6888.KL
6888.KL
MYL6888OO001
AXIATA
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Company Profile

Axiata Group Berhad, an investment holding company, provides telecommunications services. It operates through Digital telco/ Mobile, Infrastructure, Digital, and Others segments. The company provides mobile services and other services, such as provision of interconnect services, sale of devices, pay television transmissions, broadband services, and digital business and others; and telecommunication infrastructure and related services. It offers telecommunication network equipment; international carrier and enterprise; technical and operations support; media and digital; software development; data and backbone, and fixed wireless and transmission infrastructure; television broadcasting and direct-to home satellite pay television; and financial services, as well as e-commerce distribution business and rendering solutions. In addition, the company is involved in the provision of services related to IT; venture capital fund; network development, operations, and maintenance; digital credit facilities; and software licensing; and e-learning products and services. Further, it offers digital analytics services; multimedia advertising services and creative content, as well as multimedia advertising sales support services; micro-financing and insurance, and money lending; e-wallet mobile application; data processing and management consultation services; and holds securities and financial instruments. Additionally, the company is involved in the property development and letting of property for commercial purposes; outsourcing and digital financial activities; sale of IT enabled equipment; provision of manpower for call center operations; development and operation of electronic commerce infrastructure for the healthcare sector; provision of IT, information, and communications technology services to non-mobile network operator business activities. The company was incorporated in 1992 and is headquartered in Kuala Lumpur, Malaysia.

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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
31.1% p.a.
Max Drawdown (5Y)
-61.8%
Sharpe Ratio (5Y)
-0.61
Beta Factor
0.38
Size Class
Large Cap
Notes & Warnings
Single Stock Risk: Investing in an individual stock carries full company and insolvency risk (no fund diversification).
🔴 High valuation risk: Avg P/E of 162.0 (Elevated multiple compression risk)
Structurally High Volatility: Above-average fluctuations persist across 5 to 10 years (31.1% p.a.).
Historical Stress Test: Maximum peak-to-trough drawdown of -72.1% in the extended horizon.
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