Hap Seng Consolid Dividend yield

A | B | C | D | E | F | G | H | I | J | K | L | M | N | O | P | Q | R | S | T | U | V | W | X | Y | Z
   MYR per share 
 Price  9.85
 Dividend  0.35
 Earnings  0.44
 Cash-flow  -0.31
 Book value  2.29
 Equity  2.24

Hap Seng Consolid is part of Chemicals business, which is part of Basic Materials industry. Hap Seng Consolid is a company from Malaysia, and his stocks are publicly traded.

Hap Seng Consolid paid a total dividend of 872 million MYR last year, for a market value of 24,527 millions (Market Cap 6,398 millions). Dividend per share of Hap Seng Consolid is 0.35 MYR, and his stock market price 9.85 MYR.

According to the chart below, where dividend yield is displayed, Hap Seng Consolid has a dividend yield of 3.55%, which is similar to the amount offered by both the market average and companies from Malaysia. However, it is lower than the average of Basic Materials industry. The company should be deeply analized because dividend yields should be similar among companies from the same industry unless they carry an opposite strategy.

In addition, you should compare Hap Seng Consolid dividend yield with other Chemicals companies or firms from Malaysia.

Dividend yield of Hap Seng Consolid

Hap Seng Consolid Dividend Payout

About the ability of Hap Seng Consolid to maintain his current dividend of MYR 0.35 per share, an amount that accounts for 3.55%, we should study its payout ratio both on earnings and on cash-flows (see chart below). Hap Seng Consolid payout on ernings is currently 79.55%, which is higher than the market average, and companies of Basic Materials industry, which are 40.41% and 46.31% respectively. Both figures show that Hap Seng Consolid can have problems to keep with his present dividend yield.

The payout on earnings should be complemented with the payout on cash flow since it is this last amount the one which can be distributed to shareholders. Cash flow per share of Hap Seng Consolid is MYR -0.31 per share, which is lower than the dividend per share paid by the company of MYR 0.35, so the company does not generate enough cash to maintain his dividend in the future.

The following figure shows payout ratios over earnings and cashflow of Hap Seng Consolid, compared againt world market average, Malaysia companies, Basic Materials industry and Chemicals sector companies.

Hap Seng Consolid payout

Hap Seng Consolid Stock performance

Finally, last moth Hap Seng Consolid showed a return of 0.00% compared to a worldwide -5.60% average, and a -3.44% of Basic Materials firms. Over the last year, the company obtained a 3.10% versus a worldwide performance of a -11.41%. More detailed information can be seen in the following graph for Malaysia and Chemicals firms.

Hap Seng Consolid stock and market return

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