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Toyo Ventures Holdings Bhd
KLSE:TOYOVEN

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Toyo Ventures Holdings Bhd
KLSE:TOYOVEN
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Price: 0.55 MYR 12.24% Market Closed
Market Cap: 73.1m MYR
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Profitability Summary

Toyo Ventures Holdings Bhd's profitability score is 43/100. We take all the information about a company's profitability (such as its margins, capital efficiency, free cash flow generating ability, and more) and consolidate it into one single number - the profitability score. The higher the profitability score, the more profitable the company is.

43/100
Profitability
Score

We take all the information about a company's profitability (such as its margins, capital efficiency, free cash flow generating ability, and more) and consolidate it into one single number - the profitability score. The higher the profitability score, the more profitable the company is.

43/100
Profitability
Score
43/100
Profitability
Score

Past Growth

To be successful and remain in business, both growth and profitability are important and necessary. Net Income growth is often seen as a sign of a company's efficiency from an operational standpoint, but is influenced heavily by a company's goals and challenges and should therefore be assessed in conjunction with other metrics like revenue and operating income growth.

Margins

Profit margins represent what percentage of sales has turned into profits. Simply put, the percentage figure indicates how many cents of profit the company has generated for each dollar of sale.

Profit margins help investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.

Earnings Waterfall
Toyo Ventures Holdings Bhd

Revenue
95m MYR
Cost of Revenue
-75.8m MYR
Gross Profit
19.2m MYR
Operating Expenses
-19.2m MYR
Operating Income
0 MYR
Other Expenses
-19.4m MYR
Net Income
-19.4m MYR

Margins Comparison
Toyo Ventures Holdings Bhd Competitors

Country Company Market Cap Gross
Margin
Operating
Margin
Net
Margin
MY
Toyo Ventures Holdings Bhd
KLSE:TOYOVEN
73.1m MYR
20%
0%
-20%
US
Sherwin-Williams Co
NYSE:SHW
87.3B USD
48%
16%
11%
US
Ecolab Inc
NYSE:ECL
68.5B USD
43%
16%
13%
JP
Shin-Etsu Chemical Co Ltd
TSE:4063
10.3T JPY
38%
29%
21%
CH
Givaudan SA
SIX:GIVN
36.4B CHF
43%
18%
15%
US
Dupont De Nemours Inc
NYSE:DD
32.3B USD
36%
15%
7%
CN
Wanhua Chemical Group Co Ltd
SSE:600309
230.2B CNY
15%
11%
8%
US
PPG Industries Inc
NYSE:PPG
28.1B USD
42%
13%
8%
CH
DSM-Firmenich AG
AEX:DSFIR
26.1B EUR
25%
-4%
20%
IN
Asian Paints Ltd
NSE:ASIANPAINT
2.2T INR
43%
17%
13%
DK
Novozymes A/S
CSE:NZYM B
165.6B DKK
54%
25%
17%
Country MY
Market Cap 73.1m MYR
Gross Margin
20%
Operating Margin
0%
Net Margin
-20%
Country US
Market Cap 87.3B USD
Gross Margin
48%
Operating Margin
16%
Net Margin
11%
Country US
Market Cap 68.5B USD
Gross Margin
43%
Operating Margin
16%
Net Margin
13%
Country JP
Market Cap 10.3T JPY
Gross Margin
38%
Operating Margin
29%
Net Margin
21%
Country CH
Market Cap 36.4B CHF
Gross Margin
43%
Operating Margin
18%
Net Margin
15%
Country US
Market Cap 32.3B USD
Gross Margin
36%
Operating Margin
15%
Net Margin
7%
Country CN
Market Cap 230.2B CNY
Gross Margin
15%
Operating Margin
11%
Net Margin
8%
Country US
Market Cap 28.1B USD
Gross Margin
42%
Operating Margin
13%
Net Margin
8%
Country CH
Market Cap 26.1B EUR
Gross Margin
25%
Operating Margin
-4%
Net Margin
20%
Country IN
Market Cap 2.2T INR
Gross Margin
43%
Operating Margin
17%
Net Margin
13%
Country DK
Market Cap 165.6B DKK
Gross Margin
54%
Operating Margin
25%
Net Margin
17%
No Stocks Found

Return on Capital

Return on capital ratios give a sense of how well a company is using its capital (equity, assets, capital employed, etc.) to generate profits (operating income, net income, etc.). In simple words, these ratios show how much income is generated for each dollar of capital invested.

Return on Capital Comparison
Toyo Ventures Holdings Bhd Competitors

Country Company Market Cap ROE ROA ROCE ROIC
MY
Toyo Ventures Holdings Bhd
KLSE:TOYOVEN
73.1m MYR
-6%
-2%
0%
0%
US
Sherwin-Williams Co
NYSE:SHW
87.3B USD
64%
11%
23%
14%
US
Ecolab Inc
NYSE:ECL
68.5B USD
25%
9%
15%
11%
JP
Shin-Etsu Chemical Co Ltd
TSE:4063
10.3T JPY
11%
10%
15%
15%
CH
Givaudan SA
SIX:GIVN
36.4B CHF
25%
9%
14%
11%
US
Dupont De Nemours Inc
NYSE:DD
32.3B USD
3%
2%
5%
5%
CN
Wanhua Chemical Group Co Ltd
SSE:600309
230.2B CNY
17%
6%
14%
9%
US
PPG Industries Inc
NYSE:PPG
28.1B USD
19%
7%
14%
11%
CH
DSM-Firmenich AG
AEX:DSFIR
26.1B EUR
13%
8%
-2%
-2%
IN
Asian Paints Ltd
NSE:ASIANPAINT
2.2T INR
26%
16%
29%
22%
DK
Novozymes A/S
CSE:NZYM B
165.6B DKK
22%
11%
21%
14%
Country MY
Market Cap 73.1m MYR
ROE
-6%
ROA
-2%
ROCE
0%
ROIC
0%
Country US
Market Cap 87.3B USD
ROE
64%
ROA
11%
ROCE
23%
ROIC
14%
Country US
Market Cap 68.5B USD
ROE
25%
ROA
9%
ROCE
15%
ROIC
11%
Country JP
Market Cap 10.3T JPY
ROE
11%
ROA
10%
ROCE
15%
ROIC
15%
Country CH
Market Cap 36.4B CHF
ROE
25%
ROA
9%
ROCE
14%
ROIC
11%
Country US
Market Cap 32.3B USD
ROE
3%
ROA
2%
ROCE
5%
ROIC
5%
Country CN
Market Cap 230.2B CNY
ROE
17%
ROA
6%
ROCE
14%
ROIC
9%
Country US
Market Cap 28.1B USD
ROE
19%
ROA
7%
ROCE
14%
ROIC
11%
Country CH
Market Cap 26.1B EUR
ROE
13%
ROA
8%
ROCE
-2%
ROIC
-2%
Country IN
Market Cap 2.2T INR
ROE
26%
ROA
16%
ROCE
29%
ROIC
22%
Country DK
Market Cap 165.6B DKK
ROE
22%
ROA
11%
ROCE
21%
ROIC
14%
No Stocks Found

Free Cash Flow

Free cash flow (FCF) is the money a company has left over after paying its operating expenses and capital expenditures. The more free cash flow a company has, the more it can allocate to dividends, paying down debt, and growth opportunities.

If a company has a decreasing free cash flow, that is not necessarily bad if the company is investing in its growth.

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