M

Malaysian Pacific Industries Bhd
KLSE:MPI

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Malaysian Pacific Industries Bhd
KLSE:MPI
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Price: 32.1 MYR 0.63% Market Closed
Market Cap: 6.7B MYR

Profitability Summary

Malaysian Pacific Industries Bhd's profitability score is hidden . We take all the information about a company's profitability (such as its margins, capital efficiency, free cash flow generating ability, and more) and consolidate it into one single number - the profitability score. The higher the profitability score, the more profitable the company is.

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Profitability Score
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We take all the information about a company's profitability (such as its margins, capital efficiency, free cash flow generating ability, and more) and consolidate it into one single number - the profitability score. The higher the profitability score, the more profitable the company is.

Past Growth

Analyzing past growth in Revenue, Operating Income, and Net Income allows investors to assess the company's profitability and operational efficiency. Consistent improvement in these metrics typically signals long-term strength and stability.

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Margins

Profit margins represent what percentage of sales has turned into profits. Simply put, the percentage figure indicates how many cents of profit the company has generated for each dollar of sale.

Profit margins help investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.

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Earnings Waterfall
Malaysian Pacific Industries Bhd

Revenue
2.2B MYR
Cost of Revenue
-2B MYR
Gross Profit
275.3m MYR
Operating Expenses
-64.4m MYR
Operating Income
210.9m MYR
Other Expenses
-34.2m MYR
Net Income
176.7m MYR

Margins Comparison
Malaysian Pacific Industries Bhd Competitors

Country Company Market Cap Gross
Margin
Operating
Margin
Net
Margin
MY
Malaysian Pacific Industries Bhd
KLSE:MPI
6.4B MYR
12%
9%
8%
US
NVIDIA Corp
NASDAQ:NVDA
4.5T USD
70%
59%
53%
US
Broadcom Inc
NASDAQ:AVGO
1.9T USD
67%
39%
32%
TW
Taiwan Semiconductor Manufacturing Co Ltd
TWSE:2330
38.8T TWD
59%
49%
44%
US
Advanced Micro Devices Inc
NASDAQ:AMD
356.2B USD
48%
9%
10%
KR
SK Hynix Inc
KRX:000660
398.4T KRW
54%
41%
37%
US
Micron Technology Inc
NASDAQ:MU
272.4B USD
40%
26%
23%
US
Intel Corp
NASDAQ:INTC
192.8B USD
36%
0%
0%
US
Qualcomm Inc
NASDAQ:QCOM
187.8B USD
55%
28%
13%
US
Texas Instruments Inc
NASDAQ:TXN
165.1B USD
57%
35%
29%
UK
Arm Holdings PLC
NASDAQ:ARM
147.3B USD
97%
20%
19%
No Stocks Found

Return on Capital

Return on capital ratios give a sense of how well a company is using its capital (equity, assets, capital employed, etc.) to generate profits (operating income, net income, etc.). In simple words, these ratios show how much income is generated for each dollar of capital invested.

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Return on Capital Comparison
Malaysian Pacific Industries Bhd Competitors

Country Company Market Cap ROE ROA ROCE ROIC
MY
Malaysian Pacific Industries Bhd
KLSE:MPI
6.4B MYR
8%
6%
8%
13%
US
NVIDIA Corp
NASDAQ:NVDA
4.5T USD
112%
81%
107%
136%
US
Broadcom Inc
NASDAQ:AVGO
1.9T USD
26%
11%
15%
14%
TW
Taiwan Semiconductor Manufacturing Co Ltd
TWSE:2330
38.8T TWD
35%
23%
32%
36%
US
Advanced Micro Devices Inc
NASDAQ:AMD
356.2B USD
6%
5%
4%
5%
KR
SK Hynix Inc
KRX:000660
398.4T KRW
39%
25%
34%
26%
US
Micron Technology Inc
NASDAQ:MU
272.4B USD
17%
11%
15%
14%
US
Intel Corp
NASDAQ:INTC
192.8B USD
0%
0%
0%
0%
US
Qualcomm Inc
NASDAQ:QCOM
187.8B USD
24%
11%
30%
15%
US
Texas Instruments Inc
NASDAQ:TXN
165.1B USD
30%
14%
19%
19%
UK
Arm Holdings PLC
NASDAQ:ARM
147.3B USD
12%
9%
11%
14%
No Stocks Found

Free Cash Flow

Free cash flow (FCF) is the money a company has left over after paying its operating expenses and capital expenditures. The more free cash flow a company has, the more it can allocate to dividends, paying down debt, and growth opportunities.

If a company has a decreasing free cash flow, that is not necessarily bad if the company is investing in its growth.

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