Amway (Malaysia) Holdings Bhd - Stock

Amway (Malaysia) Holdings Bhd ROA 2024

Amway (Malaysia) Holdings Bhd ROA

0.19

Amway (Malaysia) Holdings Bhd Dividend yield

2.74 %

Ticker

AMWAY.KL

ISIN

MYL6351OO000

In 2024, Amway (Malaysia) Holdings Bhd's return on assets (ROA) was 0.19, a 36.76% increase from the 0.14 ROA in the previous year.

Amway (Malaysia) Holdings Bhd Aktienanalyse

What does Amway (Malaysia) Holdings Bhd do?

Amway (Malaysia) Holdings Bhd ist eines der beliebtesten Unternehmen auf Eulerpool.com.

ROA Details

Understanding Amway (Malaysia) Holdings Bhd's Return on Assets (ROA)

Amway (Malaysia) Holdings Bhd's Return on Assets (ROA) is a key performance indicator that measures the company's profitability in relation to its total assets. It is calculated by dividing the net income by the total assets. A higher ROA indicates efficient asset utilization to generate profits, reflecting managerial effectiveness and financial health.

Year-to-Year Comparison

Comparing Amway (Malaysia) Holdings Bhd's ROA year-over-year provides insights into the company’s operational efficiency and asset utilization trends. An increasing ROA demonstrates enhanced asset efficiency and profitability, while a declining ROA can indicate operational or financial challenges.

Impact on Investments

Investors consider Amway (Malaysia) Holdings Bhd's ROA as a crucial metric to evaluate the company’s profitability and efficiency. A higher ROA signifies that the company is effectively utilizing its assets to generate profits, making it a potentially attractive investment.

Interpreting ROA Fluctuations

Variations in Amway (Malaysia) Holdings Bhd’s ROA can be attributed to changes in net income, asset purchases, or operational efficiencies. Analyzing these fluctuations assists in assessing the company's financial performance, management efficiency, and strategic financial positioning.

Frequently Asked Questions about Amway (Malaysia) Holdings Bhd Stock

What is the Return on Assets (ROA) of Amway (Malaysia) Holdings Bhd this year?

The Return on Assets (ROA) of Amway (Malaysia) Holdings Bhd is 0.19 undefined this year.

What was the ROA of Amway (Malaysia) Holdings Bhd compared to the previous year?

The ROA of Amway (Malaysia) Holdings Bhd has increased by 36.76% compared to the previous year.

What consequences do high ROA have for investors of Amway (Malaysia) Holdings Bhd?

A high ROA is advantageous for investors of Amway (Malaysia) Holdings Bhd, as it indicates that the company efficiently utilizes its assets and generates good profits.

What are the consequences of low ROA for investors in Amway (Malaysia) Holdings Bhd?

A low ROA can be unfavorable for investors of Amway (Malaysia) Holdings Bhd as it indicates that the company is inefficiently utilizing its assets and may potentially achieve lower profits.

How does an increase in the ROA of Amway (Malaysia) Holdings Bhd affect the company?

An increase in ROA of Amway (Malaysia) Holdings Bhd can be an indicator of improved efficiency in asset utilization and higher profitability.

How does a reduction in ROA of Amway (Malaysia) Holdings Bhd impact the company?

A reduction in the ROA of Amway (Malaysia) Holdings Bhd can be an indicator of lower asset efficiency and profitability.

What are some factors that can influence the ROA of Amway (Malaysia) Holdings Bhd?

Some factors that can influence the ROA of Amway (Malaysia) Holdings Bhd include revenue, operating costs, asset structure, and industry average.

Why is the ROA of Amway (Malaysia) Holdings Bhd important for investors?

The ROA of Amway (Malaysia) Holdings Bhd is important for investors as it is an indicator of the company's profitability and efficiency in utilizing assets. It provides investors with information on how well the company utilizes its resources to generate profits.

What strategic measures can Amway (Malaysia) Holdings Bhd take to improve ROA?

To improve ROA, Amway (Malaysia) Holdings Bhd can take measures such as cost savings, revenue growth, optimizing asset structure, and diversifying its business activities. It is important for the company to conduct a thorough review of its financial situation to determine the best strategic measures to improve ROA.

How much dividend does Amway (Malaysia) Holdings Bhd pay?

Over the past 12 months, Amway (Malaysia) Holdings Bhd paid a dividend of 0.2 MYR . This corresponds to a dividend yield of about 2.74 %. For the coming 12 months, Amway (Malaysia) Holdings Bhd is expected to pay a dividend of 0.22 MYR.

What is the dividend yield of Amway (Malaysia) Holdings Bhd?

The current dividend yield of Amway (Malaysia) Holdings Bhd is 2.74 %.

When does Amway (Malaysia) Holdings Bhd pay dividends?

Amway (Malaysia) Holdings Bhd pays a quarterly dividend. This is distributed in the months of October, December, April, July.

How secure is the dividend of Amway (Malaysia) Holdings Bhd?

Amway (Malaysia) Holdings Bhd paid dividends every year for the past 23 years.

What is the dividend of Amway (Malaysia) Holdings Bhd?

For the upcoming 12 months, dividends amounting to 0.22 MYR are expected. This corresponds to a dividend yield of 3.04 %.

In which sector is Amway (Malaysia) Holdings Bhd located?

Amway (Malaysia) Holdings Bhd is assigned to the 'Cyclical consumption' sector.

Wann musste ich die Aktien von Amway (Malaysia) Holdings Bhd kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of Amway (Malaysia) Holdings Bhd from 6/21/2024 amounting to 0.05 MYR, you needed to have the stock in your portfolio before the ex-date on 6/7/2024.

When did Amway (Malaysia) Holdings Bhd pay the last dividend?

The last dividend was paid out on 6/21/2024.

What was the dividend of Amway (Malaysia) Holdings Bhd in the year 2023?

In the year 2023, Amway (Malaysia) Holdings Bhd distributed 0.24 MYR as dividends.

In which currency does Amway (Malaysia) Holdings Bhd pay out the dividend?

The dividends of Amway (Malaysia) Holdings Bhd are distributed in MYR.

Stock savings plans offer an attractive way for investors to build wealth over the long term. One of the main advantages is the so-called cost-average effect: by regularly investing a fixed amount in stocks or stock funds, you automatically buy more shares when prices are low, and fewer when they are high. This can lead to a more favorable average price per share over time. In addition, stock savings plans allow small investors access to expensive stocks, as they can participate with small amounts. Regular investment also promotes a disciplined investment strategy and helps to avoid emotional decisions, such as impulsive buying or selling. Furthermore, investors benefit from the potential appreciation of the stocks as well as from dividend distributions, which can be reinvested, enhancing the compounding effect and thus the growth of the invested capital.

Andere Kennzahlen von Amway (Malaysia) Holdings Bhd

Our stock analysis for Amway (Malaysia) Holdings Bhd Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of Amway (Malaysia) Holdings Bhd Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.