5211.KL
5211.KL
MYL5211OO007
SUNWAY
Loading chart...

Company Profile

Sunway Berhad, an investment holding company, operates in the real estate, construction, education, healthcare, retail, and hospitality sectors in Malaysia, Singapore, China, India, Australia, Indonesia, the United Kingdom, and internationally. Its Property Development segment develops residential, industrial, and commercial properties. The company's Property Investment segment is involved in the management, operation, and letting of properties; operation of theme parks; rendering recreational club facilities; travel agent; management and operation of hotels; and investment in real estate investment fund. Its Construction segment undertakes building and civil works; and mechanical, electrical, and piling works. The company's Trading and Manufacturing segment is involved in the manufacture and trading of construction and industrial products, and commercial vehicles, as well as mechanical engineering and assembly works. Its Quarry segment engages in quarrying, manufacturing, and supplying of premix; manufacture of ready-mixed concrete; and production of building stones. The Healthcare segment operates medical centres; and provides medical consultation services, and senior living care and assistance services. Its Others segment manufactures vitrified clay pipes, concrete pipes, interlocking pavers, pre-tensioned spun concrete piles, precast micro injection piles, reinforced concrete piles, euro tiles, blocks, and concrete products; and offers secretarial and share registration, management, and leases and hire purchases financing services. This segment also provides interior design and renovation, loyalty programs, online remittance and money, venture capital fund management, credit reference and rating, and training services; invests in online media; operates electronic parcel lockers and petrol kiosks; and retails pharmaceutical products. The company was founded in 1974 and is based in Subang Jaya, Malaysia.

Related stocks

2445.KL
2445.KL • Malaysia
KLK
20.62 MYR
5.62B USD 1Y -0.3%
5201.T
5201.T • Japan
AGC INC
5,728 JPY
7.69B USD 1Y +16%
7912.T
7912.T • Japan
DAI NIPPON PRINTING CO
2,930 JPY
7.9B USD 1Y +13.1%
9024.T
9024.T • Japan
SEIBU HOLDINGS INC
3,696 JPY
5.94B USD 1Y -34.5%
4204.T
4204.T • Japan
SEKISUI CHEMICAL CO
2,524 JPY
6.44B USD 1Y -12.1%
078930.KS
078930.KS • South Korea
GS
104,000 KRW
7.35B USD 1Y +128.6%
SRF.BO
SRF.BO • India
SRF LTD.
2,513.6 INR
7.7B USD 1Y -16.1%
AYYLF
AYYLF • Philippines
Ayala Corp.
8 USD
5.05B USD 1Y -22.3%

Key Metrics & Overview

Detailed metrics & financial data of the company

Company Profile
5 Metrics

🛡️ Risk & Structural Analysis

Multi-Factor Risk Model & Market Data

7/7 Very High
5Y Volatility
26.2% p.a.
Max Drawdown (5Y)
-28.1%
Sharpe Ratio (5Y)
0.68
Beta Factor
0.36
Size Class
Large Cap
Notes & Warnings
Single Stock Risk: Investing in an individual stock carries full company and insolvency risk (no fund diversification).
Exemplary balance sheet strength: Very solid ratio of equity to debt.
Strong cyclicality: The business model is sensitive to economic downturns.
ende