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Trade YTL Power International Berhad - YTLPF CFD

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0%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread -
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.030779 %
Charges from borrowed part ($-1.23)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
-0.030779%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.013666 %
Charges from borrowed part ($-0.55)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
-0.013666%
Overnight fee time 22:00 (UTC)
Min traded quantity 1
Currency USD
Margin 20%
Stock exchange United States of America
Commission on trade 0%

*Information provided by Capital.com

Key Stats
Prev. Close* N/A
Open* N/A
1-Year Change* N/A
Day's Range* N/A
52 wk Range 0.57-0.84
Average Volume (10 days) 1.36M
Average Volume (3 months) 22.78M
Market Cap 6.00B
P/E Ratio 4.44
Shares Outstanding 8.10B
Revenue 19.04B
EPS 0.17
Dividend (Yield %) 6.12245
Beta 1.06
Next Earnings Date Feb 22, 2023

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low

YTL Power International Berhad Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total revenue 10245.2 9777.91 10606 11732.7 10637.2 10784.7
Revenue 10245.2 9777.91 10606 11732.7 10637.2 10784.7
Cost of Revenue, Total 8120.62 7775.21 8300.5 9705.56 9131.22 9345.99
Gross Profit 2124.55 2002.71 2305.46 2027.15 1505.96 1438.74
Total Operating Expense 8666.39 8387.35 8992.56 10249.6 9582.54 9565.38
Selling/General/Admin. Expenses, Total 580.736 546.296 549.266 558.246 529.246 365.733
Other Operating Expenses, Total -34.968 65.85 142.795 -14.249 -77.921 -146.344
Operating Income 1578.79 1390.56 1613.39 1483.16 1054.64 1219.35
Interest Income (Expense), Net Non-Operating -264.647 -498.353 -672.799 -729.729 -629.445 -585.565
Net Income Before Taxes 1314.14 892.207 940.595 753.428 425.191 633.788
Net Income After Taxes 1178.46 787.779 718.327 613.528 127.704 -103.128
Minority Interest -116.606 -93.966 -98.642 -136.777 -60.066 -43.396
Net Income Before Extra. Items 1061.85 693.813 619.685 476.751 67.638 -146.524
Net Income 1061.85 693.813 619.685 476.751 67.638 -146.524
Income Available to Common Excl. Extra. Items 1061.85 693.813 619.685 476.751 67.638 -146.524
Income Available to Common Incl. Extra. Items 1061.85 693.813 619.685 476.751 67.638 -146.524
Diluted Net Income 1061.85 693.813 619.685 476.751 67.638 -146.524
Diluted Weighted Average Shares 8234.79 8431.98 8358.94 8179.82 8154.98 7949.8
Diluted EPS Excluding Extraordinary Items 0.12895 0.08228 0.07413 0.05828 0.00829 -0.01843
Dividends per Share - Common Stock Primary Issue 0.09227 0.04706 0.04706 0.04706 0 0.045
Diluted Normalized EPS 0.12827 0.08704 0.07615 0.06049 0.00848 -0.02105
Q3 2021 Q4 2021 Q1 2021 Q2 2021 Q3 2022
Total revenue 2636.48 3028.87 3513.47 5133.88 4670.79
Revenue 2636.48 3028.87 3513.47 5133.88 4670.79
Cost of Revenue, Total 2213.71 2762.93 3083.18 4803.48 4294.26
Gross Profit 422.765 265.946 430.294 330.401 376.533
Total Operating Expense 2316.05 2738.48 3260.49 4893.43 3439.74
Other Operating Expenses, Total 102.337 -24.449 177.31 89.952 -854.52
Operating Income 320.428 290.395 252.984 240.449 1231.05
Interest Income (Expense), Net Non-Operating -151.854 -140.618 -152.635 -164.251 -194.019
Net Income Before Taxes 168.574 149.777 100.349 76.198 1037.03
Net Income After Taxes 129.679 -466.679 51.332 42.005 976.663
Minority Interest -17.485 -23.475 -15.937 -23.213 33.568
Net Income Before Extra. Items 112.194 -490.154 35.395 18.792 1010.23
Net Income 112.194 -490.154 35.395 18.792 1010.23
Income Available to Common Excl. Extra. Items 112.194 -490.154 35.395 18.792 1010.23
Income Available to Common Incl. Extra. Items 112.194 -490.154 35.395 18.792 1010.23
Diluted Net Income 112.194 -490.154 35.395 18.792 1010.23
Diluted Weighted Average Shares 8103.17 8101.6 8102.16 8102.16 8122.46
Diluted EPS Excluding Extraordinary Items 0.01385 -0.0605 0.00437 0.00232 0.12437
Dividends per Share - Common Stock Primary Issue 0 0.045 0 0 0.02
Diluted Normalized EPS 0.01348 -0.06282 0.00422 0.00032 0.03402
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Current Assets 12356.1 14147.9 12146.9 12104.2 11452.5 13857.3
Cash and Short Term Investments 9761.33 11449.3 9221.6 9051.18 8873.77 10345.1
Cash 464.628 8946.3 431.315 375.484 531.963 1177.46
Short Term Investments 9296.71 2503.01 8790.28 8675.7 8341.8 9167.62
Total Receivables, Net 1473.67 1957.18 2034.77 2293.47 1808.52 2285.31
Accounts Receivable - Trade, Net 1230.76 1703.9 1832.03 2157.99 1645.9 2064.26
Total Inventory 805.902 411.568 397.904 416.006 311.91 351.217
Prepaid Expenses 222.349 191.759 212.844 211.739 209.379 399.774
Other Current Assets, Total 92.832 138.058 279.767 131.764 248.923 475.921
Total Assets 43245.6 48519.3 46277 46273 47138.1 52074.3
Property/Plant/Equipment, Total - Net 20009.7 21358.9 21251.2 21631.6 22502.2 24692.3
Property/Plant/Equipment, Total - Gross 31250.4 34179.5 35511.7 36893 39330.5
Accumulated Depreciation, Total -11240.7 -12928.3 -13880.2 -14390.8 -14638.2
Goodwill, Net 7868.21 8207.7 7889.97 8142.46 8172.3 8222.71
Intangibles, Net 209.014 152.022 139.597 136.193 469.422 451.82
Long Term Investments 2404.83 3501.08 3652.86 2908.8 2898.03 3057.08
Note Receivable - Long Term 367.909 971.418 955.622 1102.13 1384.46 1506.91
Other Long Term Assets, Total 29.865 180.343 240.94 247.674 259.202 286.205
Total Current Liabilities 2549.13 6889.05 5495.18 10019.9 9676.72 7332.38
Accounts Payable 505.298 575.588 693.518 858.905 607.381 1026.54
Accrued Expenses 591.907 608.291 646.943 609.61 662.24 918.711
Notes Payable/Short Term Debt 65.231 0 32.836 20.625 45.147 26.051
Current Port. of LT Debt/Capital Leases 280.197 4720.29 3258.09 7622.02 7401.31 4529.5
Other Current Liabilities, Total 1106.5 984.879 863.79 908.769 960.641 831.575
Total Liabilities 30734.6 35310.8 33314.4 33628.6 35119.1 39056.7
Total Long Term Debt 23833.9 23807.4 23780 19071.1 20607.3 26266.2
Long Term Debt 23670 23807.4 23737.4 19056.4 20153.2 25910.9
Capital Lease Obligations 163.921 42.634 14.753 454.145 355.232
Deferred Income Tax 1839.88 1833.76 1860.65 1872.44 2029.69 2940.5
Minority Interest 242.337 230.778 111.616 226.28 23.765 -110.217
Other Liabilities, Total 2269.38 2549.84 2066.96 2438.83 2781.66 2627.87
Total Equity 12511 13208.5 12962.6 12644.4 12019 13017.6
Common Stock 4050.8 7019.85 7038.59 7038.59 7038.59 7038.59
Additional Paid-In Capital 2792.66
Retained Earnings (Accumulated Deficit) 6174.71 5752.97 5833.72 5880.56 5356.74 4706.46
Treasury Stock - Common -711.306 -711.308 -509.634 -708.259 -708.261 -46.732
Unrealized Gain (Loss) 128.23 149.795 135.236 100.345 73.646 65.609
Other Equity, Total 75.891 997.225 464.69 333.154 258.273 1253.72
Total Liabilities & Shareholders’ Equity 43245.6 48519.3 46277 46273 47138.1 52074.3
Total Common Shares Outstanding 8363.65 8408.56 8333.68 8154.98 8154.98 8102.16
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total Current Assets 13885.9 13857.3 11723.3 11406.7 13368.8
Cash and Short Term Investments 10660 10345.1 8138.85 7471.98 8992.75
Cash 8850.89 8592.63 6408.23 6228.98 8251.25
Short Term Investments 1809.07 1752.45 1730.62 1242.99 741.496
Total Receivables, Net 2639.46 2897.28 2959.68 3283.59 3410.74
Accounts Receivable - Trade, Net 2639.46 2897.28 2959.68 3283.59 3410.74
Total Inventory 361.794 351.217 351.432 409.61 421.492
Other Current Assets, Total 224.732 263.719 273.341 241.485 543.814
Total Assets 51659.3 52074.3 49689 50007.3 51577.9
Property/Plant/Equipment, Total - Net 24470.4 24692.3 24308 24785.4 24447.7
Intangibles, Net 8656.56 8674.53 8629.89 8650.89 8538.1
Long Term Investments 2884.57 3057.08 3047.52 3126.02 3216.76
Note Receivable - Long Term 1472.94 1506.91 1679.29 1743.17 1757.41
Other Long Term Assets, Total 288.869 286.205 300.962 295.125 249.219
Total Current Liabilities 10910.3 7332.38 5098.72 11275.7 10745.1
Payable/Accrued 2614.6 2574.28 2572.48 3063.56 3665.69
Accrued Expenses 1.352 1.324 1.814 2.226 1.371
Notes Payable/Short Term Debt 0.04 26.051 11.648 2.072 0
Current Port. of LT Debt/Capital Leases 8201.9 4529.5 2352.72 7899.25 6940.57
Other Current Liabilities, Total 92.365 101.539 160.062 308.607 137.454
Total Liabilities 38472.7 39056.7 36842 37656.3 37525.7
Total Long Term Debt 22453.7 26266.2 26397.6 20985.7 21302.5
Long Term Debt 22004 25910.9 26042.9 20629.7 20946.5
Capital Lease Obligations 449.683 355.232 354.751 355.929 356.004
Deferred Income Tax 2197.92 2940.5 2912.5 2934.04 2965.52
Minority Interest -95.589 -110.217 -120.804 -201.683 -110.716
Other Liabilities, Total 3006.42 2627.87 2553.98 2662.59 2623.39
Total Equity 13186.6 13017.6 12847 12351 14052.2
Common Stock 7038.59 7038.59 7038.59 7038.59 7038.59
Retained Earnings (Accumulated Deficit) 6194.76 6025.79 5855.15 5359.11 7060.35
Treasury Stock - Common -46.732 -46.732 -46.733 -46.733 -46.733
Total Liabilities & Shareholders’ Equity 51659.3 52074.3 49689 50007.3 51577.9
Total Common Shares Outstanding 8102.16 8102.16 8102.16 8102.16 8102.16
Accounts Payable 99.68
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line 1178.46 787.779 718.327 613.528 127.704 -103.128
Cash From Operating Activities 1685.69 1091.88 1287.81 1248.4 1121.79 1329.36
Cash From Operating Activities 1222.95 1074.71 1113.19 1075.23 1100.63 1212.66
Amortization 100.665 86.628 8.827 9.859 66.689 76.609
Non-Cash Items 287.874 758.073 912.576 997.097 1071.65 1254.35
Cash Taxes Paid 269.098 204.104 190.34 180.17 162.998 65.974
Cash Interest Paid 848.669 784.694 915.427 992.328 958.969 833.47
Changes in Working Capital -1104.26 -1615.31 -1465.11 -1447.32 -1244.89 -1111.13
Cash From Investing Activities -884.967 -4913.62 -1119.35 137.412 -1517.96 -1126.26
Capital Expenditures -1324.16 -1621.9 -1738.21 -1493.42 -1504.92 -1773.82
Other Investing Cash Flow Items, Total 439.193 -3291.72 618.864 1630.84 -13.039 647.559
Cash From Financing Activities -710.419 2652.36 -1341.24 -1267.56 -328.076 1072.82
Financing Cash Flow Items -158.545 -183.945 -175.865 -40.638 -266.262 -160.894
Total Cash Dividends Paid -771.722 -775.865 -388.585 -383.765 -383.765 -162.043
Issuance (Retirement) of Stock, Net 776.583 47.24 -68.807 -198.625 -0.002 -38.047
Issuance (Retirement) of Debt, Net -556.735 3564.93 -707.982 -644.534 321.953 1433.81
Foreign Exchange Effects 82.559 416.304 -465.162 116.35 108.115 367.1
Net Change in Cash 172.864 -753.069 -1637.94 234.6 -616.132 1643.02
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line 363.551 -103.128 51.332 93.337 1070
Cash From Operating Activities 1178.35 1329.36 94.47 492.088 1407.36
Cash From Operating Activities 878.889 1212.66 308.999 608.799 897.953
Amortization 51.882 76.609 18.29 34.008 20.589
Non-Cash Items 590.955 1254.35 247.648 442.597 -306.659
Cash Taxes Paid 43.651 65.974 4.807 34.639 65.953
Cash Interest Paid 549.733 833.47 214.033 505.943 713.601
Changes in Working Capital -706.931 -1111.13 -531.799 -686.653 -274.523
Cash From Investing Activities -2414.51 -1126.26 -389.035 -392.032 1248.32
Capital Expenditures -1320.76 -1773.82 -340.647 -771.512 -1557.37
Other Investing Cash Flow Items, Total -1093.76 647.559 -48.388 379.48 2805.69
Cash From Financing Activities 1257.73 1072.82 -1811.24 -2374.11 -2862.15
Financing Cash Flow Items -121.992 -160.894 -31.111 -78.005 -111.973
Total Cash Dividends Paid 0 -162.043 -202.554 -202.554
Issuance (Retirement) of Stock, Net -38.047 -38.047 -0.001 -0.001 -0.001
Issuance (Retirement) of Debt, Net 1417.77 1433.81 -1780.13 -2093.55 -2547.62
Foreign Exchange Effects 250.034 367.1 -64.188 -65.612 -108.855
Net Change in Cash 271.594 1643.02 -2169.99 -2339.67 -315.329
Investor Name Investor Type Percent Outstanding Shares Held Shares change Holdings Date Turnover Rating
YTL Corporation Bhd Corporation 48.7442 3976650440 0 2022-10-13 LOW
Yeoh Tiong Lay & Sons Holdings Sdn. Bhd. Corporation 9.8416 802901078 0 2022-10-13 LOW
Permodalan Nasional Berhad (PNB) Government Agency 7.1247 581249605 11687499 2021-09-24 LOW
Cornerstone Crest Sdn Bhd Corporation 6.4467 525937497 0 2022-10-13 LOW
Employees Provident Fund Board Holding Company 5.4963 448395695 3063949 2022-12-22 LOW
Yeoh (Seok Hong) Individual Investor 1.6601 135438169 0 2021-09-24
Seri Yakin Sendirian Bhd. Corporation 0.9322 76047000 76047000 2021-09-24
Urusharta Jamaah Sdn. Bhd. Government Agency 0.515 42016531 -10064701 2021-09-24 LOW
Tan (Kai Yong) Individual Investor 0.31 25290859 0 2022-10-13 LOW
Malayan Banking Bhd Corporation 0.3036 24767900 0 2021-09-24 LOW
Great Eastern Life Assurance (Malaysia) Berhad Insurance Company 0.2792 22774900 -12724181 2021-09-24 LOW
Kumpulan Wang Persaraan (Diperbadankan) Pension Fund 0.2767 22576094 -1 2021-09-24 LOW
Yeoh (Sock Ping Francis) Individual Investor 0.2681 21870694 500000 2022-05-27 LOW
Yeoh (Soo Keng) Individual Investor 0.2635 21500049 4458000 2022-10-21
Yeoh (Soo Min) Individual Investor 0.2349 19166325 100000 2021-12-10 LOW
Hasil Mayang Sdn. Bhd. Corporation 0.1867 15232249 0 2022-10-25
Goh (Leng Pheow) Individual Investor 0.1806 14735000 1012812 2021-09-24 LOW
Yeoh (Seok Kah Mark) Individual Investor 0.1508 12299200 0 2021-09-24 LOW
Yeoh (Seok Kian) Individual Investor 0.1382 11276298 0 2022-06-03 LOW
UOB Asset Management (Malaysia) Berhad Investment Advisor 0.1177 9600000 7600000 2022-06-30 LOW

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YTL Power International Berhad Company profile

About YTL Power International Bhd

YTL Power International Berhad is engaged in investment holding and the provision of administrative and technical support services. The Company operates through five segments: Power generation (Contracted), Multi utilities business (Merchant), Water and sewerage, Telecommunications business and Investment holding activities. Its power generation, merchant multi utilities and power transmission businesses are carried out by its subsidiaries in Malaysia and Singapore, and associates in Indonesia, Australia and Netherlands. Its water and sewerage operations are carried out by its subsidiary, Wessex Water Limited, in the United Kingdom. Its communications operations in Malaysia are carried out by its subsidiary, YTL Communications Sdn Bhd, which offers fourth generation services. Its subsidiaries include YTL Energy Holdings Sdn. Bhd., which is engaged in investment holding, and Water 2 Business Limited, which is a non-household water retailer.

Financial summary

BRIEF: For the six months ended 31 December 2021, YTL Power International Bhd revenues increased 69% to RM8.65B. Net income decreased 77% to RM54.2M. Revenues reflect Multi Utilities segment increase from RM2.89B to RM5.98B, Water and Sewage segment increase of 14% to RM2.07B. Net income was offset by OTHER OPERATING EXPENSES increase of 62% to RM321.6M (expense), Equity Earnings Net of Income Tax decrease of 14% to RM152.1M (income).

Equity composition

09/1999, Scrip Issue, 1 new share for every 5 shares held. 01/2007, 4% stock dividend. 12/2007, 4% Stock dividend.09/2008, 2.5% Stock dividend. 03/2014, Scrip Issue, 1 new share for every 20 share held.

Industry: Multiline Utilities

33rd Floor, Menara YTL
205 Jalan Bukit Bintang
KUALA LUMPUR
WILAYAH PERSEKUTUAN 55100
MY

Income Statement

  • Annual
  • Quarterly

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