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BAT: British American Tobacco Malaysia Bhd

British American Tobacco (Malaysia) Berhad engages in the sale, marketing and importation of cigarettes, pipe tobaccos, cigars, devices, other tobacco products, and nicotine products in Malaysia. It m...

6.45 MYR
Price
MYR
Fair Value
Upside
5.87 - 9.06
52-week range

Analysis

Fiscal Years
Trailing Twelve Months
Fiscal Halfs
Fiscal Quarters
Daily
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The following section summarizes insights on British American Tobacco Malaysia Bhd's Shareholder Yield:

Dec 2016Dec 2018Dec 2020Dec 2022Dec 20242.0%4.0%6.0%8.0%10.0%12.0%

Performance Summary
  • British American Tobacco Malaysia's latest twelve months shareholder yield is 9.0%
  • British American Tobacco Malaysia's shareholder yield for fiscal years ending December 2020 to 2024 averaged 6.2%.
  • British American Tobacco Malaysia's operated at median shareholder yield of 5.3% from fiscal years ending December 2020 to 2024.
  • Looking back at the last 5 years, British American Tobacco Malaysia's shareholder yield peaked in December 2022 at 9.2%.
  • British American Tobacco Malaysia's shareholder yield hit its 5-year low in December 2021 of 3.6%.
  • British American Tobacco Malaysia's shareholder yield decreased in 2020 (4.1%, -32.5%), 2021 (3.6%, -12.5%), and 2023 (5.3%, -42.9%) and increased in 2022 (9.2%, +159.7%) and 2024 (9.0%, +71.2%).

How does BAT Malaysia's Shareholder Yield benchmark against competitors?

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We've identified the following companies as similar to British American Tobacco Malaysia Bhd because they operate in a related industry or sector. We also considered size, growth, and various financial metrics to narrow down the list to the ones listed below.

Metric Usage: Shareholder Yield

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shareholder_yield
Slug
number
Datatype
text
Format
current
Default Period
FY, LTM
Periods Supported
Free
Plan

To view the full list of supported financial metrics please see Complete Metrics Listing.

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Metrics similar to Shareholder Yield in the valuation category include:

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Shareholder Yield

A ratio that measures the total amount of money the company is returning back to shareholders in the form of cash dividends, net stock repurchases, an...

Definition of Shareholder Yield

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Shareholder Yield is defined as:

Net Payout Yield
(+) Debt Paydown Yield
(=) Shareholder Yield

Shareholder yield measures the return shareholders receive from a company in the form of cash dividends, stock buybacks, and debt reduction.

  • Net Payout Yield measures the cash dividend plus net stock repurchases over the trailing twelve months divided by the company’s market capitalization

  • Debt Paydown Yield is the amount debt paid down minus the amount of debt issued over the trailing twelve months divided by the company’s market capitalization

Applying this formula, British American Tobacco Berhad’s Shareholder Yield is calculated below:

Net Payout Yield [ 9.3% ]
(+) Debt Paydown Yield [ −0.2% ]
(=) Shareholder Yield [ 9.0% ]

The tables below summarizes the trend in British American Tobacco Berhad’s shareholder yield over the last five years:

Date Net Payout Yield Debt Paydown Yield Shareholder Yield
2020-12-31 6.3% −2.3% 4.1%
2021-12-31 7.0% −3.5% 3.6%
2022-12-31 8.4% 0.9% 9.2%
2023-12-31 7.4% −2.1% 5.3%
2024-12-31 9.3% −0.2% 9.0%

Read more about buyback yield, net payout yield, and debt paydown yield


Click the link below to download a spreadsheet with an example Shareholder Yield calculation for British American Tobacco Malaysia Bhd below:

Sector Benchmark Analysis

Sector
Industry Group
Industry
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-81.2%-46.2%-11.2%53.0%0100200300400

The chart above depicts the distribution of shareholder yield for companies operating in the Consumer Staples sector in the Developing economic region. Over 1,450 companies were considered in this analysis, and 1,395 had meaningful values. The average shareholder yield of companies in the sector is -1.2% with a standard deviation of 15.9%.

British American Tobacco Malaysia Bhd's Shareholder Yield of 9.0% ranks in the 85.0% percentile for the sector. The following table provides additional summary stats:

Shareholder Yield In The Consumer Staples Sector
Economic Risk RegionDeveloping
Total Constituents1,453
Included Constituents1,395
Min-78.9%
Max52.1%
Median0.8%
Mean-1.2%
Standard Deviation15.9%

You can find companies with similar shareholder yield using this stock screener.

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