The company's competitors: BRK-A, JNJ, GE, MMM, ITW, IX, DOV, PAGP, BZ, LBRDA, SWX, CSW, GFF, OTTR, BBUC, PAM, MDU, PCH, CSAN, NWL, BBU, FORTY, TRS, ZD, SPB, TIPT, SOS, RHLD, CODI, VHI, TRC, GNE, UPXI, BBCP, PRTC, BW, USBC, NL, STEX, MERC, LGO, LITS, GEG, VATE, MGLD, STRR, UG, SNYR, HTCR, NXPL, YHGJ, PLAG, JCTC, BNC, NUAI, DSS, ARBB, GBR, TANH, UK, HE, AULT, CSWI, IDEX, JCTCF, SING, SPLP, VGR, VINO, RHLDV, IPST

GURU.Markets stock price, segment price, and overall market index valuation

The company's share price Kenon Holdings Ltd.

Kenon Holdings is a holding company with diversified assets, including stakes in an energy company and a Chinese automobile manufacturer. Its share price reflects the value of these disparate assets and may not fully reflect their combined value (holding discount).

Share prices of companies in the market segment - Holding

Kenon is a diversified holding company whose primary asset is a large stake in the Chinese automaker Qoros, along with other investments. We classify it in the Holdings sector, and the chart below reflects the performance of its diverse holdings, particularly in the automotive sector.

Broad Market Index - GURU.Markets

Kenon Holdings is a diversified holding company with assets in energy and shipping. Its broad focus makes it a prominent component of the GURU.Markets index. The chart below represents the entire market. Find out how Kenon compares to the overall market.

Change in the price of a company, segment, and market as a whole per day

KEN - Daily change in the company's share price Kenon Holdings Ltd.

The volatility of Kenon, a Singapore-based holding company with assets in energy and shipping, reflects the state of these diverse industries. Change_co measures complex sensitivity to energy prices and freight rates. This parameter is important for formulas on System.GURU.Markets that analyze diversified holdings.

Daily change chart of the company's share price Kenon Holdings Ltd.
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Daily change in the price of a set of shares in a market segment - Holding

Kenon Holdings Ltd. is a diversified holding. This chart shows average daily volatility. Comparing it to KEN, with assets ranging from energy to shipping, helps assess how diversification and geographic risks impact its stability.

Graph of daily price changes for a set of shares in a market segment - Holding
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Daily change in the price of a broad market stock, index - GURU.Markets

Kenon is a diversified holding company with assets in energy and shipping. Its complex structure creates a unique risk profile. The chart below shows overall market volatility, which is interesting to compare with Kenon's approach.

Daily chart of changes in the price of broad market stocks, index - GURU.Markets
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Dynamics of market capitalization of the company, segment and the market as a whole over 12 months

Annual dynamics of the company's market capitalization Kenon Holdings Ltd.

Kenon is a diversified holding company with interests in various industries. Its share price performance represents the combined effect of these diverse businesses and contributes uniquely to the complex and multifaceted picture of overall market volatility.

Chart of the annual dynamics of the company's market capitalization Kenon Holdings Ltd.
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Annual dynamics of market capitalization of the market segment - Holding

Kenon Holdings Ltd. is a diversified holding company with assets in energy and shipping. Its value often trades at a discount to the sum of its parts. The chart shows how the market views this complex structure and its dependence on two distinct, yet cyclical, industries.

Graph of annual dynamics of market capitalization of a market segment - Holding
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Annual dynamics of market capitalization of broad market stocks, index - GURU.Markets

Kenon is a holding company with concentrated bets on several businesses, including energy and shipping. Its stock performance is the sum of several unrelated cycles, often trading at a "holding discount." The chart doesn't reflect the market as a whole, but rather the successes and failures of its specific investments.

Chart of the annual dynamics of the market capitalization of broad market stocks, index - GURU.Markets
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Dynamics of market capitalization of the company, segment and the market as a whole for the month

Monthly dynamics of the company's market capitalization Kenon Holdings Ltd.

Kenon, a diversified holding company with core assets in shipping (ZIM) and energy. The monthly fluctuations on the chart are the sum of very different stories: volatile container shipping rates and the performance of its power plants.

Chart of monthly dynamics of the company's market capitalization Kenon Holdings Ltd.
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Monthly dynamics of market capitalization of the market segment - Holding

Holding companies with diversified assets are valued as the sum of their parts. The chart below shows the average performance of the sectors in which they operate. It reflects general market trends affecting conglomerates like Kenon Holdings, whose stability depends on the effective management of their diverse businesses.

Chart of monthly dynamics of market capitalization of a market segment - Holding
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Monthly dynamics of market capitalization of broad market stocks, index - GURU.Markets

Kenon Holdings is a diversified holding company with assets in energy and shipping. Its share price is the sum of the values ​​of its subsidiaries. The holding's performance is a complex mix of trends across various industries, which can smooth out overall market fluctuations.

Chart of monthly dynamics of market capitalization of broad market stocks, index - GURU.Markets
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Dynamics of market capitalization of the company, segment and the market as a whole for the week

Weekly dynamics of the company's market capitalization Kenon Holdings Ltd.

Kenon Holdings Ltd. is a holding company whose primary assets are stakes in the energy company OPC Energy and the shipping company ZIM. Its weekly share price performance is the sum of the fluctuations of these two distinct businesses, making it vulnerable to electricity prices and shipping rates.

Chart of the weekly dynamics of the company's market capitalization Kenon Holdings Ltd.
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Weekly dynamics of market capitalization of the market segment - Holding

Kenon Holdings, as a holding company with assets in energy and shipping, has a performance that is a combination of these two distinct sectors. This distinguishes it from "pure" energy or shipping companies. The chart shows how this diversification affects its volatility and how it compares to each of its underlying sectors.

Weekly market capitalization dynamics chart for a market segment - Holding
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Weekly dynamics of market capitalization of stocks of the broad market, index - GURU.Markets

Kenon Holdings is an Israeli holding company with assets in energy and shipping. Its diversified yet concentrated portfolio makes its shares volatile and sensitive to industry-specific news. The chart illustrates this disconnect from the broader market.

Weekly market capitalization chart of broad market stocks, index - GURU.Markets
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Market capitalization of the company, segment and market as a whole

KEN - Market capitalization of the company Kenon Holdings Ltd.

The market capitalization of Kenon Holdings, a holding company, reflects the value of its various assets, primarily its stakes in Chinese automaker Qoros and energy company OPC Energy. Its price chart often trades at a discount to the sum of its parts, and its movements reflect news related to its key investments.

Company market capitalization chart Kenon Holdings Ltd.
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KEN - Share of the company's market capitalization Kenon Holdings Ltd. within the market segment - Holding

Kenon Holdings Ltd. is a diversified holding company, the largest share of whose market capitalization comes from its controlling stake in the Chinese automaker Qoros and the energy company OPC Energy. The company's value reflects the valuation of these key assets.

Company Market Capitalization Share Chart Kenon Holdings Ltd. within the market segment - Holding
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Market capitalization of the market segment - Holding

The chart below shows the total value of the diversified holdings sector. Kenon Holdings is a Singaporean conglomerate with assets in energy and shipping. Its market valuation is the combined value of its subsidiaries. The performance of such holdings often reflects specific trends in the industries in which they operate, rather than the overall economic picture.

Market segment market capitalization chart - Holding
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Market capitalization of all companies included in a broad market index - GURU.Markets

Kenon Holdings is a holding company with stakes in diverse businesses, from energy to shipping. Its capitalization is the sum of its asset values, making it a kind of mini-fund. The chart below shows the economic weight of such diversified entities.

A chart of the market capitalization of all companies included in the broad market index. - GURU.Markets
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Book value capitalization of the company, segment and market as a whole

KEN - Book value capitalization of the company Kenon Holdings Ltd.

Kenon Holdings' book value is derived from its stakes in several large industrial companies, primarily the energy company OPC Energy and shipping company ZIM. This is the foundation of a diversified holding company. The chart reflects the complex dynamics of its asset values, each operating according to the laws of its own cyclical industry.

Company balance sheet capitalization chart Kenon Holdings Ltd.
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KEN - Share of the company's book capitalization Kenon Holdings Ltd. within the market segment - Holding

Kenon Holdings is a holding company with diversified assets. The chart shows its combined stake in physical infrastructure across various sectors, such as energy and shipping. Its strategy is to own and develop large physical businesses.

Chart of the company's book capitalization share Kenon Holdings Ltd. within the market segment - Holding
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Market segment balance sheet capitalization - Holding

Kenon Holdings Ltd. is a diversified holding company with highly capital-intensive assets. Its portfolio includes energy companies (power plants) and shipping businesses (container ships), industries with some of the most complex balance sheets. Kenon stands out from other holding companies for its focus on industrial infrastructure.

Market segment balance sheet capitalization chart - Holding
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Book value of all companies included in the broad market index - GURU.Markets

Kenon Holdings' balance sheet is a diversified portfolio of real assets. At its core are power plants in Israel and one of China's largest automakers. The company's assets are not just stocks, but stakes in massive industrial and energy assets. The chart shows the cumulative scale of these global investments.

Chart of book value of all companies included in the broad market index - GURU.Markets
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The ratio of market capitalization to book capitalization of a company, segment, and the market as a whole

Market capitalization to book capitalization ratio - Kenon Holdings Ltd.

Kenon Holdings is a diversified holding company with stakes in energy and transportation companies. Its book value is the accounting valuation of these stakes. Market capitalization reflects how investors view the prospects of each of these businesses and whether they believe the value of the whole is greater than the sum of its parts.

Market to Book Capitalization Ratio Chart - Kenon Holdings Ltd.
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Market to book capitalization ratio in a market segment - Holding

Kenon Holdings is a holding company with assets in energy and shipping. Its market value is the sum of the valuations of its subsidiaries plus a premium or discount for the holding structure. This metric reflects how investors value this diversified portfolio relative to its total book value.

Market to book capitalization ratio chart for a market segment - Holding
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Market to book capitalization ratio for the market as a whole

Kenon Holdings is a holding company with assets in energy and shipping. Its value is the sum of the market valuations of its subsidiaries, which may differ from their combined book value. This chart shows how investors view this diversified portfolio and the holding's strategy against the overall market.

Market to book capitalization ratio chart for the overall market
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Debts of the company, segment and market as a whole

KEN - Company debts Kenon Holdings Ltd.

Kenon Holdings is a holding company with diversified assets, primarily in energy and shipping. The holding's debt structure often reflects the capital needs of its subsidiaries, whether it's constructing a new power plant or expanding its fleet. This chart shows how the company allocates capital across its assets.

Company debt schedule Kenon Holdings Ltd.
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Market segment debts - Holding

Kenon Holdings is a holding company with assets in energy and shipping, both highly capital-intensive industries. The holding's debt structure reflects the financial policies of its subsidiaries. This chart provides an overview of the overall level of financial leverage that management considers appropriate for managing its diversified and cyclically sensitive portfolio.

Market segment debt schedule - Holding
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Market debt in general

Market debt chart as a whole
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Debt to book value of the company, segment and market as a whole

The company's debt to book capitalization ratio Kenon Holdings Ltd.

Kenon Holdings is a holding company with interests primarily in energy and shipping companies. This chart shows the financial structure of a diversified holding company. Debt levels here can be both at the corporate level and within subsidiaries, and reflect the overall strategy for allocating capital across various assets.

A graph of a company's debt to book value Kenon Holdings Ltd.
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Market segment debt to market segment book capitalization - Holding

Kenon Holdings is a diversified holding company with assets in energy and shipping, both capital-intensive industries. This chart illustrates how similar holding companies generally manage debt in their subsidiaries. It allows us to assess how well Kenon's centralized financial policy aligns with the specifics and cycles of the industries in which it operates.

Market segment debt to market segment book value graph - Holding
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Debt to book value of all companies in the market

Kenon Holdings is a diversified holding company with capital-intensive assets. This chart illustrates how the entire economy uses debt. It allows us to assess how the holding company's strategy for financing its energy and shipping subsidiaries is influenced by overall conditions in global capital markets.

Debt to book value chart of all companies in the market
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P/E of the company, segment and market as a whole

P/E - Kenon Holdings Ltd.

For Kenon Holdings, a diversified holding company with assets in energy and shipping, this chart represents the combined valuation of its diverse businesses. The price-to-earnings ratio can be volatile, as it reflects market conditions across multiple markets. Investors analyze it to determine whether the holding structure creates additional value or represents a discount.

Schedule P/E - Kenon Holdings Ltd.
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P/E of the market segment - Holding

This chart shows the average valuation for diversified holdingsβ€”a benchmark for Kenon. These companies often trade at a discount to their total assets. Comparing this metric helps investors understand whether Kenon's discount is higher or lower than the sector average, and how the market values ​​its energy and shipping assets.

Market Segment P/E Chart - Holding
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P/E of the market as a whole

Kenon Holdings is a holding company with diversified assets, including power plants in Israel and the shipping company ZIM. Its valuation is dependent on the value of its subsidiaries. This chart of overall market sentiment helps understand how investors value conglomerates. Whether they value diversification or prefer "pure" stocks, which could lead to a discount in Kenon's valuation.

Overall Market P/E Chart
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Future P/E of the company, segment and market as a whole

Future (projected) P/E of the company Kenon Holdings Ltd.

Kenon Holdings is a holding company with diversified assets, including energy companies and shipping. Its estimated future profit is the sum of expectations for each of its businesses. This chart aggregates analyst forecasts across various industries, reflecting their overall outlook on the conglomerate's prospects.

Chart of the company's future (projected) P/E Kenon Holdings Ltd.
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Future (projected) P/E of the market segment - Holding

Kenon Holdings is a holding company with assets in energy and shipping, primarily in Israel and China. Its valuation relative to other diversified holdings reflects investor opinions on the value of its subsidiaries and the prospects of their markets. This demonstrates how the market assesses its ability to create shareholder value.

Future (projected) P/E graph of the market segment - Holding
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Future (projected) P/E of the market as a whole

Kenon Holdings is a holding company with diversified assets, including power plants in Israel and a stake in a Chinese automaker. Its valuation is dependent on the value of these disparate assets. This chart reflects global investment sentiment, which influences both the valuation of energy companies and attitudes toward Chinese stocks, two key components of Kenon.

Chart of the future (projected) P/E of the market as a whole
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Profit of the company, segment and market as a whole

Company profit Kenon Holdings Ltd.

Kenon Holdings is a holding company with interests in various businesses, primarily in energy and shipping. The financial performance shown in this chart is the sum of the results of its subsidiaries. It is directly impacted by energy price movements and container ship freight rates.

Company profit chart Kenon Holdings Ltd.
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Profit of companies in the market segment - Holding

Kenon Holdings is a diversified holding company with assets in energy and shipping, primarily in Israel and China. This chart reflects the aggregate returns of similar holding structures. It helps assess the success of a strategy of managing diverse assets across multiple geographies, especially in the face of global economic instability.

Profit chart of companies in the market segment - Holding
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Overall market profit

Kenon Holdings is a holding company with diversified assets, including energy companies and shipping (ZIM). Its value is the sum of the values ​​of its subsidiaries, each of which experiences its own market cycle. Therefore, the presented graph of total corporate profit is too general for analyzing such a complex structure as KEN.

Overall Market Profit Chart
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Future (predicted) profit of the company, segment and market as a whole

Future (projected) profit of the company Kenon Holdings Ltd.

Kenon Holdings is a diversified holding company with assets in energy and shipping. Its future profit forecast is a composite assessment of the prospects of its subsidiaries operating in various, unrelated industries. This chart shows how analysts view the future of its key investments, such as the Israeli Electric Power Company.

Graph of future (projected) profit of the company Kenon Holdings Ltd.
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Future (predicted) profit of companies in the market segment - Holding

Kenon Holdings is a holding company with stakes in various businesses, primarily in the energy sector (power plants) and the shipping company ZIM. Its value and profits depend on the performance of these subsidiaries. This chart shows forecasts for the holdings. It allows you to assess how Kenon's diversified yet concentrated portfolio compares to the overall trend.

Graph of future (predicted) profits of companies in a market segment - Holding
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Future (predicted) profit of the market as a whole

Kenon Holdings Ltd. is a holding company with assets in the energy and shipping sectors. This projected total return chart reflects global economic demand. Economic growth increases energy consumption and maritime trade volumes, which directly impacts the value and profitability of key assets in Kenon's portfolio.

Chart of future (predicted) profits of the market as a whole
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P/S of the company, segment and market as a whole

P/S - Kenon Holdings Ltd.

Kenon Holdings is a holding company with diversified assets, primarily in energy and shipping. This metric provides a general assessment of how the market values ​​the combined revenue of its subsidiaries. It reflects confidence in the holding's strategy and the prospects for the sectors in which it operates.

Schedule P/S - Kenon Holdings Ltd.
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P/S market segment - Holding

Kenon Holdings is a holding company with stakes in energy and shipping companies, primarily in Israel and China. This chart shows the average valuation for these holdings. It helps investors assess how the market perceives Kenon's total asset value and its strategy for managing this diversified portfolio.

Market Segment P/S Chart - Holding
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P/S of the market as a whole

Kenon Holdings Ltd. is a holding company with interests in diverse businesses, including energy and shipping. Its financial results and valuation are the sum of its subsidiaries' metrics. This chart, showing the average market revenue valuation, provides a benchmark for analyzing the performance and structure of such a diversified holding company.

Overall Market Price/Shares Chart
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Future P/S of the company, segment and market as a whole

Future (projected) P/S of the company Kenon Holdings Ltd.

Kenon Holdings is a holding company with diversified assets, including energy companies and shipping. Its future revenue is the sum of its revenues from various businesses. The chart reflects the overall market assessment of the prospects of its key assets and management's ability to effectively allocate capital among them.

The graph of the company's future (projected) P/S Kenon Holdings Ltd.
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Future (projected) P/S of the market segment - Holding

Kenon Holdings is a holding company with diversified assets, including energy companies in Israel and an automaker in China. Its valuation is the sum of the values ​​of its subsidiaries. This chart helps understand how the market values ​​Kenon's future consolidated earnings compared to other diversified holding companies.

Future (projected) P/S market segment graph - Holding
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Future (projected) P/S of the market as a whole

This indicator summarizes investor expectations across various economic sectors. For Kenon Holdings, a diversified holding company with assets in energy and shipping, it's a general barometer. A rising indicator indicates a favorable environment for its subsidiaries, whether it's electricity demand or shipping volumes, which directly impacts overall revenue.

Chart of the future (projected) P/S of the market as a whole
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Sales of the company, segment and market as a whole

Company sales Kenon Holdings Ltd.

Kenon Holdings is a holding company with interests in various businesses, primarily in energy and shipping. Its key assets are power plants and ZIM Integrated Shipping. This chart summarizes the revenues from these diverse assets. Its dynamics are highly dependent on electricity prices and container shipping rates.

Company sales chart Kenon Holdings Ltd.
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Sales of companies in the market segment - Holding

Kenon Holdings is a holding company with diversified assets, primarily in the energy and shipping sectors. This chart reflects the total revenues in the industries in which Kenon has interests. The holding's performance serves as a proxy for the state of these global markets, demonstrating how various economic cycles affect its assets.

Sales chart of companies in the market segment - Holding
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Overall market sales

Kenon Holdings Ltd. is a diversified holding company with assets in energy and shipping. Its financial results are a composite of those of its subsidiaries, which in turn are driven by global energy demand and trade volumes. This graph of overall economic activity reflects global trends that directly impact Kenon's business.

Market sales chart as a whole
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Future sales volume of the company, segment and market as a whole

Future (projected) sales of the company Kenon Holdings Ltd.

Kenon Holdings is a holding company with a diversified portfolio of assets, including energy companies in Israel and an automobile manufacturer in China. Its financial results are the sum of these diverse businesses. This chart represents analysts' aggregate forecasts for the prospects of Kenon's key assets in their respective industries.

Schedule of future (projected) sales of the company Kenon Holdings Ltd.
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Future (projected) sales of companies in the market segment - Holding

Kenon Holdings is a holding company with interests in various businesses, primarily in the energy and shipping sectors. This forecast provides aggregate expectations for the diversified holdings segment. It helps understand how general trends in the key industries where Kenon holds assets may impact the overall portfolio value.

Schedule of future (projected) sales of companies in the market segment - Holding
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Future (projected) sales of the market as a whole

Kenon Holdings Ltd. is a diversified holding company with interests in the energy and shipping sectors. Its performance is a composite of several industries sensitive to global economic conditions. This chart, reflecting global economic forecasts, effectively serves as a barometer of the operating environment for Kenon's key assets.

Schedule of future (predicted) sales of the market as a whole
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Marginality of the company, segment and market as a whole

Company marginality Kenon Holdings Ltd.

Kenon Holdings is an international holding company with stakes in companies across various sectors, including energy and shipping. This chart reflects the combined profitability of its various assets. Kenon's financial performance is directly dependent on the operational success and dividends of its subsidiaries, such as Zim Integrated Shipping.

Company marginality chart Kenon Holdings Ltd.
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Market segment marginality - Holding

Kenon Holdings is a holding company with a diversified asset portfolio, primarily in the energy and shipping sectors. Its financial results depend on the operating efficiency of its subsidiaries. This metric provides a general overview of the profitability of Kenon's managed assets compared to other industrial and energy holdings.

Market segment marginality chart - Holding
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Market marginality as a whole

Kenon Holdings is a holding company with a diversified portfolio, including energy and shipping assets. This overall market return graph is an important, but average, indicator for the company. Kenon's actual profitability depends on specific conditions in the industries in which its subsidiaries operate, such as electricity prices or freight rates.

Market marginality chart for the overall market
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Employees in the company, segment and market as a whole

Number of employees in the company Kenon Holdings Ltd.

Kenon Holdings is a holding company with significant stakes in companies in the energy and shipping sectors. The chart shows a small corporate team managing these large investments. Their role is strategic oversight and capital allocation, not operational management.

Chart of the number of employees in the company Kenon Holdings Ltd.
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Share of the company's employees Kenon Holdings Ltd. within the market segment - Holding

Kenon Holdings is a holding company with assets in energy and shipping, including controlling ZIM. This indicator reflects the total human capital of its subsidiaries. It demonstrates the scale of the workforce it manages in capital-intensive industries, allowing one to assess its impact on the global economy through the prism of employment.

Graph of the company's share of employees Kenon Holdings Ltd. within the market segment - Holding
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Number of employees in the market segment - Holding

Kenon Holdings Ltd. is a diversified holding company with interests in the energy and transportation sectors. Its primary assets include power generation facilities and one of the world's largest container shipping lines. The chart shows the total employment of these diversified holding companies, reflecting how their investments in capital-intensive industries impact the global labor market.

Graph of the number of employees in the market segment - Holding
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Number of employees in the market as a whole

Kenon Holdings is a holding company with stakes in a variety of companies, primarily in the energy and shipping sectors. Its strategy is focused on long-term investments in capital-intensive industries. The performance of its portfolio companies can serve as an indicator of global trends in industry and trade, which underlie labor demand worldwide.

Chart of the number of employees in the market as a whole
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Market capitalization per employee (in thousands of dollars) of the company, segment, and market as a whole

Market capitalization per employee (in thousands of dollars) of the company Kenon Holdings Ltd. (KEN)

Kenon Holdings is a diversified holding company with assets in energy and shipping. This chart reflects the management company's structure. Its very high market capitalization per employee is explained by the fact that a small team at headquarters manages large stakes in capital-intensive businesses employing thousands. The value here lies in the quality of asset management.

Chart of market capitalization per employee (in thousands of dollars) of the company Kenon Holdings Ltd. (KEN)
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Market capitalization per employee (in thousands of dollars) in the market segment - Holding

Kenon Holdings (KEN) is a holding company whose primary assets are stakes in the Israeli energy company OPC Energy and the shipping company ZIM. Its value is the value of its assets. This chart shows the average valuation per employee in the sector. For a holding company with minimal staff, it shows how the market values ​​these assets per corporate employee.

Market capitalization per employee (in thousands of dollars) by market segment - Holding
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Market capitalization per employee (in thousands of dollars) for the overall market

Kenon Holdings is a holding company with stakes in various companies, primarily in the energy and shipping sectors. This chart shows the market's overall performance metric. This is a way for the holding company to assess the value of its assets relative to its management team.

Market capitalization per employee (in thousands of dollars) for the overall market
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Profit per employee (in thousands of dollars) for the company, segment, and market as a whole

Profit per employee (in thousands of dollars) of the company Kenon Holdings Ltd. (KEN)

Kenon Holdings is a holding company with stakes in various businesses (e.g., energy, shipping). As a holding company, Kenon has a very small corporate staff. This chart shows how effectively this management team extracts net profit (in the form of dividends or growth) from its disparate assets.

Company Profit Per Employee (in thousands of dollars) Chart Kenon Holdings Ltd. (KEN)
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Profit per employee (in thousands of dollars) in the market segment - Holding

Kenon (KEN) is a holding company with stakes in various businesses (energy, shipping). This chart shows the average for the Holdings segment. This benchmark is a "medium temperature" because it averages businesses with varying labor intensity. The benchmark reflects the headquarters' investment performance.

Chart of profit per employee (in thousands of dollars) in the market segment - Holding
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Profit per employee (in thousands of dollars) for the market as a whole

Kenon Holdings is a holding company. Its main assets are stakes in an energy company (OPC Energy) and a shipping company (ZIM). Kenon itself has very few employees. This chart shows how much profit (in the form of dividends and growth) its subsidiaries generate relative to the parent company's tiny staff. This is an indicator of the holding company's efficiency.

Chart of profit per employee (in thousands of dollars) for the market as a whole
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Sales to employees of the company, segment and market as a whole

Sales per company employee Kenon Holdings Ltd. (KEN)

Kenon Holdings is a holding company with diversified assets, primarily in energy and shipping. The chart for such a holding company reflects management efficiency rather than operational performance. It reflects the ability of a small management team to generate revenue from large, capital-intensive industrial assets.

Sales chart per company employee Kenon Holdings Ltd. (KEN)
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Sales per employee in the market segment - Holding

Kenon Holdings is a holding company with controlling stakes in various companies, primarily in energy (OPC Energy) and shipping (ZIM). This chart shows the average revenue per employee in this segment. It helps assess how effectively Kenon manages its diverse assets compared to other diversified holding companies.

Sales per employee chart in the market segment - Holding
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Sales per employee for the market as a whole

Kenon Holdings is a holding company with significant stakes primarily in two businesses: an Israeli electric utility and the shipping company ZIM. This metric reflects the performance of the *headquarters*. Kenon's small management team generates revenue (primarily dividends and shareholder income) by managing these massive assets.

Sales per employee chart for the market as a whole
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Short shares by company, segment and market as a whole

Shares shorted by company Kenon Holdings Ltd. (KEN)

Kenon Holdings is a holding company whose primary asset is a large stake in the Israeli energy company OPC Energy. It also has a stake in the automaker ZIM. This structure and geopolitical risks (Middle East) make it difficult to value. The chart shows the percentage of bears betting on a decline in its asset value.

Short Shares Chart for the Company Kenon Holdings Ltd. (KEN)
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Shares shorted by market segment - Holding

Kenon Holdings Ltd. is a holding company whose primary assets are stakes in an energy company (OPC Energy in Israel) and a shipping company (ZIM). Its value is the sum of its parts. This chart shows the total short position in the diversified holdings sector. If it is high, investors may be bearish on the key sectors in which Kenon operates.

Chart of the share of shares shorted by market segment - Holding
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Shares shorted by the overall market

Kenon (KEN) is a holding company with interests in energy and shipping (ZIM). This Short_All chart shows fears of a global recession. When it rises, this pessimism impacts all of KEN's assets: falling energy demand and a collapse in container shipping rates (ZIM's business).

Chart of the percentage of shares shorted across the market as a whole
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RSI 14 indicator for a company, segment, and market as a whole

The company's RSI 14 indicator Kenon Holdings Ltd. (KEN)

Kenon Holdings (KEN) is a holding company with controlling stakes in various businesses. Their main assets are stakes in the Israeli energy company OPC Energy and shipping company ZIM. This chart measures momentum. It shows when the stock is "overheated" (above 70) due to a sharp rise in freight rates (influenced by ZIM) or "oversold" (below 30) due to problems in the energy sector.

RSI 14 indicator chart for the company's stock Kenon Holdings Ltd. (KEN)
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RSI 14 Market Segment - Holding

Kenon (KEN) is a diversified holding company whose primary asset is a large stake in the Israeli shipping company ZIM. They also have interests in the energy sector. This chart shows sentiment in the "Holdings" sector. It helps us understand whether Kenon's performance reflects ZIM's rate volatility or the overall market trend.

RSI 14 indicator chart for stocks of companies in the market segment - Holding
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RSI 14 for the overall market

Kenon Holdings (KEN) is a holding company with cyclical assets (for example, shipping company ZIM). This chart is a reinforcer for it. During periods of market euphoria and global trade booms, its assets generate huge profits. During moments of market panic and recession, its cyclical businesses, such as container shipping, suffer colossal losses.

RSI 14 indicator chart for stocks of companies across the market as a whole
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Analyst consensus forecast for the company's share price, the segment, and the market as a whole

Analyst consensus stock price forecast KEN (Kenon Holdings Ltd.)

Kenon Holdings is a holding company whose value is primarily determined by two assets: a controlling stake in OPC Energy (an Israeli energy company) and a stake in shipping company ZIM. This chart shows the "sum of the parts"β€”how analysts value these two volatile businesses.

A chart showing analyst consensus forecasts for the expected stock price. KEN (Kenon Holdings Ltd.)
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The difference between the consensus estimate and the actual stock price KEN (Kenon Holdings Ltd.)

Kenon Holdings (KEN) is a holding company whose primary assets are stakes in ZIM Integrated Shipping (a container shipping company) and a power plant in Israel. This chart shows the sum of the parts valuation. It measures the gap between the price and the consensus target, reflecting analysts' valuations of its volatile assets.

A chart showing the difference between the consensus forecast and the actual stock price. KEN (Kenon Holdings Ltd.)
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Analyst consensus forecast for stock prices by market segment - Holding

Kenon Holdings is a Singapore-based holding company with stakes in various businesses, the key one being the Israeli energy company OPC Energy. This chart shows analysts' overall expectations for the holdings sector. It reflects whether experts believe electricity demand will grow in Israel and the United States (where OPC operates).

A chart showing analyst consensus price forecasts for stocks in a market segment. - Holding
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Analysts' consensus forecast for the overall market share price

Kenon Holdings (KEN) is a diversified holding company with interests in energy (OPC) and shipping (ZIM). This chart of overall market sentiment is important. Both KEN assets (energy and ZIM shipping) are highly cyclical. Optimism = a booming economy, rising freight rates, and rising energy prices. Pessimism = a collapse in these sectors.

A chart showing analyst consensus forecasts for the overall market share price.
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AKIMA index of the company, segment and market as a whole

AKiMA Company Index Kenon Holdings Ltd.

Kenon Holdings is a holding company whose assets have historically been diversified. Their current crown jewel is their stake in ZIM, one of the largest (and highly volatile) container shipping lines. This chart is essentially a proxy for ZIM. Its performance depends almost entirely on global container shipping rates and the profitability of this cyclical asset.

AKIMA Index Chart for the Company Kenon Holdings Ltd.
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AKIMA Market Segment Index - Holding

Kenon Holdings (KEN) is a diversified international holding company (controlled by Idan Ofer), which (following the sale of assets) is focused on two sectors: energy (OPC) and shipping (ZIM). This comprehensive index evaluates companies. The chart shows the sector average. This benchmark: how does Kenon's concentrated (energy + shipping) model differentiate it from the average competitor?

AKIMA Market Segment Index Chart - Holding
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The AKIM Index for the overall market

Kenon is a holding company with interests in energy (OPC Energy) and shipping (ZIM). It is Idan Ofer's "investment portfolio." This chart, showing the average (global/US) market performance, serves as a benchmark. It helps assess how Kenon, with its exposure to volatile sectors and dividends, compares to overall macroeconomic trends.

AKIM Index chart for the overall market
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