Alpha Spread
Search stocks here...
Sign Up Log in
Dashboard Stock Screener Intrinsic Value Calculator DCF Value Calculator Discount Rate Calculator
Pricing
Alpha Spread
Dashboard Tools Pricing About Us
Sign Up
Log in
Alpha Spread
Dashboard Tools Pricing About Us
Sign Up
Log in
A

Alpha IVF Group Bhd
KLSE:ALPHA

Watchlist Manager
Alpha IVF Group Bhd
KLSE:ALPHA
Watchlist
Summary
Wall St Estimates
Dividends
Investor Relations
Discount Rate
Price: 0.28 MYR 1.82%
Market Cap: 1.4B MYR
Have any thoughts about
Alpha IVF Group Bhd?
Write Note
Write Note Create Alert Ask AI
Add Note Why Create Notes?
Capture your thoughts
Note Buy Sell Hold Pass
US
Johnson & Johnson
NYSE:JNJ
Pharmaceuticals
US
Berkshire Hathaway Inc
NYSE:BRK.A
Financial Services
US
Bank of America Corp
NYSE:BAC
Banking
US
Mastercard Inc
NYSE:MA
Technology
US
UnitedHealth Group Inc
NYSE:UNH
Health Care
US
Exxon Mobil Corp
NYSE:XOM
Energy
US
Pfizer Inc
NYSE:PFE
Pharmaceuticals
US
Palantir Technologies Inc
NYSE:PLTR
Technology
US
Nike Inc
NYSE:NKE
Textiles, Apparel & Luxury Goods
US
Visa Inc
NYSE:V
Technology
CN
Alibaba Group Holding Ltd
NYSE:BABA
Retail
US
JPMorgan Chase & Co
NYSE:JPM
Banking
US
Coca-Cola Co
NYSE:KO
Beverages
US
Walmart Inc
NYSE:WMT
Retail
US
Verizon Communications Inc
NYSE:VZ
Telecommunication
US
Chevron Corp
NYSE:CVX
Energy


Add Price Alert
Price Target:
Last Price: 0.28 MYR

We'll email you a reminder when the closing price reaches USD.

If you don’t study any companies, you have the same success buying stocks as you do in a poker game if you bet without looking at your cards.

Peter Lynch
Track and Analyze Performance

Utilize notes to systematically review your investment decisions. By reflecting on past outcomes, you can discern effective strategies and identify those that underperformed. This continuous feedback loop enables you to adapt and refine your approach, optimizing for future success.

Continuous Learning and Adaptation

Each note serves as a learning point, offering insights into your decision-making processes. Over time, you'll accumulate a personalized database of knowledge, enhancing your ability to make informed decisions quickly and effectively.

Boost Decision Confidence

With a comprehensive record of your investment history at your fingertips, you can compare current opportunities against past experiences. This not only bolsters your confidence but also ensures that each decision is grounded in a well-documented rationale.

Why create notes?
Close
Back
Delete Note

Do you really want to delete this note?
This action cannot be undone.

Delete
Cancel
ALPHA Alert
Alpha IVF Group Bhd
0.28
+0.005 (+1.82%)
52 Week Range
0.275
57.45
Price Target

We'll email you a reminder when the closing price reaches MYR.

Save Alert

Choose the stock you wish to monitor with a price alert.

Johnson & Johnson
NYSE:JNJ
US
Berkshire Hathaway Inc
NYSE:BRK.A
US
Bank of America Corp
NYSE:BAC
US
Mastercard Inc
NYSE:MA
US
UnitedHealth Group Inc
NYSE:UNH
US
Exxon Mobil Corp
NYSE:XOM
US
Pfizer Inc
NYSE:PFE
US
Palantir Technologies Inc
NYSE:PLTR
US
Nike Inc
NYSE:NKE
US
Visa Inc
NYSE:V
US
Alibaba Group Holding Ltd
NYSE:BABA
CN
JPMorgan Chase & Co
NYSE:JPM
US
Coca-Cola Co
NYSE:KO
US
Walmart Inc
NYSE:WMT
US
Verizon Communications Inc
NYSE:VZ
US
Chevron Corp
NYSE:CVX
US
Delete Alert

This alert will be permanently deleted.

Delete
Cancel
Ask me anything about
Alpha IVF Group Bhd

What unique competitive advantages
does Alpha IVF Group Bhd hold over its rivals?

What risks and challenges
does Alpha IVF Group Bhd face in the near future?

Provide an overview of the primary business activities
of Alpha IVF Group Bhd.

Show me price targets
for Alpha IVF Group Bhd made by professional analysts.

Provide an overview of the primary business activities
of Alpha IVF Group Bhd.

What unique competitive advantages
does Alpha IVF Group Bhd hold over its rivals?

What risks and challenges
does Alpha IVF Group Bhd face in the near future?

Show me price targets
for Alpha IVF Group Bhd made by professional analysts.

What are the Revenue projections
for Alpha IVF Group Bhd?

How accurate were the past Revenue estimates
for Alpha IVF Group Bhd?

What are the Net Income projections
for Alpha IVF Group Bhd?

How accurate were the past Net Income estimates
for Alpha IVF Group Bhd?

What are the EPS projections
for Alpha IVF Group Bhd?

How accurate were the past EPS estimates
for Alpha IVF Group Bhd?

What are the EBIT projections
for Alpha IVF Group Bhd?

How accurate were the past EBIT estimates
for Alpha IVF Group Bhd?

Compare the revenue forecasts
for Alpha IVF Group Bhd with those of its competitors based on recent analyst estimates.

Compare the intrinsic valuations
of Alpha IVF Group Bhd and its key competitors using the latest financial data.

Popular Prompts Strategic Analysis Future Outlook Peer Analysis
DividendsShareholder YieldBuybacksDebt PaydownPrice AppreciationStock SplitsSee Also
Section:
Dividends
Dividends
Shareholder Yield
Buybacks
Debt Paydown
Price Appreciation
Stock Splits
See Also

Dividends

Dividend Yield
Lowest
Average
Highest
Dividend Per Share
N/A
Growth 3Y
Growth 5Y
Growth 10Y
Dividend Safety Score
Very
Unsafe
Unsafe
Safe
Very
Safe
0
25
50
75
100
What is Dividend Safety Rate?
Previous Payment
-
Today
Next Payment
-
Today
May 15, 2025
Previous Payment
-
Next Payment
-
Ex-Dividend Date
-

Dividend Yield
Alpha IVF Group Bhd

Period
3Y
5Y
10Y
15Y
30Y
Yield Statistics, Past 5 Years
Min
Max
Current Yield
Min Yield
Max Yield
Average Yield
Median Yield

Dividend Per Share
Alpha IVF Group Bhd

Over the past 5 years, dividends per share for ALPHA have decreased by 0%.
What is dividend per share?
Dividend Streak
Growth 3Y
Growth 5Y
Growth 10Y
Ex-Dividend Date Amount Period Declaration Date Record Date Payment Date
Load More

Payout Ratio
Alpha IVF Group Bhd

Period
3Y
5Y
10Y
15Y
30Y
Payout Statistics, Past 5 Years
Min
Max
Current Payout
Min Payout
Max Payout
Average Payout
Median Payout

Peers Comparison
Dividends

Company Safety Rate Dividend Yield Dividend Per Share Growth 5Y Growth 10Y Payout Ratio

Shareholder Yield

Current shareholder yield for ALPHA is .

Shareholder yield represents the total return a company provides to its shareholders, calculated as the sum of dividend yield, buyback yield, and debt paydown yield. What is shareholder yield?

Shareholder Yield
= Dividend Yield
+ Buyback Yield
+ Debt Paydown Yield
Shareholder Yield
Dividend Yield
Lowest
Average
Highest
Buyback Yield
Lowest
Average
Highest
Debt Paydown Yield
Lowest
Average
Highest

Peers Comparison
Shareholder Yield

Company Total Yield Dividend Yield Buyback Yield Debt Paydown Yield

Buybacks

Buyback Yield
Alpha IVF Group Bhd

Period
3Y
5Y
10Y
15Y
30Y
Yield Statistics, Past 5 Years
Min
Max
Current Yield
Min Yield
Max Yield
Average Yield
Median Yield

Peers Comparison
Buybacks

Company Buyback Yield Average Yield (3Y) Average Yield (5Y) Average Yield (10Y)

Debt Paydown

Debt Paydown Yield
Alpha IVF Group Bhd

Period
3Y
5Y
10Y
15Y
30Y
Yield Statistics, Past 5 Years
Min
Max
Current Yield
Min Yield
Max Yield
Average Yield
Median Yield

Peers Comparison
Debt Paydown

Company Debt Paydown Yield Average Yield (3Y) Average Yield (5Y) Average Yield (10Y)

Price Appreciation

ALPHA Price
Alpha IVF Group Bhd

1M 1M
-3%
6M 6M
-19%
1Y 1Y
-10%
3Y 3Y
-10%
5Y 5Y
-10%
10Y 10Y
-10%
Annual Price Range
0.28
52w Low
0.275
52w High
57.45
Price Metrics
Average Annual Return
N/A
Standard Deviation of Annual Returns
N/A
Max Drawdown -100%
Shares Statistics
Market Capitalization 1.4B MYR
Shares Outstanding 4 860 000 000
Percentage of Shares Shorted
N/A

ALPHA Return Decomposition
Main factors of price return

What is price return decomposition?

Stock Splits

No Stock Splits Found

We don't have any information about ALPHA's stock splits.

See Also

Summary
ALPHA intrinsic value, competitors valuation, and company profile.
Wall Street Estimates
ALPHA price targets and financial estimates made by Wall st analysts.
Discount Rate
ALPHA stock discount rate: cost of equity and WACC.
Summary
Wall Street Estimates
Discount Rate
Discover More
Back to Top
ALPHA SPREAD
Follow us
Join more than 254,700+ value investors using Alpha Spread
Create a free account
or see our plans & pricing

Company

About Us Careers Pricing Affiliate Program Terms of Service Privacy Policy

Help

What is Intrinsic Value? Help Center Contact Us

Tools

Stock Screener Intrinsic Value Calculator DCF Value Calculator Discount Rate Calculator

Stocks

Most Undervalued Stocks Wide Economic Moat Stocks High Profitability Stocks High Solvency Stocks Most Popular Stocks

© 2025 Alpha Spread Limited. All Rights Reserved.

www.alphaspread.com is not operated by a broker, a dealer, or a registered investment adviser. Under no circumstances does any information posted on www.alphaspread.com represent a recommendation to buy or sell a security. The information on this site, and in its related newsletters, is not intended to be, nor does it constitute, investment advice or recommendations. The information on this site is in no way guaranteed for completeness, accuracy or in any other way. In no event shall Alpha Spread Limited be liable to any member, guest or third party for any damages of any kind arising out of the use of any content or other material published or available on www.alphaspread.com, or relating to the use of, or inability to use, www.alphaspread.com or any content, including, without limitation, any investment losses, lost profits, lost opportunity, special, incidental, indirect, consequential or punitive damages. Past performance is a poor indicator of future performance.

Dividend Safety Rate

Dividend Safety Rate is a comprehensive numerical rating that helps investors evaluate the risk associated with a company’s dividend payments. Ranging from 0 to 100, the rate provides an assessment where higher values denote greater security and lower likelihood of a dividend cut. This measure is particularly valuable for income-focused investors as it synthesizes key financial indicators including payout ratios, dividend history, and the overall financial health of the company.

Risk Categories
0-25
Very Unsafe
High risk of dividend cut
26-50
Unsafe
Dividend is vulnerable
51-75
Safe
Dividend is well-supported
76-100
Very Safe
Dividend is highly secure
Rigorous Analysis

By incorporating both dividend performance and broader financial metrics, the Dividend Safety Rate offers a holistic view of a company’s ability to maintain and potentially increase its dividend payments.

In calculating the Dividend Safety Rate, we consider a variety of financial metrics:

Multiple Payout Ratios: These include the current payout ratio and average historical payout ratios, which help assess how comfortably a company can cover its dividend payments with its earnings.

Dividend Growth Streak: The number of consecutive years a company has increased its dividend, indicating reliability and stability in its dividend policy.

Solvency and Profitability Ratios: These ratios evaluate a company’s ability to meet its long-term obligations and its overall financial health, which are crucial for sustaining dividend payments over time.

Close

Dividend Yield is a financial ratio that shows how much a company pays out in dividends each year relative to its stock price. It is a popular metric among investors to gauge the return on investment from dividends alone, excluding any capital gains.

This metric is a key component of calculating Shareholder Yield as it directly measures the return on investment from dividends alone. Dividend Yield helps investors gauge the immediate income-generating capacity of their investment in the company, independent of any capital gains.

Including Dividend Yield provides a comprehensive view of the total returns a company offers to its shareholders, combining income from dividends with gains from buybacks and debt reduction.

Close

Dividend Per Share (DPS) is a financial metric that quantifies the total amount of dividends declared by a company for each share of its common stock.

Close

Payout Ratio is a key financial metric that measures the proportion of earnings a company pays to its shareholders in the form of dividends. It is expressed as a percentage and is calculated by dividing the total dividends paid by the company by its net income.

Close

Shareholder Yield is an integrated metric that represents the total returns a company delivers to its shareholders, including dividends, share buybacks, and debt reduction. It offers a holistic view of a company's capital return strategies, going beyond simple dividend yields to encompass all forms of shareholder returns.

Components

The calculation of Shareholder Yield involves summing the dividend yield, buyback yield, and debt paydown yield:

• Dividend Yield is calculated by dividing the annual dividends per share by the stock price per share.

• Buyback Yield reflects the decrease in shares outstanding, showing how much a company is investing in repurchasing its shares.

• Debt Paydown Yield measures the reduction of debt in relation to the company’s market capitalization, highlighting efforts to reduce financial liabilities.

Implications for Investors

High Shareholder Yield is often associated with superior long-term performance in the stock market, making it a crucial measure for investors seeking stocks that consistently deliver high returns through dividends, buybacks, and effective debt management. This metric highlights the importance of looking beyond traditional dividend yields to consider how companies return capital to shareholders in other ways, enhancing overall investment analysis.

Close

Buyback Yield measures how much a company reduces its outstanding shares through repurchases, expressed as a percentage. It is calculated by taking the decrease in shares outstanding during a period, dividing it by the total shares at the beginning of that period, and then converting this figure into a percentage.

This metric is crucial for calculating Shareholder Yield as it directly reflects the company’s efforts to return value to shareholders. By reducing the number of shares, buybacks can increase earnings per share and potentially boost the stock's price. Including Buyback Yield provides a fuller understanding of how capital is used to enhance shareholder returns, alongside dividends and debt reduction.

Close

Debt Paydown Yield measures the amount of debt a company repays within a specific period, shown as a percentage of its market capitalization. It is calculated by taking the reduction in total debt from the beginning to the end of the period, dividing this amount by the company's market capitalization at the start of the period, and then expressing the result as a percentage.

This metric is important for calculating Shareholder Yield because it indicates how the company is using its capital to decrease financial liabilities, which can strengthen its financial health and potentially enhance shareholder value. Including Debt Paydown Yield in the Shareholder Yield calculation gives investors insight into the company's commitment to reducing debt alongside returning value through dividends and buybacks.

Close
Introduction

Price return decomposition is a method of analyzing the factors that contribute to the changes in the market capitalization of a company.

The price return decomposition breaks down the market cap return into two main components: the change in the price-to-earnings (P/E) multiple and the change in company earnings (as well as the change in revenue and net margin).

Change in P/E multiple

The change in the P/E multiple reflects the effect of changes in investor expectations and sentiment towards the company. A higher P/E multiple means that investors are willing to pay more for each dollar of earnings, indicating higher expectations for future growth. Conversely, a lower P/E multiple indicates lower expectations.

Change in Earnings, Revenue, and Net Margin

The change in earnings, on the other hand, represents the actual changes in the company's earnings over the given period.

The change in revenue and net margin are two other factors that can impact a company's market cap. An increase in revenue indicates that the company is generating more sales, while an improvement in net margin indicates that the company is becoming more efficient and generating more profit from each dollar of sales.

Close
Alpha Spread
Become a more intelligent investor
Sign up with Google
OR
Sign up with email
Already have an account? Sign in
By using Alpha Spread you are agreeing to our
Terms of Service and Privacy Policy.
Sign In
Become a more intelligent investor
Sign in with Google
OR
Sign in with email
Not a member? Sign Up
By using Alpha Spread you are agreeing to our
Terms of Service and Privacy Policy.
Recently Viewed Most Undervalued Wide Economic Moat High Profitability High Solvency Most Popular
A
Alpha IVF Group Bhd
KLSE:ALPHA
0.28 MYR
1.82%
Persistent Systems Ltd
NSE:PERSISTENT
5 626.5 INR
-2.29%

Every business has a fair value, its true price. Where market price tells you the price other people are willing to pay, fair value shows the value of a stock based on an analysis of the company’s actual financials (such as cash balance, revenue, operating margin, etc).

Franklin Covey Co
NYSE:FC
23.04 USD
-0.65%
Mohawk Industries Inc
NYSE:MHK
107.26 USD
-3.26%
Ardmore Shipping Corp
NYSE:ASC
9.93 USD
1.12%
ASGN Inc
NYSE:ASGN
55.02 USD
-3.15%
Skyworks Solutions Inc
NASDAQ:SWKS
72.24 USD
-0.5%
Weatherford International PLC
NASDAQ:WFRD
49.99 USD
0.89%
View Most Undervalued Stocks Full List

Economic Moat is a concept popularized by Warren Buffett to describe a company's durable competitive advantage. It represents the 'moat' that protects a company from competitors and helps it sustain profitability over the long term.

Johnson & Johnson
NYSE:JNJ
146.36 USD
-1.4%
Bank of America Corp
NYSE:BAC
44.74 USD
1.04%
Mastercard Inc
NYSE:MA
573.28 USD
-0.57%
Salesforce Inc
NYSE:CRM
290.74 USD
0.54%
Abbvie Inc
NYSE:ABBV
177.44 USD
-5.62%
Home Depot Inc
NYSE:HD
372.81 USD
-0.21%
View Wide Economic Moat Stocks Full List

Companies demonstrating exceptional profitability and efficient operations.

Arista Networks Inc
NYSE:ANET
98.22 USD
1%
Visa Inc
NYSE:V
356.46 USD
0.09%
Texas Pacific Land Corp
NYSE:TPL
1 405.92 USD
1.98%
KLA Corp
NASDAQ:KLAC
805 USD
1.14%
Manhattan Associates Inc
NASDAQ:MANH
194.2 USD
-0.69%
Monolithic Power Systems Inc
NASDAQ:MPWR
734.28 USD
-0.47%
View High Profitability Stocks Full List

Companies with the lowest probability of bankruptcy.

ServiceNow Inc
NYSE:NOW
1 026.82 USD
-0.95%
Spotify Technology SA
NYSE:SPOT
633.23 USD
2.12%
EOG Resources Inc
NYSE:EOG
115.59 USD
-0.91%
Monster Beverage Corp
NASDAQ:MNST
61 USD
1.28%
Copart Inc
NASDAQ:CPRT
62.42 USD
0.05%
Applied Materials Inc
NASDAQ:AMAT
174.14 USD
0.64%
View High Solvency Stocks Full List

Companies most frequently analyzed and tracked by Alpha Spread users.

Johnson & Johnson
NYSE:JNJ
146.36 USD
-1.4%
Berkshire Hathaway Inc
NYSE:BRK.A
753 215 USD
-1.8%
Bank of America Corp
NYSE:BAC
44.74 USD
1.04%
Mastercard Inc
NYSE:MA
573.28 USD
-0.57%
UnitedHealth Group Inc
NYSE:UNH
308.01 USD
-1.08%
Exxon Mobil Corp
NYSE:XOM
108.48 USD
-0.9%
View Most Popular Stocks Full List
Stock Screener
Discover stocks tailored to your investment strategy.
Open Stock Screener
You don't have any saved screeners yet
Other Tools
Intrinsic Value Calculator
Discover the true worth of your stocks
DCF Value Calculator
Harness the power of DCF
Discount Rate Calculator
Cost of Equity & WACC

Intrinsic Value is all-important and is the only logical way to evaluate the relative attractiveness of investments and businesses.

Warren Buffett
Warning
Incomplete Data

Our platform lacks comprehensive financial data for Alpha IVF Group Bhd, limiting the depth of our analysis.

Close
Create Your Free Account
Already have an account? Sign in
Gain access to the world’s leading value investing platform
Gain access to the world’s leading value investing platform

By using Alpha Spread you are agreeing to our Terms of Service and Privacy Policy.

Sign up with Google
OR
Create Free Account

By using Alpha Spread you are agreeing to our Terms of Service and Privacy Policy.