Risk factor
Negligible price volatility
Profitability factor
Strong margins and returns
About
Telekom Malaysia Berhad stands as a leading Malaysian telecommunications provider, delivering a wide spectrum of communication and related services across Malaysia and internationally. Its operations are structured across segments such as unifi, TM ONE, and TM Global. The company's extensive offerings span fixed and mobile telephony, broadband internet, content, Wi-Fi, and advanced digital solutions including cloud computing, data centers, cybersecurity, IoT, and smart services. Furthermore, it develops and maintains crucial network infrastructure, such as fiber optic transmission networks, alongside offering network connectivity, project management, and an array of value-added IT and telecommunication services. Beyond its primary telecom functions, the company is involved in research and development, software sales, property ventures, the administration of a multimedia university, and specialized provisions such as smart building management, fleet management, and ICT system security. Established in 1946, Telekom Malaysia is headquartered in Kuala Lumpur.
Company Valuation
From both historical and forecast perspectives, the stock is fairly priced compared to similar stocks. In particular, the stock is reasonably priced on P/E, of fair value
Target Price
The average target price of 4863.KL is 8.4 and suggests 12% upside potential. Usually, this means a HOLD recommendation among investment firms. This neutral recommendatio