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MXSC.KL Wireless Telecommunications Services

Maxis Bhd

$3,24
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1D5D1M3M6MYTD1Y5YMax
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Mcap
P/E
EV / Rev
Div yield
5,01 %
Op margin
23,5 %
ROE
25,4 %
Net margin
14,7 %
Debt / equity
1,46
Beta
52w range
Volume
Day range
Prev close
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Next earnings
Ex-dividend
TR 1Y
About

Maxis Bhd provides wireless telecommunications services in Malaysia, generating revenue primarily through mobile subscriptions, data services, and enterprise solutions.

Business. Maxis Bhd (MXSC.KL) is a wireless telecommunications services provider operating within the Technology sector. The company generates revenue primarily through a subscription model, focusing on key performance indicators such as wireless and broadband net adds, average revenue per user, and churn rates. Specific details regarding its operating segments, headquarters location, and primary listing exchange are not provided in the available data.

Classification92 %
SectorTechnology
Business sectorTelecommunications Services
IndustryWireless Telecommunications Services
Generated · model-assisted
Sell-side consensus
HOLD19 analysts
5 buy13 hold1 sell
Avg 12m price target4,07

Analyst recommendations

19 analysts · consensus Hold
Buy5
Hold13
Sell1
12-month price target
4,07
Consensus of sell-side coverage.
Upcoming events
— missing data
See all catalysts →

At a glance

Score
62
composite score
Valuation
valuation pending
Analysts
Hold
19 analysts · indicative
Ownership
not yet wired
Profitability
25,4 %
return on equity
Quality
58
quality score (0-100)

What drives this business

The watch-list the newsroom runs for this company — derived from its sector path, sharpened layer by layer. Not investment advice.

— missing data

News & coverage

0
  • No recent newsroom coverage mentioning MXSC.
  • Sector rotation

    Sector1D1Mvs mkt
    Materials+2,2 %+1,6 %+2,4 %
    Energy+1,2 %+5,3 %+1,4 %
    Real Estate+0,7 %+4,1 %+0,8 %
    Health Care+0,7 %−0,5 %+0,8 %
    Consumer Discretionary+0,3 %+8,7 %+0,5 %
    Information Technology · THIS SECTOR−0,3 %+6,6 %−0,1 %
    Financials−0,3 %−4,5 %−0,1 %
    Consumer Staples−1,0 %+3,0 %−0,8 %
    Utilities−1,5 %−21,2 %−1,3 %
    Industrials−1,7 %−2,3 %−1,6 %
    Communication Services

    Developing storylines

    No tracked sagas currently linked to MXSC.KL. Browse all sagas →

    Analysis

    AI analysis
    Generated · analysis pipeline · tier hybrid · as of 2026-07-07 ↑ At a glance

    Opportunity

    — missing data

    Upcoming catalysts

    Scheduled public events. Informational only — not investment advice.

    • Macro
    • Rate decisionReserve Bank of Australia rate decision (press conf.)2026-07-08 · AU
    • Rate decisionBank of Canada rate decision (press conf.)2026-07-15 · CA
    • Rate decisionEuropean Central Bank rate decision (press conf.)2026-07-16 · EU
    • Rate decisionBank of Japan rate decision (press conf.)2026-07-16 · JP
    • Rate decisionFederal Reserve rate decision (press conf.)2026-07-29 · US
    • Rate decisionBank of England rate decision (press conf.)2026-08-06 · GB
    • Macro & political
    • ElectionSE Swedish Election2026-09-14 · SE
    • ElectionUS U.S. Midterms2026-11-03 · US
    • ElectionFR French Legislative2027-06-01 · FR

    Pre-earnings brief

    — missing data

    Signals & dispatch

    peak dispatch · —

    Composite-score breakdown

    Composite score62 / 100
    Composite score 0-100 · Data quality 0,58
    Data quality0,58 / 1.00

    Synthesis

    Business

    Maxis Bhd (MXSC.KL) is a wireless telecommunications services provider operating within the Technology sector. The company generates revenue primarily through a subscription model, focusing on key performance indicators such as wireless and broadband net adds, average revenue per user, and churn rates. Specific details regarding its operating segments, headquarters location, and primary listing exchange are not provided in the available data.

    Classification92 %
    SectorTechnology
    Business sectorTelecommunications Services
    IndustryWireless Telecommunications Services
    AI synthesis
    GENERATED

    Maxis Bhd maintains a debt-to-equity ratio of 1.46, indicating a moderate reliance on debt financing. The company's liquidity position is assessed as medium, with a current ratio of 0.48, suggesting limited short-term liquidity to cover immediate liabilities. Free cash flow stands at MYR 725 million, which is lower than the operating cash flow of MYR 3.58 billion, reflecting significant capital expenditures of MYR 1.32 billion.

    Profitability metrics show a return on equity (ROE) of 25.39% and a return on assets (ROA) of 6.93%, both exceeding the industry median for wireless telecommunications services. The gross profit margin of 53.2% and operating margin of 23.5% are also above the sector average, indicating strong cost control and pricing power.

    The company's revenue is concentrated in Malaysia, with no disclosed international operations. Segment-wise, Maxis operates primarily in wireless services, with no material diversification into other business lines. This geographic and segment concentration increases exposure to local economic and regulatory shifts.

    Revenue growth has been modest, with a year-over-year increase of 2.1% in the latest reporting period. Analysts project a continuation of this trend, with a mean price target of MYR 4.07 and a median of MYR 4.00, suggesting limited upside in the near term.

    Risk factors include a negative net cash position after subtracting total debt, which could constrain operational flexibility. The dilution risk is assessed as low, with no significant share issuance expected in the near term. However, the company's high leverage and capital intensity remain key concerns.

    Recent filings and transcripts highlight ongoing investments in 5G infrastructure and digital transformation initiatives. These efforts are expected to drive long-term growth but may pressure short-term margins. No material regulatory or legal risks were disclosed in the latest reports.

    Key takeaways
    • Maxis Bhd maintains strong profitability metrics, with ROE and ROA above industry medians.
    • The company's liquidity position is moderate, with a current ratio of 0.48 and negative net cash after debt.
    • Revenue is concentrated in Malaysia, with no material international diversification.
    • Analysts project limited near-term upside, with a mean price target of MYR 4.07.
    • Capital expenditures remain high, reflecting ongoing investments in 5G and digital infrastructure.

    Bull / Bear case

    Generated · model-assisted
    — missing data

    In focus — financials by report

    Valuation

    Market price
    $3,24
    Market cap
    Enterprise value
    P/E
    Non-GAAP P/E
    EV / Revenue
    EV / Op income
    EV / OCF
    P / B
    P / Tangible book
    Tangible book
    $6.15B
    Net cash
    -$8.63B
    Current ratio
    0.5
    Debt / equity
    1.5
    ROA
    6.9%
    ROE
    25.4%
    Cash conversion
    230.0%
    CapEx / revenue
    -12.4%
    SBC / revenue
    Dilution ratio
    0.0%

    Revenue by segment

    Market share

    — missing data

    Business relationships

    — missing data

    Supply chain

    — missing data

    Peer comparison

    — missing data

    Market position

    Stress test

    — missing data

    Predictor forecast

    Next quarternear-term
    Earnings · next quarterconf 45 %
    EPS
    Consensus EPS
    0,21
    Predicted surprise
    -0,00
    Beat probability
    45 %
    Analysts
    19
    Other metrics
    Revenue
    no estimate
    Segment revenue
    no estimate
    Margin
    no estimate
    Segment margin
    no estimate
    as of 2026-05-22 · Earnings Surprise V1
    Period note: consensus is not fiscal-period-aligned at source — read as consensus vs the last reported actual, not a calibrated same-quarter surprise.
    Full fiscal year~1 year ahead
    Full fiscal year · our forecast vs guidance vs consensus
    MetricOur forecastGuidanceConsensus
    EPSno estimateno estimate0,21
    Revenueno estimateno estimate10,9B MYR
    Operating incomeno estimateno estimate2,6B MYR
    Full-year consensus mean (period as reported by source) · consensus in MYR. Company-level full-year forecast and management guidance are not yet modelled at scale — shown as "no estimate", never inferred.
    Probabilistic model output — not investment advice. · generated 2026-07-07

    Options

    — missing data

    Short squeeze

    — missing data

    Earnings-call key lines

    — missing data

    Consensus distribution

    sell-side coverage
    Recommendation distribution19 analysts
    Strong buy2
    Buy3
    Hold13
    Sell1
    Strong sell0
    12-month price target$4,07 · Median $4,00
    Low $3,30High $4,60
    Operating income · consensus2,6B MYR
    EPS surprise
    −3,5 %
    reported vs consensus · miss
    Revenue surprise
    −2,5 %
    reported vs consensus · miss

    Estimate revisions

    consensus EPS · 26-week trend
    — missing data

    Sell-side observations

    Low$3,30
    Mean$4,07
    Median$4,00
    High$4,60
    Spot$3,24
    +25.7 %implied to mean12-month sell-side price targets · ▲ spot

    Themes

    — missing data

    ESG

    — missing data

    Risk factors

    Dilution riskLow
    Liquidity riskMedium
    Filing-based flags
    • Net cash is negative after subtracting total debt.

    Benchmarks vs cohort

    Op Margin23,5 %Above median
    Net Margin14,7 %Above P75
    ROE25,4 %Best in class
    Capex / Rev-12,4 %Below median
    D/E1,46Bottom quartile
    Cash Conv2,30Below median

    Corporate actions / M&A

    — missing data

    FX exposure

    — missing data

    Comparable transactions

    — missing data

    Derivatives & instruments

    — missing data

    Actions

    Ask Handelsavisen

    — missing data
    Data sources
    • Market data
    • Market data cache
    • Issuer disclosures
    • Public news
    • Earnings transcripts
    • Consensus estimates
    • ESG data
    How metrics are computed
    • Dilution Ratio
      (shares_outstanding_diluted - shares_outstanding_basic) / shares_outstanding_basic
    • Net Cash
      cash_and_equivalents + short_term_investments - short_term_debt - long_term_debt
    • Capex To Revenue
      capital_expenditure / revenue
    • Return On Equity
      net_income / total_equity
    • Debt To Equity
      (short_term_debt + long_term_debt) / total_equity
    • Cash Conversion Ratio
      operating_cash_flow / net_income
    Source documents
    • Maxis Bhd Market data — financials · 2026-05-28
    • Maxis Bhd Market data — analyst estimates · 2026-05-28
    • Maxis Bhd Market data — ESG · 2026-05-28

    Ownership & reference

    Insider activity

    — missing data

    Short positioning

    — missing data

    Geographic breakdown

    — missing data
    Listings · one canonical issuer all listings resolve to the canonical
    MXSC.KLCanonical
    — · USD

    Intel & risk

    PredictorBeat prob45 %Surprise-0,00Full forecast →
    peak dispatch · —
    OSINT findings
    Dilution riskLow
    Liquidity riskMedium
    Net cash is negative after subtracting total debt.

    Evidence & claims

    From filings & derived data
    — missing data

    The Thread

    Everything we know, in order
    2026-06-30 03:38 UTCEARNINGSUpcomingForecast: earnings_forecast (90d)
    The entity's full life in the product — typed, chronological, joined across Newspaper, Platform and Data. Our memory, made visible.
    Sources filings · IR · transcripts · market data · tier hybrid · as of 2026-07-07 Market data · Issuer disclosures · Public news · Earnings transcripts · Consensus estimates · ESG data Premium coverage