AIX 9.01 ▲0.33% ALU 0.88 ▼-2.22% DN1 99.70 ▼-0.09% EMUCA 0.89 KIT 1.90 ▲0.00% KKC 2.11 ▲0.00% LF1 1.92 ▲0.79% MBG 0.14 ▲0.00% MRE 1.88 ▼-0.53% PCI 1.09 ▼-0.91% PCX 1.99 ▼-0.75% RF1 3.52 ▼-0.28% SET 2.14 ▼-0.47% BST 0.30 ▲3.45% CTS 0.56 ▲1.82% EFR 0.00 ▲0.00% FDC 3.33 ▼-1.19% KOA 3.10 ▲1.64% AIX 9.01 ▲0.33% ALU 0.88 ▼-2.22% DN1 99.70 ▼-0.09% EMUCA 0.89 KIT 1.90 ▲0.00% KKC 2.11 ▲0.00% LF1 1.92 ▲0.79% MBG 0.14 ▲0.00% MRE 1.88 ▼-0.53% PCI 1.09 ▼-0.91% PCX 1.99 ▼-0.75% RF1 3.52 ▼-0.28% SET 2.14 ▼-0.47% BST 0.30 ▲3.45% CTS 0.56 ▲1.82% EFR 0.00 ▲0.00% FDC 3.33 ▼-1.19% KOA 3.10 ▲1.64%

ERG Eneco Refresh Limited

Consumer Defensive · Beverages - Non-Alcoholic · website
$0.02
52wk 0.01 – 0.02
Overall
Value
Growth
Health
Quality
Momentum
Dividend
Price
About Eneco Refresh Limited

Eneco Refresh Limited produces and distributes bottled water and accessories and filtration systems in Australia. It operates through the Refresh Water and Refresh Plastics segments. The company offers a range of plastic bottles, containers, and jars for the beer, wine, and beverage industries; water tanks, caravan tanks, jerrycans, watering cans, and vehicle parts; and Ampi activity toys. It also engages in the rental of water coolers; production of distilled drinking water; supply of point-of-use water purifiers on monthly rental; contract manufacturing of custom molded products; and distribution of polyethylene terephthalate kegs. In addition, the company provides a range of water purifiers, including sediment and carbon filters, reverse osmosis, distillers, and air-to-water generators. Further, it offers honey under the JAS Honey brand. The company was formerly known as Refresh Group Limited. Eneco Refresh Limited was incorporated in 1997 and is headquartered in Malaga, Australia. Eneco Refresh Limited operates as a subsidiary of Eneco Investment Pte Ltd.

Fundamental trends
Financial statements
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Key metrics
Market cap
$5.17M
P/E (trailing)
P/E (forward)
EPS (trailing)
0.00
Dividend yield
Payout ratio
0.0%
Beta
-0.28
EV / EBITDA
13.34
Price / Book
0.59
ROE
3.2%
Operating margin
2.7%
Net margin
1.6%
Total cash
$4.42M
Total debt
$3.83M
Current ratio
3.05
Debt / Equity
0.44
Free cash flow
$720,810
Avg volume
34,128
Latest annual results (FY ending 30 Jun 2025)
  • Revenue$16.60M
  • Gross profit$6.25M
  • Operating income-$996.76K
  • Net income$24.66K
  • Diluted EPS0.00
  • Free cash flow$903.29K
  • Net debt-$1.00M
Sector peers (Consumer Defensive)
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COL $32.60B 31.9
EDV $6.32B 16.8
A2M $4.98B 26.4
MTS $3.40B 12.4
BGA $1.88B 204.7
CBO $1.57B 32.8
GNC $1.26B
ELD $1.21B 22.6