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Communication Services

Axiata Group Berhad(AXXTF)

Live Price

Offline

$0.4637

+0.00% today

1Y Change

+1.84%

Window

Jun 25, 2025 β†’ Jun 23, 2026

Market Cap
$22.05B
Revenue Growth
-47.5%
EPS Growth
-60.3%
Dividend Yield
4.2%

Coverage: 251 bars Β· Jun 25, 2025 β†’ Jun 23, 2026

Research Briefing

A compact read on the setup, peer context, quarterly changes, and recent earnings reaction.

Decision context

Research Snapshot

Axiata Group Berhad (AXXTF) is a Communication Services stock with a market cap of $22.05B and listed on OTC. The stock last traded around $0.46 and up 1.8% across the available one-year price window (Jun 25, 2025 β†’ Jun 23, 2026). Baseline metrics include revenue growth of -47.5%, EPS growth of -60.3%, a dividend yield of 4.2%. What stands out right now is revenue -47.5%, EPS -60.3%, free cash flow -10.0% with operating margin 14.7% and ROIC 2.1%. The dividend matters to the case here, with a current yield around 4.2%. Valuation already assumes a fairly strong business story at P/E 60.4 and price/sales 1.6. Overall, the current profile looks closer to a turnaround or cyclical reset than a generic broad-market placeholder. Stock Foundry combines AXXTF price history, valuation, growth, dividend context, earnings, analyst forecasts, news, related Communication Services peers on this page.

Sector Context

How this name stacks up against nearby peers on first-pass metrics.

Revenue Growth

Below sector median

-47.5% vs +5.5% peer median

Operating Margin

Above sector median

+14.7% vs +3.6% peer median

What Changed This Quarter

Latest report context and the signals most likely to have changed the story.

Latest report is on the board

2026 was reported on May 27, 2026, but the surprise data is still limited.

The operating picture looks softer than before

Revenue is at -47.5% and EPS is at -60.3%, with operating margin around 14.7%.

Shareholder return is still part of the story

The stock is still offering a dividend yield around 4.2%, which matters if the thesis depends on income as much as growth.

Earnings Reaction Memory

How the stock has tended to move after recent reports.

Across the last 3 reported quarters, the stock averaged 0.0% over the next 5 trading days and finished higher after 0 of those reports.

View quarter-by-quarter reaction table
QuarterEPS Ξ”1D5D20D
2026
May 27, 2026
β€”+0.0%+0.0%β€”
2026
Feb 26, 2026
-70.0%+0.0%+0.0%+0.0%
2025
Aug 28, 2025
+42.0%+0.0%+0.0%+0.0%

Benchmark Edge

AXXTF vs SPY, QQQ, and Sector ETFs

Normalized return, excess return, max drawdown, and calendar-year wins against the benchmarks investors actually use.

Shared 1Y chart + MAX history table

AXXTF

β€”

Normalized return

SPY

--

S&P 500

Excess Return

--

Relative to SPY

AXXTF Max Drawdown

-21.47%

Trailing 1Y

SPY Max Drawdown

β€”

Trailing 1Y

Benchmark comparison is loading or unavailable right now.

Calendar-Year Returns

Uses the longest available daily history for AXXTF and SPY.

Calendar-year return history is still loading or unavailable.
Axiata Group Berhad logo

Company Overview

Axiata Group Berhad

OTC

Kuala Lumpur, Malaysia

Axiata Group Berhad, a Malaysian telecommunications conglomerate, plays a vital role in the Southeast Asian telecom industry. Operating primarily through its subsidiaries across 11 countries, Axiata delivers a broad range of services including mobile, fixed, and broadband internet. The group is well-known for its significant presence in emerging markets, fostering digital connectivity in regions such as Malaysia, Indonesia, Sri Lanka, Bangladesh, and Nepal. It leverages strategic investments in network infrastructure to enhance its service offerings, while also exploring innovation in digital services and financial technology. Axiata’s commitment to technology advancement and expansion supports regional economic growth, making it a pivotal player in transforming the digital landscape of Asia.

Leadership
Mr. Vivek Sood
Street Address
Axiata Tower, Level 30 9 Jalan Stesen Sentral 5 Kuala Lumpur Sentral
Mailing
Kuala Lumpur, 50470
Region
Kuala Lumpur, Malaysia
Last Updated
May 7, 2026

Key Fundamentals

Valuation, growth, profitability, and balance sheet signals.

Valuation

P/E
60.4
EV/EBITDA
4.9
Price/Sales
1.6
Price/Book
1.1

Growth

Revenue
-47.5%
EPS
-60.3%
Free Cash Flow
-10.0%

Profitability

Gross Margin
76.7%
Operating Margin
14.7%
Net Margin
2.6%
ROE
1.8%
ROIC
2.1%

Balance Sheet

Debt/Equity
0.83
Current Ratio
0.54

Earnings Reports

πŸ“… Last reportedMay 27, 2026
PeriodB/MEPSEPS Ξ”RevenueRev Ξ”
β€”
May 27, 26
β€”
Est 0.01
β€”
β€”
Est 1450946.0B
β€”
β€”
Feb 26, 26
βœ—
0.00
Est 0.01
-70.0%
732893.3B
Est 731263.3B
+0.2%
β€”
Aug 28, 25
βœ“
0.01
Est 0.00
+42.0%
701291.1B
Est β€”
β€”
β€”
May 27, 25
βœ—
0.00
Est 0.00
-15.5%
1149378.3B
Est β€”
β€”
β€”
Feb 26, 25
βœ—
-0.01
Est 0.01
-161.1%
1197490.5B
Est β€”
β€”
β€”
Nov 28, 24
βœ“
0.03
Est 0.00
+420.7%
1262559.8B
Est β€”
β€”
β€”
Aug 28, 24
βœ—
0.00
Est 0.00
-20.9%
1220740.4B
Est β€”
β€”
β€”
May 29, 24
βœ—
0.00
Est 0.01
-78.2%
1195265.9B
Est β€”
β€”
β€”
Feb 22, 24
βœ—
-0.02
Est -0.01
-111.1%
1263049.0B
Est β€”
β€”
β€”
Sep 30, 23
βœ—
-0.02
Est 0.01
-271.4%
1275584.9B
Est β€”
β€”
β€”
Jun 30, 23
βœ—
-0.01
Est 0.01
-309.2%
1282009.3B
Est β€”
β€”
β€”
Mar 31, 23
βœ—
0.00
Est 0.01
-55.6%
1216629.7B
Est β€”
β€”
β€”
Feb 22, 23
βœ—
0.01
Est 0.05
-80.0%
288859.0B
Est 1563519.3B
-81.5%
β€”
Nov 24, 22
βœ—
-0.01
Est -0.00
-116.5%
1565179.4B
Est 1485550.4B
+5.4%
β€”
Aug 26, 22
βœ—
-0.01
Est -0.00
-137.5%
1519542.2B
Est 1442611.7B
+5.3%
β€”
May 25, 22
βœ—
-0.50
Est -0.03
-1662.4%
1534057.7B
Est 1558065.9B
-1.5%

Latest News

No news articles available

Official Releases

Company announcements and filings-style updates.

Official
No official releases available

Next Step

Keep the research moving

After the overview, the strongest next step is usually chart context or a tighter compare set.