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% TET 0.22 ▼-2.22% WMX 1.69 ▼-1.17% BST 0.30 ▲3.45% CTS 0.56 ▲1.82% EFR 0.00 ▲0.00% 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% TET 0.22 ▼-2.22% WMX 1.69 ▼-1.17% BST 0.30 ▲3.45% CTS 0.56 ▲1.82% EFR 0.00 ▲0.00%

LBL LaserBond Limited

Industrials · Specialty Industrial Machinery · website · 160 employees
$0.55
52wk 0.48 – 0.67
Overall
Value
Growth
Health
Quality
Momentum
Dividend
Price
About LaserBond Limited

LaserBond Limited, a surface engineering company, engages in the development and application of materials, technologies, and methodologies to enhance operating performance and wear life of capital-intensive machinery components in Australia. It operates through Products, Services, Technology, and Research and Development segments. The company offers composite carbide steel mill rolls. It also provides laser cladding, thermal spraying, welding, machining, heat treatment, and remanufacturing, as well as metallurgy lab and surface coatings. In addition, the company licenses its surface engineering technologies. It serves mining, drilling, mineral processing, power generation, transport and marine, plant and machinery, manufacturing, fluid handling, and agriculture industries. The company was incorporated in 1992 and is headquartered in Sydney, Australia.

Fundamental trends
Financial statements
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Key metrics
Market cap
$65.01M
P/E (trailing)
13.75
P/E (forward)
8.67
EPS (trailing)
0.04
Dividend yield
2.9%
Payout ratio
28.1%
Beta
0.09
EV / EBITDA
8.29
Price / Book
1.53
ROE
12.4%
Operating margin
13.5%
Net margin
10.9%
Total cash
$4.00M
Total debt
$11.64M
Current ratio
3.04
Debt / Equity
0.27
Free cash flow
$3.13M
Avg volume
55,200
Latest annual results (FY ending 30 Jun 2025)
  • Revenue$43.48M
  • Gross profit$22.79M
  • Operating income$4.97M
  • Net income$3.84M
  • Diluted EPS0.03
  • Free cash flow$4.15M
  • Net debt$6.40M
Sector peers (Industrials)
TickerMkt cap P/EScore
TCL $46.68B 99.7
BXB $26.23B 20.5
QAN $15.62B 9.7
AIA $12.49B 36.9
IFT $12.46B 54.2
ALQ $11.08B 34.7
REH $10.06B 37.2
QUB $9.12B 42.6