change In Inventory $145,311 $-291,235 $-67,804 $-236,617
Change In Receivables $-2,952,603 $383,856 $-11,694,689 $-5,019,992
Changes In Account Receivables $-321,640 $-1,455,372 $-2,928,912 $-821,251
Other Non Cash Items $1,261,328 $481,711 $356,130 $80,908
Provisionand Write Offof Assets $408,442 $135,825 $0 $6,768
Asset Impairment Charge $-655,671 $590,815 $72,909 $0
Depreciation Amortization Depletion $643,981 $189,651 $79,396 $102,110
Depreciation And Amortization $643,981 $189,651 $79,396 $102,110
Depreciation $643,981 $189,651 $79,396 $102,110
Net Foreign Currency Exchange Gain Loss $-56,738 $-19,492 $829 $-30,397
Net Income From Continuing Operations $-1,389,433 $-1,388,146 $2,405,883 $1,275,332
Change In Other Working Capital - - $-198,024 $147,416
Change In Tax Payable - - $382,478 $11,727
Change In Income Tax Payable - - $382,478 $11,727
Deferred Tax - - - $0
Deferred Income Tax - - - $0
Fetched: 2026-07-16