Axiata Group Berhad Statistics
Total Valuation
Axiata Group Berhad has a market cap or net worth of MYR 20.94 billion. The enterprise value is 55.66 billion.
Market Cap | 20.94B |
Enterprise Value | 55.66B |
Important Dates
The next estimated earnings date is Friday, February 21, 2025.
Earnings Date | Feb 21, 2025 |
Ex-Dividend Date | Oct 2, 2024 |
Share Statistics
Axiata Group Berhad has 9.18 billion shares outstanding. The number of shares has increased by 0.08% in one year.
Current Share Class | n/a |
Shares Outstanding | 9.18B |
Shares Change (YoY) | +0.08% |
Shares Change (QoQ) | n/a |
Owned by Insiders (%) | 0.06% |
Owned by Institutions (%) | 52.19% |
Float | 5.78B |
Valuation Ratios
The trailing PE ratio is 18.40 and the forward PE ratio is 22.03. Axiata Group Berhad's PEG ratio is 1.31.
PE Ratio | 18.40 |
Forward PE | 22.03 |
PS Ratio | 0.93 |
PB Ratio | 0.99 |
P/TBV Ratio | 2.12 |
P/FCF Ratio | 5.97 |
P/OCF Ratio | n/a |
PEG Ratio | 1.31 |
Enterprise Valuation
The stock's EV/EBITDA ratio is 5.01, with an EV/FCF ratio of 15.86.
EV / Earnings | 116.80 |
EV / Sales | 2.47 |
EV / EBITDA | 5.01 |
EV / EBIT | 14.58 |
EV / FCF | 15.86 |
Financial Position
The company has a current ratio of 0.63, with a Debt / Equity ratio of 1.22.
Current Ratio | 0.63 |
Quick Ratio | 0.55 |
Debt / Equity | 1.22 |
Debt / EBITDA | 3.14 |
Debt / FCF | 9.43 |
Interest Coverage | 1.46 |
Financial Efficiency
Return on equity (ROE) is 5.78% and return on invested capital (ROIC) is 3.23%.
Return on Equity (ROE) | 5.78% |
Return on Assets (ROA) | 2.66% |
Return on Capital (ROIC) | 3.23% |
Revenue Per Employee | 1.74M |
Profits Per Employee | 36,727 |
Employee Count | 12,976 |
Asset Turnover | 0.29 |
Inventory Turnover | 33.60 |
Taxes
Income Tax | n/a |
Effective Tax Rate | n/a |
Stock Price Statistics
The stock price has decreased by -10.63% in the last 52 weeks. The beta is 0.71, so Axiata Group Berhad's price volatility has been lower than the market average.
Beta (5Y) | 0.71 |
52-Week Price Change | -10.63% |
50-Day Moving Average | 2.33 |
200-Day Moving Average | 2.50 |
Relative Strength Index (RSI) | 42.54 |
Average Volume (20 Days) | 4,977,735 |
Short Selling Information
Short Interest | n/a |
Short Previous Month | n/a |
Short % of Shares Out | n/a |
Short % of Float | n/a |
Short Ratio (days to cover) | n/a |
Income Statement
In the last 12 months, Axiata Group Berhad had revenue of MYR 22.53 billion and earned 476.57 million in profits. Earnings per share was 0.05.
Revenue | 22.53B |
Gross Profit | 17.17B |
Operating Income | 3.26B |
Pretax Income | 2.58B |
Net Income | 476.57M |
EBITDA | 8.63B |
EBIT | 3.26B |
Earnings Per Share (EPS) | 0.05 |
Balance Sheet
The company has 4.33 billion in cash and 33.07 billion in debt, giving a net cash position of -28.75 billion or -3.13 per share.
Cash & Cash Equivalents | 4.33B |
Total Debt | 33.07B |
Net Cash | -28.75B |
Net Cash Per Share | -3.13 |
Equity (Book Value) | 27.05B |
Book Value Per Share | 2.29 |
Working Capital | -5.87B |
Cash Flow
In the last 12 months, operating cash flow was 9.00 billion and capital expenditures -5.49 billion, giving a free cash flow of 3.51 billion.
Operating Cash Flow | 9.00B |
Capital Expenditures | -5.49B |
Free Cash Flow | 3.51B |
FCF Per Share | 0.38 |
Margins
Gross margin is 76.22%, with operating and profit margins of 14.47% and 2.11%.
Gross Margin | 76.22% |
Operating Margin | 14.47% |
Pretax Margin | 11.46% |
Profit Margin | 2.11% |
EBITDA Margin | 38.30% |
EBIT Margin | 14.47% |
FCF Margin | 15.57% |
Dividends & Yields
This stock pays an annual dividend of 0.10, which amounts to a dividend yield of 4.41%.
Dividend Per Share | 0.10 |
Dividend Yield | 4.41% |
Dividend Growth (YoY) | -47.37% |
Years of Dividend Growth | n/a |
Payout Ratio | 115.61% |
Buyback Yield | -0.08% |
Shareholder Yield | 4.33% |
Earnings Yield | 2.28% |
FCF Yield | 16.76% |
Stock Splits
This stock does not have any record of stock splits.
Last Split Date | n/a |
Split Type | n/a |
Split Ratio | n/a |
Scores
Axiata Group Berhad has an Altman Z-Score of 0.91. A Z-score under 3 suggests an increased risk of bankruptcy.
Altman Z-Score | 0.91 |
Piotroski F-Score | n/a |