Nestlé (Malaysia) Berhad (4707) Stock Price, Fundamentals & Analysis
Price
90.2 MYR
-1.38%
Last trade: Sep 25, 2026, 04:50 PM GMT+8
Updated: Sep 27, 2026, 05:31 PM GMT+8
Price history
Over the past year 4707 traded between 89.16 MYR and 122 MYR, closing at 90.2 MYR on Sep 25, 2026.
Key statistics
| Market cap | 21.15B MYR |
|---|---|
| P/E ratio (TTM) | 35.2 |
| Forward P/E | 31.4 |
| EPS (TTM) | 2.56 MYR |
| Dividend yield | 3.33% |
| Annual dividend | 3 MYR |
| Ex-dividend date | Sep 2, 2026 |
| Payout ratio | 86% |
| 52-week range | 88.7 – 122.2 |
| 52-week change | -7.1% |
| Beta | 0.16 |
| Price / book | 29.16 |
| Revenue (TTM) | 7.14B MYR |
| Revenue growth (YoY) | 8.7% |
| Gross margin | 31.4% |
| Operating margin | 11.9% |
| Profit margin | 8.4% |
| Return on equity | 87.6% |
| Debt / equity | 71.6 |
| Volume | 40,000 |
| Average volume | 88,416 |
| Next earnings | Oct 28, 2026 |
| Exchange | Kuala Lumpur |
Profile
- Sector
- Consumer Defensive
- Industry
- Packaged Foods
- Employees
- 4,717
- Headquarters
- Petaling Jaya, Malaysia
- Website
- nestle.com.my
Nestlé (Malaysia) Berhad manufactures food and beverage products in Malaysia and internationally. It operates in two segments, Food and Beverages and Others. It markets and sells ice-cream, powdered milk and drinks, liquid milk and juices, instant coffee and other beverages, chocolate confectionery products, instant noodles, culinary products, cereals, and related products. The company also trades and deals in nutrition products. It offers its products under the Milo, Maggi, Nescafé, KitKat, DRUMSTICK, La Cremeria, MAT KOOL, CRUNCH, POLO, Nestum, OMEGA PLUS, EVERYDAY, ENERCAL COMPLETE, NESPRAY, LACTOGROW PROBIO, LACTOGROW Aktif, NANKID OPTIPRO, NANKID OPTIPRO HA, Nestlé MOM, and CERELAC, as well as Gold Corn Flakes, Honey Stars, Koko Krunch, and Original Fitnesse brands. The company was founded in 1912 and is headquartered in Petaling Jaya, Malaysia. Nestlé (Malaysia) Berhad operates as a subsidiary of Société des Produits Nestlé S.A.
Overview
What 4707 does
Nestlé (Malaysia) Berhad (4707) manufactures food and beverage products in Malaysia and internationally. It operates in two segments, Food and Beverages and Others. It markets and sells ice-cream, powdered milk and drinks, liquid milk and juices, instant coffee and other beverages, chocolate confectionery products, instant noodles, culinary products, cereals, and related products. The company also trades and deals in nutrition products. It offers its products under the Milo, Maggi, Nescafé, KitKat, DRUMSTICK, La Cremeria, MAT KOOL, CRUNCH, POLO, Nestum, OMEGA PLUS, EVERYDAY, ENERCAL COMPLETE, NESPRAY, LACTOGROW PROBIO, LACTOGROW Aktif, NANKID OPTIPRO, NANKID OPTIPRO HA, Nestlé MOM, and CERELAC, as well as Gold Corn Flakes, Honey Stars, Koko Krunch, and Original Fitnesse brands. The company was founded in 1912 and is headquartered in Petaling Jaya, Malaysia. Nestlé (Malaysia) Berhad operates as a subsidiary of Société des Produits Nestlé S.A.
Key numbers explained
- 90.2 MYR is the latest price for Nestlé (Malaysia) Berhad (4707), the amount a share trades for at the moment.
- The trailing P/E ratio of 35.2 shows how much investors pay per ringgit of the company's last twelve months of earnings; a higher number can mean the market expects faster growth or is willing to pay more for each ringgit of profit.
- The forward P/E ratio of 31.4 uses expected future earnings instead of past earnings, giving a sense of how the market values the company's upcoming profit stream.
- 3.33% is the dividend yield, which tells you the annual dividend payment as a percentage of the current share price; it is a way to compare income potential across stocks.
- The exDividendDate of 2 sept. 2026 is the date on or after which a buyer is no longer entitled to the next dividend payment.
- 86% is the share of earnings paid out as dividends, meaning the company returns most of its profit to shareholders rather than retaining it all.
- 0.16 is the beta, a measure of how much the share price tends to move compared with the overall market; a low beta suggests lower volatility relative to the market.
- 88.7 – 122.2 is the lowest and highest price in the last 52 weeks, showing the range the share has traded in over the past year.
- 21.15 mld. MYR is the marketCap, the total market value of all outstanding shares, used to classify the company's size.
- 8.4% is the profitMargin, the percentage of revenue that remains as profit after all expenses.
- 87.6% is the returnOnEquity, which measures how effectively the company generates profit from shareholders' equity.
What to watch
- Nestlé (Malaysia) Berhad (4707) is part of the Consumer Defensive sector and Packaged Foods industry, which tend to be sensitive to consumer spending patterns and input costs such as commodities and energy.
- The debt-to-equity ratio of 71.6% indicates the company uses a mix of debt and equity financing; changes in interest rates can affect borrowing costs and financial risk.
- Revenue growth of 8.7% year over year and a price change over the last 52 weeks of -7.1% show how sales momentum and share price have moved over time.
- Nestlé (Malaysia) Berhad (4707) is listed on the Bursa Malaysia and can be compared with other Malaysian equities such as QL Resources Berhad (7084), IOI Corporation Berhad (1961), SD Guthrie Berhad (5285), and PPB Group Berhad (4065), as well as international peers like Asahi Group Holdings (2502).
- The nextEarningsDate of 28 oct. 2026 is a common date investors watch for updates on results and guidance.
Latest news & filings
No recent headlines.
Frequently asked questions
Does 4707 pay a dividend?
Yes, Nestlé (Malaysia) Berhad (4707) pays a dividend with a dividend yield of 3.33% and an exDividendDate of 2 sept. 2026.
What is the 4707 P/E ratio?
The trailing P/E ratio is 35.2, and the forward P/E ratio based on expected earnings is 31.4.
Where can I buy 4707?
Nestlé (Malaysia) Berhad (4707) trades on the Bursa Malaysia under the symbol 4707.
How big is Nestlé (Malaysia) Berhad?
It has a marketCap of 21.15 mld. MYR, 4,717 employees, and revenue of 7.14 mld. MYR over the last twelve months.
What does the beta of 4707 mean?
A beta of 0.16 suggests the share price tends to move less than the overall market, indicating lower volatility relative to the market.
What is the 4707 dividend payout ratio?
86% of earnings are paid out as dividends, meaning the company returns most of its profit to shareholders.
Related
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