IOI Corporation Berh...
KLSE:IOICORP
RM 4,22
RM-0,03 (-0,71%)
4,22 RM
RM-0,03 (-0,71%)
End-of-day quote: 03/31/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

RM0,21
Earnings Per Share
RM1,83
Revenue Per Share
19,20%
Gross Margin %
RM26,71 B
Market Cap
RM2,47 B
Long-Term Debt
Earnings Per Share
RM0,21
Revenue Per Share
RM1,83
Gross Margin %
19,20%
Market Cap
RM26,71 B
Long-Term Debt
RM2,47 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share RM0,21 RM0,18 RM0,21 RM0,30 RM0,23 RM0,12 RM0,12 RM0,16 RM0,15 RM0,10 RM0,03 RM0,20 RM0,20 RM0,28 RM0,33 RM0,27 RM0,25 RM0,30 RM0,22 RM0,13
Earnings Earnings RM1,30B RM1,12B RM1,30B RM1,86B RM1,44B RM752,02M RM754,16M RM1,01B RM942,58M RM628,82M RM189,64M RM1,27B RM1,28B RM1,79B RM2,12B RM1,72B RM1,49B RM1,80B RM1,38B RM780,80M
RPS Revenue Per Share RM0,00 RM1,83 RM1,55 RM1,87 RM2,51 RM1,80 RM1,25 RM1,18 RM1,93 RM2,25 RM1,87 RM1,84 RM1,87 RM2,12 RM2,44 RM2,52 RM1,97 RM2,45 RM2,45 RM1,43 RM1,02
Revenue Revenue RM0,00M RM11,33B RM9,60B RM11,58B RM15,58B RM11,25B RM7,80B RM7,39B RM12,11B RM14,13B RM11,74B RM11,62B RM11,91B RM13,52B RM15,64B RM16,15B RM12,54B RM14,60B RM14,67B RM8,95B RM6,11B
OCF Operating Cash Flow RM0,00M RM1,04B RM1,23B RM2,08B RM1,81B RM652,70M RM875,10M RM1,21B RM1,35B RM1,29B RM1,63B RM1,36B RM1,66B RM2,80B RM2,23B RM895,81M RM2,01B RM2,81B RM1,40B RM1,32B RM0,00M
FCF Free Cash Flow RM0,00M RM357,30M RM568,40M RM1,48B RM1,37B RM256,60M RM482,60M RM817,90M RM907,20M RM789,80M RM1,17B RM901,00M RM1,33B RM2,32B RM1,85B RM517,34M RM0,00M RM0,00M RM0,00M RM0,00M RM0,00M
OM Operating Margin 0,00% 11,98% 12,67% 14,07% 13,82% 10,63% 12,72% 12,64% 16,66% 17,83% 13,38% 9,58% 15,77% 12,81% 12,24% 13,80% 17,46% 12,16% 18,70% 18,74% 18,12%
GM % Gross Margin % 0,00% 19,20% 20,65% 19,22% 100,00% 20,55% 21,88% 16,00% 23,50% 26,60% 20,34% 18,24% 22,54% 18,12% 17,70% 21,11% 25,57% 24,11% 27,00% 29,66% 30,65%
FCFS Free Cash Flow Per Share RM0,00 RM0,06 RM0,09 RM0,23 RM0,22 RM0,04 RM0,07 RM0,13 RM0,15 RM0,13 RM0,19 RM0,14 RM0,21 RM0,36 RM0,27 RM0,08 RM0,26 RM0,41 RM0,20 RM0,18 RM0,08
LT Debt Long-Term Debt N/A RM2,47B RM2,99B RM2,89B RM2,82B RM969,80M RM4,00B RM4,44B RM4,28B RM5,26B RM4,91B RM5,84B RM5,07B RM7,10B RM7,42B RM4,61B RM4,35B RM5,36B RM4,87B RM3,38B RM2,33B
Sha. Stocks 6.203,7M 6.203,7M 6.203,7M 6.203,7M 6.212,36M 6.248,77M 6.266,82M 6.284,64M 6.284,4M 6.283,86M 6.288,21M 6.321,36M 6.355,42M 6.386,69M 6.398,31M 6.416,03M 6.377,1M 5.955,56M 5.986,06M 6.258,81M 6.006,17M
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