Top 5 High Dividend Paying Stock Bursa Malaysia

Top 5 High Dividend Paying Stock Bursa Malaysia

Bursa Malaysia is the most dominant market of share trading Malaysia, and dividend play the important role for passive income in the stock market and that’s why Investors always attracted to a high dividend yield stock. 
The return expected in high dividend stocks either in the form of the share dividend or cash dividend. Share investors have a great interest in high dividend sharing stocks. They always plan for long-term investment which creates good revenue for them instead of any other investment scheme.  

Here Multi Management team of research analyst find top 5 high dividends paying stock as per the trader’s interest to trade in Bursa Malaysia 2018.

1. BPLANT (Boustead Plantations Bhd)

Boustead Plantations Berhad is an investment holding company incorporated in 1946 and is based in Kuala Lumpur, Malaysia. Boustead Plantations Berhad is a subsidiary of Boustead Holdings Berhad. The company owns, operates, and manages oil palm and rubber cultivation and processing in Malaysia. 
The company operates through Plantation and Others segments. It cultivates oil palms; harvests its fresh fruit bunches, and produces and sells crude palm oil and palm kernel. Its plantations are located in Peninsular Malaysia, Sabah and Sarawak. The others segment consists of plantations consultancy and investing activities. The Company operates over 40 estates, which are located in Peninsular Malaysia and East Malaysia.

Key Statistics
Market Cap 1,824.000 M
Dividend Yield 10.97%
PE 2.742

 

Total Shareholder Return
Period Dividend Received Capital Appreciation
Total Shareholder Return
Short Term Return
5 Days -0.05 -4.20%
10 Days 0.025 -0.11 -6.80%
20 Days 0.025 -0.11 -6.80%
Medium Term Return
3 Months 0.025 -0.14 -8.98%
6 Months 0.05 -0.053 -0.25%
1 Year 0.19 0.026 19.39%
Long Term Return
2 Years 0.28 0.115 38.54%
3 Years 0.4 0.245 72.07%

 

2. ANNJOO (Ann Joo Resources Bhd)

Ann Joo Resources Berhad is an investment holding company which trades, retails, and supplies building and construction materials and steel and iron products. Ann Joo also works in the production of hardware and steel materials and is involved in property management. The company was founded by Kah Seng Lim in 1946 and is headquartered in Petaling Jaya, Malaysia. 
Business activity of the group is divided into two segments namely Manufacturing and Trading segment and Investment Holding, Property Management and Others. The Manufacturing Division segment manufactures and trades iron, steel, and steel related products. The Trading Division segment trades steel and steel related products, hardware, building and construction materials, and operates steel service center.

 

Key Statistics
Market Cap 939.104 M
Dividend Yield 10.42%
PE 4.572

 

Total Shareholder Return
Period Dividend Received Capital Appreciation
Total Shareholder Return
Short Term Return
5 Days 0.06 -0.12 -3.21%
10 Days 0.06 -0.18 -6.22%
20 Days 0.06 -0.38 -15.02%
Medium Term Return
3 Months 0.06 -0.51 -19.91%
6 Months 0.19 -1.6 -42.09%
1 Year 0.203 -1.93 -46.93%
Long Term Return
2 Years 0.425 -0.187 12.29%
3 Years 0.425 0.975 180.65%
5 Years 0.455 0.498 76.12%

 

3. SUNWAY (Sunway Bhd)

Sunway Bhd. is a Malaysia based property development and construction company with the business division in property, construction, hospitality, retail, leisure, commercial, trading and manufacturing, building materials, quarrying, healthcare, education, and a real estate investment trust. 
The company was founded by Jeffrey Cheah on November 10, 2010, and is headquartered in Subang Jaya, Malaysia. The property division develops residential and nonresidential properties including retail, healthcare, hospitality, leisure, and commercial assets. The construction division is involved in civil engineering, industrial building systems, geotechnical solutions, machinery, and logistics. The retail division owns and manages shopping malls.

Key Statistics
Market Cap 2,837.737 M
Dividend Yield 10.35%
PE 4.437

 

Total Shareholder Return
Period Dividend Received Capital Appreciation
Total Shareholder Return
Short Term Return
5 Days -0.04 -2.56%
10 Days -0.04 -2.56%
20 Days -0.02 -1.30%
Medium Term Return
3 Months -0.09 -5.59%
6 Months 0.03 -0.05 -1.27%
1 Year 0.06 -0.439 -19.35%
Long Term Return
2 Years 0.15 0.17 23.70%
3 Years 0.52 0.133 47.08%
5 Years 0.68 0.293 79.30%

 

4. GKENT (George Kent Bhd)

George Kent (Malaysia) Bhd. is an investment holding and management company which core businesses are in the water and construction industries. The company functioning in engineering and manufacturing trading, and investment, development of services development of water infrastructure projects and provision of construction services.
The company was founded in 1936 and is headquartered in Puchong, Malaysia and exports its products to Singapore, Thailand, Vietnam, Myanmar, Cambodia, Indonesia, Philippines, Papua New Guinea, Australia, Hong Kong, Sri Lanka, Kenya, South Africa, South America, and the United Kingdom.

Key Statistics
Market Cap 560.314 M
Dividend Yield 9.55%
PE

4.504

 

Total Shareholder Return
Period Dividend Received Capital Appreciation
Total Shareholder Return
Short Term Return
5 Days -0.02 -1.56%
10 Days
20 Days -0.14 -10.00%
Medium Term Return
3 Months -0.23 -15.44%
6 Months 0.05 -3.15 -70.29%
1 Year 0.095 -1.55 -51.78%
Long Term Return
2 Years 0.195 -0.233 -2.55%
3 Years 0.265 0.508 102.79%
5 Years 0.393 0.804 262.50%

 

5. CSCSTEL (CSC Steel Holdings Bhd)

CSC Steel Holdings Berhad is an investment holding company engaged in manufacturing and marketing steel products primarily in the Asia Pacific and Europe. 
The firm operates through the Cold Rolled and Coated Steel Products; and Investment Holding business segments. It offers its products through the Real Zinc and Real Color brands. The company was founded on January 20, 2004, and is headquartered in Ayer Keroh, Malaysia.

Key Statistics
Market Cap 421.002 M
Dividend Yield 8.77%
PE 7.039

 

Total Shareholder Return
Period Dividend Received Capital Appreciation
Total Shareholder Return
Short Term Return
5 Days -0.01 -0.87%
10 Days -0.06 -5.00%
20 Days -0.18 -13.64%
Medium Term Return
3 Months 0.05 -0.2 -11.19%
6 Months 0.05 -0.26 -15.00%
1 Year 0.1 -0.65 -30.73%
Long Term Return
2 Years 0.24 -0.702 -25.08%
3 Years 0.32 0.209 56.82%
5 Years 0.42 -0.019 34.60%

 

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