MY Stock MarketDetailed Quotes

1155 MAYBANK

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  • 10.400
  • -0.020-0.19%
15min DelayTrading Nov 14 12:09 CST
125.50BMarket Cap12.84P/E (TTM)

MAYBANK Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
4.78%-14.06B
-21.99%8.43B
-60.92%5.16B
72.10%10.22B
45.15%-1.1B
-309.58%-14.77B
384.41%10.81B
-16.57%13.21B
160.53%5.94B
-201.79%-2B
Net profit before non-cash adjustment
2.17%3.44B
12.65%3.44B
5.56%12.53B
-15.65%2.95B
1.83%3.16B
46.53%3.37B
2.71%3.06B
9.05%11.87B
28.56%3.5B
36.62%3.1B
Total adjustment of non-cash items
-118.98%-105.24M
-171.76%-383.65M
-79.43%1.1B
-76.82%159.56M
-112.20%-145.22M
-79.62%554.62M
-30.24%534.61M
18.65%5.37B
-52.18%688.29M
-13.79%1.19B
-Depreciation and amortization
-1.03%285.97M
-0.08%284.39M
6.66%1.15B
1.20%320.16M
-6.95%257.58M
17.69%288.94M
18.24%284.62M
4.67%1.08B
25.33%316.38M
8.31%276.81M
-Reversal of impairment losses recognized in profit and loss
-111.26%-1.45M
213.83%76.49M
-124.42%-145.15M
124.92%27.19M
-150.99%-117.98M
-95.97%12.83M
-143.74%-67.2M
4.13%594.49M
-121.35%-109.11M
25,166.20%231.36M
-Assets reserve and write-off
-2.69%716.31M
33.03%659.42M
-9.46%2.49B
36.52%688.33M
-23.75%571.23M
-23.95%736.07M
-6.52%495.71M
-8.31%2.75B
81.78%504.2M
-38.42%749.17M
-Share of associates
-31.48%-72.26M
12.69%-66.85M
-83.66%-240.33M
-670.53%-63.22M
-53.82%-45.58M
-26.34%-54.96M
-54.64%-76.57M
29.72%-130.85M
81.24%-8.21M
54.82%-29.63M
-Disposal profit
-114.53%-1.08B
-672.95%-1.38B
-473.94%-2.47B
-653.15%-923.1M
-549.64%-865.54M
-144.11%-502.12M
19.79%-178.21M
268.22%660.25M
-153.93%-122.57M
-10.82%-133.24M
-Remuneration paid in stock
----
----
----
----
----
----
----
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----
-33.46%18.3M
-Other non-cash items
-41.27%43.37M
-47.09%40.35M
-23.31%315.36M
-11.02%151.15M
-81.76%14.11M
45.90%73.85M
-32.75%76.26M
2.79%411.19M
-15.37%169.86M
14.44%77.33M
Changes in working capital
6.91%-17.4B
-25.56%5.38B
-110.52%-8.47B
305.89%7.11B
34.69%-4.11B
-1,023.09%-18.69B
578.34%7.22B
-1,039.12%-4.02B
112.54%1.75B
-273.52%-6.29B
-Change in restricted cash
77.16%-626.55M
-65.43%381.94M
68.69%-1.96B
103.50%204.84M
-129.83%-528.44M
-7,024.91%-2.74B
605.62%1.1B
-13,682.58%-6.26B
-1,574.62%-5.86B
-185.52%-229.93M
-Change in loans
-339.21%-14B
-1,162.58%-15.42B
-32.41%-43.72B
-9,147.96%-26.13B
-6.67%-13.19B
74.87%-3.19B
84.13%-1.22B
-13.80%-33.02B
97.77%-282.5M
-370.62%-12.36B
-Change in financial assets
106.81%817.74M
51.03%-4.09B
-97.95%-29.12B
-316.82%-14.78B
173.75%6.01B
-4,586.29%-12B
38.80%-8.35B
-50.81%-14.71B
399.62%6.82B
38.30%-8.15B
-Change in deposits by banks and customers
-259.28%-2.39B
22,448.76%23.7B
19.69%41.25B
784.80%28.1B
20.57%11.76B
-84.13%1.5B
-100.55%-106.03M
34.74%34.46B
-188.37%-4.1B
119.01%9.75B
-Change in financial liabilities
67.55%-3.66M
580.41%30.23M
186.73%22.6B
192.74%22.62B
-102.70%-637K
-108.82%-11.28M
-245.44%-6.29M
345.05%7.88B
338.11%7.73B
138.05%23.58M
-Changes in other current assets
46.42%-1.2B
-95.11%771.9M
-44.69%1.39B
47.86%-4B
-274.45%-8.16B
-146.49%-2.25B
2,271.92%15.8B
-83.98%2.51B
-55.58%-7.68B
-50.36%4.68B
-Changes in other current liabilities
----
----
-78.55%1.1B
----
----
----
----
309.69%5.12B
----
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Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
21.64%-742.72M
-1.43%-716.4M
21.76%-3.37B
60.83%-945.98M
-19.33%-768.61M
-125.05%-947.79M
14.47%-706.31M
-56.04%-4.31B
-139.09%-2.41B
-31.88%-644.09M
Other operating cash inflow (outflow)
6K
Operating cash flow
5.79%-14.8B
-23.63%7.72B
-79.85%1.79B
163.25%9.27B
29.44%-1.87B
-337.21%-15.71B
618.68%10.11B
-31.89%8.91B
132.56%3.52B
-279.07%-2.64B
Investing cash flow
Net PPE purchase and sale
-41.66%-111.17M
60.15%-37.07M
-40.61%-418.81M
-55.61%-189.88M
33.26%-57.42M
-58.66%-78.48M
-130.73%-93.03M
-53.34%-297.84M
-122.45%-122.02M
-73.69%-86.04M
Net intangibles purchase and sale
8.36%-92.05M
19.66%-53.34M
-34.84%-465.86M
-17.85%-185.06M
-33.96%-113.97M
-91.68%-100.44M
-30.22%-66.39M
-36.70%-345.5M
-172.18%-157.04M
4.52%-85.08M
Net business purchase and sale
-2,034.04%-14.6M
-586.77%-49.1M
--0
--0
273.28%6.39M
-57.20%755K
-471.18%-7.15M
--0
--0
85.77%-3.69M
Dividends received (cash flow from investment activities)
39.31%84.23M
17.43%47.16M
12.61%210.1M
-12.24%47.47M
67.27%62.01M
-1.13%60.46M
17.27%40.16M
14.90%186.56M
53.54%54.09M
-0.18%37.07M
Net changes in other investments
----
----
-167.30%-16.42M
-353.53%-2.87M
----
----
----
5.11%-6.14M
-78.98%1.13M
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Investing cash flow
-13.21%-133.59M
26.95%-92.38M
-49.30%-691.85M
-47.47%-330.34M
19.37%-117.07M
-202.75%-118M
-128.95%-126.45M
-57.40%-463.39M
-198.79%-224M
-4.23%-145.19M
Financing cash flow
Net issuance payments of debt
926.00%3.81B
184.68%2.76B
7.59%-3.63B
-99.06%9.2M
-84.56%-756.37M
109.01%371.32M
-761.09%-3.26B
-148.32%-3.93B
130.79%977.31M
-116.72%-409.83M
Net common stock issuance
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--0
--0
----
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-70.86%1.41B
-53.45%652.18M
38.61%-873K
Increase or decrease of lease financing
5.00%-24.65M
-7.00%-138.82M
-32.82%-657.11M
-49.76%-524.78M
154.04%23.35M
-1,873.23%-25.95M
-30.01%-129.74M
-18.72%-494.74M
-22.84%-350.42M
-35.41%-43.22M
Cash dividends paid
--0
-3.44%-3.74B
-2.85%-7.11B
--0
---3.5B
--0
---3.62B
24.72%-6.92B
-2.37%-3.35B
--0
Cash dividends for minorities
-27.12%-170.36M
---6.69M
-49.66%-138.44M
-131.25%-65K
-4.11%-4.36M
---134.02M
--0
-2.12%-92.51M
485.19%208K
27.62%-4.19M
Financing cash flow
1,610.25%3.61B
83.88%-1.13B
-15.11%-11.54B
75.12%-515.64M
-824.03%-4.23B
103.01%211.36M
-1,365.07%-7B
-86.49%-10.02B
61.21%-2.07B
-113.12%-458.11M
Net cash flow
Beginning cash position
-11.00%47.99B
-19.14%41.1B
-2.03%50.83B
-34.61%32.75B
-26.17%39.01B
2.03%53.92B
-2.03%50.83B
18.42%51.88B
-26.46%50.09B
-16.44%52.84B
Current changes in cash
27.51%-11.32B
118.24%6.5B
-560.45%-10.44B
587.61%8.42B
-91.39%-6.22B
-3,529.74%-15.62B
241.00%2.98B
-121.33%-1.58B
107.55%1.23B
-167.25%-3.25B
Effect of exchange rate changes
-112.14%-86.92M
253.57%388.26M
33.84%707.43M
84.13%-77.18M
-108.17%-40.95M
69.31%715.75M
20.95%109.81M
-19.94%528.55M
-34,500.21%-486.42M
824.98%501.44M
End cash Position
-6.24%36.58B
-11.00%47.99B
-19.14%41.1B
-19.14%41.1B
-34.61%32.75B
-26.17%39.01B
2.03%53.92B
-2.03%50.83B
-2.03%50.83B
-26.46%50.09B
Free cash flow
5.47%-15.03B
-23.38%7.62B
-89.18%893.4M
174.00%8.89B
27.57%-2.04B
-343.89%-15.9B
657.25%9.94B
-34.61%8.26B
129.67%3.24B
-310.58%-2.82B
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities 4.78%-14.06B-21.99%8.43B-60.92%5.16B72.10%10.22B45.15%-1.1B-309.58%-14.77B384.41%10.81B-16.57%13.21B160.53%5.94B-201.79%-2B
Net profit before non-cash adjustment 2.17%3.44B12.65%3.44B5.56%12.53B-15.65%2.95B1.83%3.16B46.53%3.37B2.71%3.06B9.05%11.87B28.56%3.5B36.62%3.1B
Total adjustment of non-cash items -118.98%-105.24M-171.76%-383.65M-79.43%1.1B-76.82%159.56M-112.20%-145.22M-79.62%554.62M-30.24%534.61M18.65%5.37B-52.18%688.29M-13.79%1.19B
-Depreciation and amortization -1.03%285.97M-0.08%284.39M6.66%1.15B1.20%320.16M-6.95%257.58M17.69%288.94M18.24%284.62M4.67%1.08B25.33%316.38M8.31%276.81M
-Reversal of impairment losses recognized in profit and loss -111.26%-1.45M213.83%76.49M-124.42%-145.15M124.92%27.19M-150.99%-117.98M-95.97%12.83M-143.74%-67.2M4.13%594.49M-121.35%-109.11M25,166.20%231.36M
-Assets reserve and write-off -2.69%716.31M33.03%659.42M-9.46%2.49B36.52%688.33M-23.75%571.23M-23.95%736.07M-6.52%495.71M-8.31%2.75B81.78%504.2M-38.42%749.17M
-Share of associates -31.48%-72.26M12.69%-66.85M-83.66%-240.33M-670.53%-63.22M-53.82%-45.58M-26.34%-54.96M-54.64%-76.57M29.72%-130.85M81.24%-8.21M54.82%-29.63M
-Disposal profit -114.53%-1.08B-672.95%-1.38B-473.94%-2.47B-653.15%-923.1M-549.64%-865.54M-144.11%-502.12M19.79%-178.21M268.22%660.25M-153.93%-122.57M-10.82%-133.24M
-Remuneration paid in stock -------------------------------------33.46%18.3M
-Other non-cash items -41.27%43.37M-47.09%40.35M-23.31%315.36M-11.02%151.15M-81.76%14.11M45.90%73.85M-32.75%76.26M2.79%411.19M-15.37%169.86M14.44%77.33M
Changes in working capital 6.91%-17.4B-25.56%5.38B-110.52%-8.47B305.89%7.11B34.69%-4.11B-1,023.09%-18.69B578.34%7.22B-1,039.12%-4.02B112.54%1.75B-273.52%-6.29B
-Change in restricted cash 77.16%-626.55M-65.43%381.94M68.69%-1.96B103.50%204.84M-129.83%-528.44M-7,024.91%-2.74B605.62%1.1B-13,682.58%-6.26B-1,574.62%-5.86B-185.52%-229.93M
-Change in loans -339.21%-14B-1,162.58%-15.42B-32.41%-43.72B-9,147.96%-26.13B-6.67%-13.19B74.87%-3.19B84.13%-1.22B-13.80%-33.02B97.77%-282.5M-370.62%-12.36B
-Change in financial assets 106.81%817.74M51.03%-4.09B-97.95%-29.12B-316.82%-14.78B173.75%6.01B-4,586.29%-12B38.80%-8.35B-50.81%-14.71B399.62%6.82B38.30%-8.15B
-Change in deposits by banks and customers -259.28%-2.39B22,448.76%23.7B19.69%41.25B784.80%28.1B20.57%11.76B-84.13%1.5B-100.55%-106.03M34.74%34.46B-188.37%-4.1B119.01%9.75B
-Change in financial liabilities 67.55%-3.66M580.41%30.23M186.73%22.6B192.74%22.62B-102.70%-637K-108.82%-11.28M-245.44%-6.29M345.05%7.88B338.11%7.73B138.05%23.58M
-Changes in other current assets 46.42%-1.2B-95.11%771.9M-44.69%1.39B47.86%-4B-274.45%-8.16B-146.49%-2.25B2,271.92%15.8B-83.98%2.51B-55.58%-7.68B-50.36%4.68B
-Changes in other current liabilities ---------78.55%1.1B----------------309.69%5.12B--------
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid 21.64%-742.72M-1.43%-716.4M21.76%-3.37B60.83%-945.98M-19.33%-768.61M-125.05%-947.79M14.47%-706.31M-56.04%-4.31B-139.09%-2.41B-31.88%-644.09M
Other operating cash inflow (outflow) 6K
Operating cash flow 5.79%-14.8B-23.63%7.72B-79.85%1.79B163.25%9.27B29.44%-1.87B-337.21%-15.71B618.68%10.11B-31.89%8.91B132.56%3.52B-279.07%-2.64B
Investing cash flow
Net PPE purchase and sale -41.66%-111.17M60.15%-37.07M-40.61%-418.81M-55.61%-189.88M33.26%-57.42M-58.66%-78.48M-130.73%-93.03M-53.34%-297.84M-122.45%-122.02M-73.69%-86.04M
Net intangibles purchase and sale 8.36%-92.05M19.66%-53.34M-34.84%-465.86M-17.85%-185.06M-33.96%-113.97M-91.68%-100.44M-30.22%-66.39M-36.70%-345.5M-172.18%-157.04M4.52%-85.08M
Net business purchase and sale -2,034.04%-14.6M-586.77%-49.1M--0--0273.28%6.39M-57.20%755K-471.18%-7.15M--0--085.77%-3.69M
Dividends received (cash flow from investment activities) 39.31%84.23M17.43%47.16M12.61%210.1M-12.24%47.47M67.27%62.01M-1.13%60.46M17.27%40.16M14.90%186.56M53.54%54.09M-0.18%37.07M
Net changes in other investments ---------167.30%-16.42M-353.53%-2.87M------------5.11%-6.14M-78.98%1.13M----
Investing cash flow -13.21%-133.59M26.95%-92.38M-49.30%-691.85M-47.47%-330.34M19.37%-117.07M-202.75%-118M-128.95%-126.45M-57.40%-463.39M-198.79%-224M-4.23%-145.19M
Financing cash flow
Net issuance payments of debt 926.00%3.81B184.68%2.76B7.59%-3.63B-99.06%9.2M-84.56%-756.37M109.01%371.32M-761.09%-3.26B-148.32%-3.93B130.79%977.31M-116.72%-409.83M
Net common stock issuance ----------0--0-------------70.86%1.41B-53.45%652.18M38.61%-873K
Increase or decrease of lease financing 5.00%-24.65M-7.00%-138.82M-32.82%-657.11M-49.76%-524.78M154.04%23.35M-1,873.23%-25.95M-30.01%-129.74M-18.72%-494.74M-22.84%-350.42M-35.41%-43.22M
Cash dividends paid --0-3.44%-3.74B-2.85%-7.11B--0---3.5B--0---3.62B24.72%-6.92B-2.37%-3.35B--0
Cash dividends for minorities -27.12%-170.36M---6.69M-49.66%-138.44M-131.25%-65K-4.11%-4.36M---134.02M--0-2.12%-92.51M485.19%208K27.62%-4.19M
Financing cash flow 1,610.25%3.61B83.88%-1.13B-15.11%-11.54B75.12%-515.64M-824.03%-4.23B103.01%211.36M-1,365.07%-7B-86.49%-10.02B61.21%-2.07B-113.12%-458.11M
Net cash flow
Beginning cash position -11.00%47.99B-19.14%41.1B-2.03%50.83B-34.61%32.75B-26.17%39.01B2.03%53.92B-2.03%50.83B18.42%51.88B-26.46%50.09B-16.44%52.84B
Current changes in cash 27.51%-11.32B118.24%6.5B-560.45%-10.44B587.61%8.42B-91.39%-6.22B-3,529.74%-15.62B241.00%2.98B-121.33%-1.58B107.55%1.23B-167.25%-3.25B
Effect of exchange rate changes -112.14%-86.92M253.57%388.26M33.84%707.43M84.13%-77.18M-108.17%-40.95M69.31%715.75M20.95%109.81M-19.94%528.55M-34,500.21%-486.42M824.98%501.44M
End cash Position -6.24%36.58B-11.00%47.99B-19.14%41.1B-19.14%41.1B-34.61%32.75B-26.17%39.01B2.03%53.92B-2.03%50.83B-2.03%50.83B-26.46%50.09B
Free cash flow 5.47%-15.03B-23.38%7.62B-89.18%893.4M174.00%8.89B27.57%-2.04B-343.89%-15.9B657.25%9.94B-34.61%8.26B129.67%3.24B-310.58%-2.82B
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
MY
Overall
Symbol
Latest Price
% Chg

No Data