|
Delayed
OTC Markets
22:50:20 05/08/2026 HKT
|
5-day change | 1st Jan Change | ||
| 26.49 USD | +11.49% |
|
-.--% | -2.97% |
| 06:13pm | Affin Hwang Investment Bank Downgrades Nestlé (Malaysia) to Hold From Buy; Price Target is MYR98 | MT |
| 09-16 | Nestlé (Malaysia) Names CFO | MT |
| Market Cap | 21.23B 5.18B 4.51B 4.27B 3.88B 7.25B 496B 7.28B 50.85B 19.66B 252B 19.46B 19.02B 807B | P/E 2026 * |
33.7x | P/E 2027 * | 31.6x |
|---|---|---|---|---|---|
| Enterprise Value | 21.99B 5.37B 4.67B 4.42B 4.02B 7.51B 514B 7.55B 52.69B 20.37B 261B 20.16B 19.71B 836B | EV / Sales 2026 * |
3.03x | EV / Sales 2027 * | 2.9x |
| Free-Float |
11.74% | Yield 2026 * |
2.91% | Yield 2027 * | 3.1% |
| Markets | Quality | ||
|---|---|---|---|
BURSA MALAYSIA
| 4707 | Delayed | |
OTC Markets
| NSLYF | Delayed |
| 1 day | +11.49% | ||
| 3 months | +11.49% | ||
| 6 months | -2.97% | ||
| Current year | -2.97% |
| Current year | 23.76 | 26.49 | |
| 1 year | 22.81 | 27.3 | |
| 3 years | 17.08 | 27.3 | |
| 5 years | 17.08 | 32 | |
| 10 years | 17.08 | 35.46 |
| Manager | Title | Age | Since |
|---|---|---|---|
Juan Aranols
CEO | Chief Executive Officer | 58 | 01/12/2018 |
| Director of Finance/CFO | 53 | 01/08/2022 | |
Xolile White
CTO | Chief Tech/Sci/R&D Officer | 58 | 01/11/2023 |
| Director | Title | Age | Since |
|---|---|---|---|
Juan Aranols
BRD | Director/Board Member | 58 | 01/12/2018 |
Kwai Fatt Chin
BRD | Director/Board Member | 71 | 29/04/2021 |
| Director/Board Member | 63 | 21/06/2021 |
| Change | 5-day change | 1-year change | 3-year change | Capi.($) | ||
|---|---|---|---|---|---|---|
| +11.49% | -.--% | - | - | 5.18B | ||
| +1.76% | +0.08% | -5.41% | +1.65% | 25.05B | ||
| +0.79% | +4.70% | +102.67% | +79.01% | 8.13B | ||
| +0.87% | -0.22% | +16.97% | +168.73% | 6.4B | ||
| -6.47% | -13.30% | +32.29% | +19.87% | 5.44B | ||
| -0.42% | -0.60% | +15.85% | -7.61% | 5.39B | ||
| -1.04% | -2.63% | -5.71% | -30.93% | 5.18B | ||
| +1.01% | -2.27% | -7.53% | -24.28% | 4.84B | ||
| -2.10% | +1.09% | -15.95% | +71.72% | 3.49B | ||
| -3.66% | -6.82% | +23.07% | -5.49% | 2.75B | ||
| Average | +0.22% | -0.38% | +17.36% | +30.30% | 7.41B | |
| Weighted average by Cap. | +0.84% | -0.19% | +15.16% | +26.82% |
| 2026 * | 2027 * | |
|---|---|---|
| Net sales | 7.26B 1.77B 1.54B 1.46B 1.33B 2.48B 170B 2.49B 17.39B 6.72B 86.18B 6.65B 6.5B 276B | 7.58B 1.85B 1.61B 1.52B 1.39B 2.59B 177B 2.6B 18.16B 7.02B 90.02B 6.95B 6.79B 288B |
| Net income | 631M 154M 134M 127M 115M 215M 14.75B 216M 1.51B 585M 7.49B 578M 566M 23.99B | 670M 163M 142M 135M 122M 229M 15.66B 230M 1.61B 621M 7.96B 614M 600M 25.47B |
| Net Debt | 767M 187M 163M 154M 140M 262M 17.93B 263M 1.84B 711M 9.11B 703M 688M 29.17B | 718M 175M 153M 144M 131M 245M 16.78B 246M 1.72B 665M 8.53B 658M 643M 27.29B |
Trader
This super rating is the result of a weighted average of the rankings based on the following ratings: Valuation (Composite), EPS Revisions (4 months), and Visibility (Composite). We recommend that you carefully review the associated descriptions.
Investor
This super composite rating is the result of a weighted average of the rankings based on the following ratings: Fundamentals (Composite), Valuation (Composite), EPS Revisions (1 year), and Visibility (Composite). We recommend that you carefully review the associated descriptions.
Global
This composite rating is the result of an average of the rankings based on the following ratings: Fundamentals (Composite), Valuation (Composite), Financial Estimates Revisions (Composite), Consensus (Composite) and Visibility (Composite). The company must be covered by at least 4 of these 5 ratings for the calculation to be carried out. We recommend that you carefully review the associated descriptions.
Quality
This composite rating is the result of an average of rankings based on the following ratings: Returns (Composite), Profitability (Composite) and Quality of Financial Reporting (Composite), and Financial Health (Composite). The company must be covered by at least 2 of these 3 ratings for the calculation to be performed. We recommend that you carefully read the associated descriptions.
ESG MSCI
The MSCI ESG score assesses a company’s environmental, social, and governance practices relative to its industry peers. Companies are rated from CCC (laggard) to AAA (leader). This rating helps investors incorporate sustainability risks and opportunities into their investment decisions.

Annual profits - Rate of surprise
- Stock Market
- Stocks
- 4707 Stock
- NSLYF Stock
Select your edition
All financial news and data tailored to specific country editions

















