• Exchange: Bursa Malays
  • Sector: Consumer Staples
  • Industry: Consumer Products
  • Sub-Industry: Food Manufacturing

Ajinomoto Malaysia Bhd

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AJI:MK

6.030 MYR 0.030 0.50%

As of 04:37:45 ET on 04/18/2014.

Snapshot for Ajinomoto Malaysia Bhd (AJI)

Open: 6.000 Day's Range: 6.000 - 6.100 Volume: 17,500
Previous Close: 6.000 52wk Range: 4.200 - 6.320 1-Yr Rtn: +43.70%

Stock Chart for AJI

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  • AJI:MK 6.040
  • 1D
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  • 1Y
6.000
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Key Statistics for AJI

Current P/E Ratio (ttm) 13.4839
Estimated P/E(-) -
Relative P/E vs. FBMKLCI 0.7776
Earnings Per Share (ttm) 0.4472
Est. EPS -
Est. PEG Ratio -
Market Cap (M MYR) 367.77
Shares Outstanding (M) 60.99
30 Day Average Volume 31,077
Price/Book (mrq) 1.4308
Price/Sale (ttm) 1.0706
Dividend Indicated Gross Yield 3.32%
Cash Dividend (MYR) 0.1725
Dividend Ex-Date 10/02/2013
5 Year Dividend Growth 5.95%
Next Earnings Announcement 05/28/2014
mrq = Most Recent Quarter; ttm = Trailing Twelve Months

Income Statement for AJI

  • Revenue
  • Net Income (M/MYR)
  • Profit Margin (%)

Company Profile & Key Executives for AJI

Ajinomoto (Malaysia) Berhad manufactures and sells monosodium glutamate (MSG) and other related products. The Company also produces consumer food products such as food seasonings, flavored salt and pepper, and sago starch.

Ryoichi EbataCEO/Managing DirectorKatsuhide ShiraiChief Financial Officer
Kamarudin RasidChief Administration OfficerDaisuke KonExecutive Director
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Quotes delayed, except where indicated otherwise. All prices in local currency. Time is ET.

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