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Axiata Group Berhad Axiata Group Berhad

Axiata Group Berhad

6888
Clasificación en acciones #3925
Axiata Group Berhad operates as an investment holding company with a primary... Axiata Group Berhad operates as an investment holding company with a primary focus on delivering a wide array of telecommunications services. Its core offerings include extensive mobile communications, alongside solutions for interconnectivity, device sales, pay-TV broadcasting, and high-speed broadband. The company is also proficient in developing and managing telecommunications infrastructure, providing network capacity, international carrier services, enterprise solutions, and comprehensive technical and operational support. Beyond its foundational telecom business, Axiata's portfolio diversifies into media and digital sectors, covering software development, multimedia content, data backbone provision, fixed wireless access, and both traditional and direct-to-home satellite television broadcasting. Within the financial domain, it offers digital credit facilities, micro-financing, insurance, money lending, and manages an e-wallet mobile application. The Group's operations further extend to IT-related services, venture capital investments, the full lifecycle management of networks (from development to maintenance), software licensing, and e-learning content. Axiata is also actively involved in the retail and distribution of communication devices and operates its own network of stores. Additional ventures include e-commerce and digital marketing, the construction of fiber optic transmission networks, multimedia advertising, online ticketing, data processing, and management consulting. It also runs mobile virtual network enabler (MVNE) platforms and handles marketable securities. Furthermore, Axiata's interests encompass commercial property development and leasing, the sale of IT-enabled equipment, provision of personnel for call center operations, and the development and operation of e-commerce infrastructure tailored for the healthcare industry. The company also supplies comprehensive IT and information and communications technology (ICT) services to non-mobile network operator businesses. Axiata Group Berhad, established in 1992, is headquartered in Kuala Lumpur, Malaysia.
Precio por acción
$0.48368548
Capitalización bursátil
$4.44B
Cambio (1 día)
-0.53%
Cambio (1 año)
-20.97%
País
MY
Comercio Axiata Group Berhad (6888)
Ratio P/E de Axiata Group Berhad (6888)
Ratio P/E al 2026 TTM: 0
Según los últimos informes financieros y el precio de las acciones de Axiata Group Berhad, el P/E actual (TTM) de la empresa es 0. Al final de 2026, la empresa tenía un P/E de 0.
Historial del ratio P/E de Axiata Group Berhad desde 2026 hasta 2026
Relación P/E al final de cada año
Año Ratio P/E Cambiar
Not enough data for the provided dates.
Relación P/E para empresas similares o competidores
Empresa P/E Ratio Diferencia del P/E Ratio País
- -
HK
12.63 -
US
19.06 -
US
8.21 -
US
- -
DE
¿Cómo leer un P/E ratio?

El ratio Precio/Beneficio (P/E Ratio) mide la relación entre el precio de las acciones de una empresa y sus beneficios por acción.
Un P/E bajo pero positivo indica una empresa con altos beneficios en relación a su valoración actual y que podría estar infravalorada. Una empresa con un P/E negativo alto (cerca de 0) indica fuertes pérdidas en comparación con su valoración.

Las empresas con un P/E superior a 30 o negativo suelen considerarse "acciones de crecimiento", lo que significa que los inversores esperan que crezca o se vuelva rentable en el futuro.

Las empresas con un P/E positivo inferior a 10 suelen considerarse "acciones de valor", lo que significa que ya son muy rentables y no se espera un fuerte crecimiento.