Skip to main content

Maxis Berhad (6012.KL) Fundamentals

As of May 24, 2026

TL;DR — Maxis Berhad (6012.KL) fundamentals as of May 24, 2026

Maxis Berhad (6012.KL) trades at a trailing P/E of 17.8x and a P/B of 4.51x. Return on equity is 25.4%, return on invested capital is 10.5%, and the company carries a debt-to-equity ratio of 1.46. The current ratio sits at 0.46, free cash flow yield is 7.7%, and the dividend yield is 497.0%. PASS — clears all three quality screens.

For intrinsic value (DCF, owner earnings, Graham number) and the full 5-pillar score, see the 6012.KL overview page.

Full Fundamentals Table

Every key indicator we track for 6012.KL fundamentals, grouped by category. Industry median is shown where a sector classification is available.

Metric6012.KLCommunication Services medianWhat it measures
Revenue (TTM)View full statement-Trailing twelve-month total revenue
Net Income (TTM)View full statement-Bottom-line profit after taxes and interest
Free Cash Flow (TTM)View full statement-Cash from operations minus CapEx
EPS (TTM)N/A-Earnings per diluted share
ROE25.4%15%Return on Equity — net income / shareholder equity
ROA6.9%-Return on Assets — net income / total assets
ROIC10.5%-Return on Invested Capital — NOPAT / (debt + equity)
P/E (Trailing)17.8x18xPrice / earnings — how many years of profit to recoup price
P/B4.51x3xPrice / book value — premium over net assets
P/S2.62x-Price / sales — useful when earnings are noisy
EV/EBITDA8.3x-Enterprise value / EBITDA — capital-structure neutral
Debt / Equity1.460.90Leverage — lower = less reliance on debt
Current Ratio0.46-Current assets / current liabilities — short-term liquidity
Dividend Yield497.0%-Annual dividend / current price

5-Year Trend

Indexed revenue growth path for 6012.KL over the past five fiscal years (base = 100). Used as a quick sanity check on whether the top line is compounding or stalling.

Trend indexed from 1-year revenue growth rate. Full statement available in the analyst tier.

Industry Comparison

Across Communication Services, the median company prints P/E around 18x, P/B near 3x, ROE close to 15%, and a debt-to-equity ratio of 0.9. 6012.KL's reading on each metric is in the ratio table above — anything materially above the median valuation multiple deserves a thesis to justify the premium, anything materially below the median return-on-capital flags an operational gap.

Compare 6012.KL side-by-side with sector peers in the Communication Services stock list.

Quality Triple Check

  • Piotroski F-Score

    Nine-point checklist for accounting quality and operational efficiency

    6/9

    PASS

  • Beneish M-Score

    Earnings-manipulation detector — below -2.22 is healthy

    -2.83

    PASS

  • Altman Z-Score

    Bankruptcy-risk model — above 2.99 is "safe zone"

    3.30

    PASS

Verdict: PASS — clears all three quality screens. Reasonable accounting hygiene, low manipulation risk, and bankruptcy-safe.

Next steps

Frequently asked about 6012.KL fundamentals

What are the key fundamentals for Maxis Berhad (6012.KL)?

The core 6012.KL fundamentals are P/E 17.8, ROE 25.4%, ROIC 10.5%, debt/equity 1.46, and dividend yield 497.0%. The complete ratio table on this page covers revenue, net income, FCF, EPS, ROA, P/B, P/S, EV/EBITDA, and current ratio.

How does 6012.KL compare to its Communication Services peers?

The Communication Services sector median P/E is roughly 18x, ROE 15%, and D/E 0.9. 6012.KL prints P/E 17.8, ROE 25.4%, and D/E 1.46. Use the Industry Comparison row in the ratio table for the full diff.

Does 6012.KL pass the Quality Triple Check?

6012.KL passes 3 of 3 quality screens (Piotroski F-Score, Beneish M-Score, Altman Z-Score). Detailed verdict above.

How is "fundamentals" different from intrinsic value?

Fundamentals describe what the business looks like today: profit, cash flow, leverage, returns on capital. Intrinsic value uses those fundamentals as inputs to a DCF (or similar model) and discounts the future cash flows back to today. Use both — fundamentals tell you whether a business is healthy, intrinsic value tells you whether the price is fair.

How often does ValueMarkers update 6012.KL fundamentals?

Cached financial statements refresh every 12 hours. The ratio table on this page is rebuilt every 6 hours via Next.js ISR, and the underlying FMP data refreshes on each new earnings release.

Weekly Stock Analysis - Free

5 undervalued stocks, fully modeled. Every Monday. No spam.

Cookie Preferences

We use cookies to analyze site usage and improve your experience. You can accept all, reject all, or customize your preferences.