Ratings Surperformance

Trader
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Investor
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Global
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Quality
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ESG MSCI
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Ratings ESG MSCI

Ratings British American Tobacco (Malaysia): Strengths and Weaknesses

  • The company has a good ESG score relative to its sector, according to MSCI.
Highlights: British American Tobacco (Malaysia)
  • Sales forecast by analysts have been recently revised upwards.
  • For the last twelve months, analysts have been gradually revising upwards their EPS forecast for the upcoming fiscal year.
  • Analysts covering this company mostly recommend stock overweighting or purchase.
  • The opinion of analysts covering the stock has improved over the past four months.
  • Over the past twelve months, analysts' opinions have been strongly revised upwards.

Rating Financials

British American Tobacco (Malaysia) SectorMalaysia

Fundamentals

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Growth

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Revenue growth

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EPS growth

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FCF growth

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Profitability

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EBITDA Margin

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EBIT Margin

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Net Margin

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Capital Efficiency

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ROA

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ROCE

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ROE

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Financial Health

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Gearing

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Leverage

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Capital Intensity

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Balance sheet growth

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Long Term balance sheet growth

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Long term revenue growth

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Long term EPS growth

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Rating Valuation

British American Tobacco (Malaysia) SectorMalaysia

Global Valuation

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Enterprise value

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EV/Revenue

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EV/EBITDA

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EV/FCF

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Equity Valuation

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P/E

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PBR

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Dividend Yield

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EV/EBIT

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CAPEX/Revenue

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Rating Consensus

British American Tobacco (Malaysia) SectorMalaysia

Consensus

Analysts' buy/sell recommendations

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Analysts' recommendations evolution (1 year)

Analysts' recommendations evolution (4 months)

Analysts' target price

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Analysts' target price evolution (1 year)

Analysts' target price evolution (4 months)

Analysts' recommendations evolution (7 days)

Target Price evolution (7 days)

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Rating Business Predictability

British American Tobacco (Malaysia) SectorMalaysia

Visibility

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Analysts' coverage

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Financial estimates divergence

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Analysts' recommendations divergence

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Analysts' Target price divergence

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Surprise rates

Rating Revisions

British American Tobacco (Malaysia) SectorMalaysia

Financial revisions

Revenue revisions (1 year)

Revenue revisions (4 months)

EPS revisions (1 year)

EPS revisions (4 months)

EPS revisions (7 days)

Revenue revisions (7 days)

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Capi.($) Investor ESG MSCI Fundamentals Financial revisions Global Valuation Visibility Consensus
348M -
A
- - -
121B -
BBB
- -
66.16B
A
36.91B
AA
- -
11.96B
AAA
4.04B -
2.44B
BB
2.24B
CCC
-
1.55B
CCC
1.34B - - - - - - -
Average 24.75B
A
Weighted average by Cap.
A
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