Matrix Concepts dividend yield calculator – Matrix Concepts Holdings Bhd Announces 0.02 Cash Dividend

March 19, 2023

Dividends Yield

On March 1 2023, Matrix Concepts ($KLSE:5236) Holdings Bhd Announces 0.02 Cash Dividend, which is lower than the annual dividends per share of 0.09, 0.08, and 0.07 MYR respectively issued in the past 3 years. Investors have seen dividend yields of 5.82%, 5.97%, and 5.97% between 2021 and 2023 with an average dividend yield of 5.92%. If you are looking to invest in dividend stocks, MATRIX CONCEPTS is worth considering, the ex-dividend date for the upcoming year being March 22 2023. With a steady dividend yield, investors can expect to see consistent profits from their investment in MATRIX CONCEPTS.

Stock Price

This news resulted in the MATRIX CONCEPTS stock opening at RM1.5 and closing at RM1.5, up by 0.7% from its prior closing price of 1.5. The announcement marks the company’s latest move in rewarding its investors and further strengthening its position as a leading property development and construction firm in Malaysia. Live Quote…

About the Company

  • Industry Classification
  • Key Executives
  • Ownership (Institutional/ Fund Holdings)
  • News Feed
  • Income Snapshot

    Below shows the total revenue, net income and net margin for Matrix Concepts. More…

    Total Revenues Net Income Net Margin
    1.07k 213.23 19.9%
  • Income Statement Reports (Yearly/ Quarterly/ LTM)
  • Income Supplement
  • Growth Performance
  • Cash Flow Snapshot

    Below shows the cash from operations, investing and financing for Matrix Concepts. More…

    Operations Investing Financing
    152.64 -5.73 -78.18
  • Cash Flow Statement (Yearly/ Quarterly/ LTM)
  • Cash Flow Supplement
  • Balance Sheet Snapshot

    Below shows the total assets, liabilities and book value per share for Matrix Concepts. More…

    Total Assets Total Liabilities Book Value Per Share
    2.65k 689.32 1.56
  • Balance Sheet (Yearly/ Quarterly)
  • Balance Sheet Supplement
  • Key Ratios Snapshot

    Some of the financial key ratios for Matrix Concepts are shown below. More…

    3Y Rev Growth 3Y Operating Profit Growth Operating Margin
    -0.5% -5.9% 27.1%
    FCF Margin ROE ROA
    14.0% 9.3% 6.9%
  • Income Statement Ratios
  • Balance Sheet Ratios
  • Cash Flow Ratios
  • Valuation Ratios
  • Other Ratios
  • Other Supplementary Items
  • Analysis

    At GoodWhale, we analyze the fundamentals of MATRIX CONCEPTS to provide investors with the best advice. After reviewing the Star Chart, MATRIX CONCEPTS is classified as a ‘cow’ – a company that has a track record of paying out consistent and sustainable dividends. Investors looking for steady returns over the long-term should consider an investment in MATRIX CONCEPTS. MATRIX CONCEPTS is strong in terms of assets and profitability, and medium in terms of dividend. However, the company is weak in terms of growth potential. Nevertheless, its high health score of 10/10, considering its cashflows and debt, indicates that it is well-positioned to sustain future operations even during times of crisis. More…

  • Risk Rating Analysis
  • Star Chart Analysis
  • Valuation Analysis

  • Peers

    Matrix Concepts Holdings Bhd is one of Malaysia’s leading property development companies, active in the residential, commercial and industrial sectors. It competes with other public-listed property developers such as Land & General Bhd, Goodland Group Ltd, and Iskandar Waterfront City Bhd. All four companies strive to provide world-class services and to create long-term value for their stakeholders.

    – Land & General Bhd ($KLSE:3174)

    Land & General Bhd is a public listed company in Malaysia specializing in real estate investment and property services. The company has a market cap of 297.31M as of 2023, indicating its solid financial performance and overall market capitalization. Its Return on Equity (ROE) stands at 1.65%, which indicates how the company is able to generate profit from the capital investments it has made in the past. Notably, Land & General Bhd has performed consistently over a long period of time, making it a reliable stock choice for investors.

    – Goodland Group Ltd ($SGX:5PC)

    Goodland Group Ltd is a global provider of technology-driven services and solutions. The company specializes in providing support for the engineering, IT, and business operations of organizations across a variety of industries. As of 2023, the company has a market capitalization of 48.53 million dollars and a return on equity of 4.0%. The market capitalization of Goodland Group Ltd reflects its current stock price multiplied by its total number of outstanding shares, making it a measure of the company’s size in the market. The return on equity measures the amount of return generated on investments made by its shareholders, giving an indication of the company’s financial performance.

    – Iskandar Waterfront City Bhd ($KLSE:1589)

    Iskandar Waterfront City Bhd (IWC) is a Malaysian public-listed company primarily involved in property development and investment, as well as leisure and tourism-related activities. As of 2023, the company has a market capitalization of 340.82 million. This suggests that IWC is a mid-sized company that is doing quite well in the property market. The company’s return on equity is -0.4%, indicating that the company has not been profitable in the past. Despite this, IWC’s prospects are likely to be positive going into the future as the Malaysian economy continues to recover from the Covid-19 pandemic.


    Investing in Matrix Concepts can be a great opportunity for investors looking for steady and reliable dividend yields. Over the past 3 years, the company has paid out annual dividends of 0.09, 0.08, and 0.07 MYR per share, resulting in dividend yields of 5.82%, 5.97%, and 5.97% respectively. These yields are slightly higher than the industry average and provide a steady stream of income for shareholders.

    Furthermore, the company has a strong balance sheet, making it a good long-term investment. Investors should also consider other factors such as the company’s future growth potential, competitive position, and financial performance before making any investment decisions.

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