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Share Volume VWAP
Change Trade Value Open
Day Range Year Range Ref
Performance 1 Year 6 Months 3 Months 1 Month 1 Week
Change
Volume
3,200
2,569
2,745
1,660
1,327

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Market Capital (RM)
Number of Share
Revenue (TTM)
Net Profit (TTM)
Net Margin (TTM)
EPS (TTM)
P/E Ratio
ROE
P/B Ratio
NTA
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YoY Score
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QoQ Score
5y CAGR - Revenue
5y CAGR - Profit
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Dividend (cent)
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Dividend Yield
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Dividend Policy
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Dividend Payout
Equity Growth
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Net Cash (RM)
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Net Cash/Share (RM)
Free Cash Flow (cent)
Debt/Asset Ratio


Financial Statements
Charting

Revenue
Net Profit

DateFinancial
Year
QuarterRevenue
(RM,000)
PBT (RM,000)Net Profit
(RM,000)
EPS (Cent)Div
(Cent)
NTA
(RM)
QoQ
(%)
YoY
(%)
27 Feb 2431 Dec 23Q4 Dec 23109,012145,965118,7204.7710.002.170 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
27 Nov 2331 Dec 23Q3 Sep 23107,04885,98850,8602.080.002.120 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
24 Aug 2331 Dec 23Q2 Jun 2398,09779,06463,8682.6520.002.330 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
22 May 2331 Dec 23Q1 Mar 2385,23557,38146,1031.920.002.400 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
22 Feb 2331 Dec 22Q4 Dec 22112,52273,82553,0552.2010.002.380 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
29 Nov 2231 Dec 22Q3 Sep 22163,441112,64996,1934.030.002.360 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
23 Aug 2231 Dec 22Q2 Jun 22121,11462,55145,3041.950.002.350 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
30 May 2231 Dec 22Q1 Mar 2254,57638,18825,3851.090.002.430 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
24 Feb 2231 Dec 21Q4 Dec 21136,445136,12898,8574.2510.002.420 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
26 Nov 2131 Dec 21Q3 Sep 2154,58347,08433,1471.450.002.370 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
26 Aug 2131 Dec 21Q2 Jun 21216,28380,40354,3522.560.002.440 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
25 May 2131 Dec 21Q1 Mar 21140,17353,07736,0911.700.002.570 Malaysia Stock - KLSE Quarter Report History Malaysia Stock - KLSE Quarter Report History
12345

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Revenue - Record-high quarterly revenue Net Profit - Record-high quarterly profit after tax

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Total Shares (Quantity)
Total Shares (%)

Name%SharesPosition
Change
ValueRecord Date
UOA HOLDINGS SDN BHD72.101,736,658,40076,987,1003.28B31 Mar 23
EMPLOYEES PROVIDENT FUND BOARD10.26247,387,7061,374,606467.56M31 Mar 23
AMANAH SAHAM BUMIPUTERA3.0172,524,0009,650,200137.07M31 Mar 23
PERMODALAN NASIONAL BERHAD1.0324,885,500-47.03M31 Mar 23
EDGBASTON ASIAN EQUITY TRUST0.9422,580,000-56,00042.68M31 Mar 23
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Dividend Summary
Dividend Growth (%)
Dividend Increasing (Years)
Dividend Continuously (Years)
Charting

DateFinancial
Year
Ex-DateEntitlement
Date
Payment
Date
Entitlement TypeDividend
(Cent)
Dividend
(%)
Details
26 Jul 2331 Dec 2309 Aug 2310 Aug 2308 Sep 23First Interim Dividend20.00000.00 Malaysia Stock -  Dividend
30 May 2331 Dec 2214 Jun 2315 Jun 2314 Jul 23First and Final Dividend10.00000.00 Malaysia Stock -  Dividend
07 Jun 2231 Dec 2121 Jun 2222 Jun 2221 Jul 22First and Final Dividend10.00000.00 Malaysia Stock -  Dividend
08 Jun 2131 Dec 2022 Jun 2123 Jun 2122 Jul 21First and Final Dividend15.00000.00 Malaysia Stock -  Dividend
09 Jul 2031 Dec 1922 Jul 2023 Jul 2021 Aug 20First and Final Dividend14.00000.00 Malaysia Stock -  Dividend
17 Jun 1931 Dec 1801 Jul 1902 Jul 1929 Jul 19First and Final Dividend14.00000.00 Malaysia Stock -  Dividend
11 Jun 1831 Dec 1722 Jun 1826 Jun 1823 Jul 18First and Final Dividend15.00000.00 Malaysia Stock -  Dividend
01 Jun 1731 Dec 1614 Jun 1716 Jun 1714 Jul 17First and Final Dividend15.00000.00 Malaysia Stock -  Dividend
02 Jun 1631 Dec 1514 Jun 1616 Jun 1615 Jul 16First and Final Dividend15.00000.00 Malaysia Stock -  Dividend
03 Jun 1531 Dec 1415 Jun 1517 Jun 1514 Jul 15First and Final Dividend13.00000.00 Malaysia Stock -  Dividend


UOADEV (5200) : UOA DEVELOPMENT BHD
Jacky
Member Star
Posts: 70
Joined: Dec 2011
Male, MYS
23 Feb 2012, 07:49 PMPost #1
Wah...UOADEV announced good report. 10 cents divinde. yeah Anyone?
ILoveDividend
Member StarMember Star
Posts: 521
Joined: Dec 2011
Male, MYS
23 Feb 2012, 09:03 PMPost #2
Good chance to moving up tomorrow. drool
azlan
Member Star
Posts: 45
Joined: Jan 2012
Male, MYS
24 Feb 2012, 08:40 AMPost #3
Hopefully can pass $2 today.thumbup
whe9666
Member Star
Posts: 10
Joined: Apr 2012
Male, MYS
06 Apr 2012, 03:43 PMPost #4
drool
ANTHONYLOW
Member Star
Posts: 11
Joined: Aug 2012
Male, MYS
03 Aug 2012, 12:14 PMPost #5
thumbupThis Company have GOOD RETURN for the FUTURE.drool
abraham
Member Star
Posts: 36
Joined: Dec 2016
Male, MYS
02 Jun 2017, 06:06 PMPost #6

yeahyeah

lipkarlock
Member Star
Posts: 57
Joined: Nov 2019
Male, MYS
25 Jan 2021, 08:50 PMPost #7

[Latest 2021 Dividend Yields Stock]

Please see the latest analysis of UOADEV yield here:

https://malaysiainvestment88.blogspot.com/2021/01/latest-klse-best-dividend-stock-updated.html

i4value
Member StarMember Star
Posts: 509
Joined: Aug 2020
Male, MYS
11 Jun 2023, 10:19 AMPost #8

There are 2 listed companies under UOA - UOA Dev and UOA REIT. Both were badly affected by Covid-19. But the Malaysian property development sector seemed to have recovered as illustrated by the charts below taken from my article Will the Malaysian Property industry turn around by 2024?  Does it mean good news for UOA Dev and UOA moving forward?

 

i4value
Member StarMember Star
Posts: 509
Joined: Aug 2020
Male, MYS
16 Jul 2023, 01:46 PMPost #9

UOA Dev is of course part of the UOA Ltd group. If you want more details about UOA Dev or a valuation of UOA Ltd, go to Is UOA Ltd one of the better SGX stocks?

Brian9818
Member Star
Posts: 241
Joined: Sep 2012
Male, MYS
04 Aug 2023, 05:28 PMPost #10

Wow, 20sen div ...yeah

i4value
Member StarMember Star
Posts: 509
Joined: Aug 2020
Male, MYS
24 Aug 2023, 12:48 PMPost #11

The key question is whether you should buy UOA that owns/controls UOA Dev and UOA REIT or are you better off buying UOA Dev or UOA REIT drieclty. Note that UOA currently depends on UOA Dev and UOA REIT for its earnings. 

i4value
Member StarMember Star
Posts: 509
Joined: Aug 2020
Male, MYS
23 Sep 2023, 09:07 AMPost #12

I am a fundamental investor so I don't trade. I know many traders use technical to gauge market sentiments. Let me give the traders another data point. 

I blog about value investing and I do case studies where I analyse and value companies. I think that there must be some interest in a particular company when it becomes one of the top searched case studies for the past month or so. So for those trading on sentiments, the UOA Ltd group came up in my top 10 list in my blog. I will leave you to decide whether this has any use from a technical trading perspective. 

But if you want insights into Bursa listed companies go to Are these outstanding stocks - what to consider? (Bursa Malaysia)

i4value
Member StarMember Star
Posts: 509
Joined: Aug 2020
Male, MYS
02 Feb 2024, 07:08 AMPost #13

If you know which stock will give the best return, you would be an idiot not to invest all your money into this one stock. The reality is that we cannot see the future so we hedge buy spreading our investments to several stocks. In other words, we have a stock portfolio.

 

But this works only if we have a diversified portfolio - the stocks in the portfolio are not correlated to one another. How do you select the stocks to achieve the diversity?

 

We know that if you have 2 bank stocks such as Bursa Affin bank and Maybank in the portfolio, it is not a diversified one. What if we have Affin and UOA Dev a Bursa property company? Will we then have a diversified portfolio?

The chart shows the ROE trends of Affin and UOA over the past 7 years. There is a 81% correlation between then. This mean if statistically that changes in Affin ROE can explain 2/3 of the changes in UOA ROE. This is significant

 

So is having Affin and UOA meant that it is not a diversified portfolio?


yeah doh drool lol mad notworthy question rant rolleyes sad shutup shy smile star sweat thumbup wub cry
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