Axis REIT5130.KL
Industrial · Malaysia · Malaysia-focused · MYR
Current yield
+5.79%
5y avg yield
+6.96%
NAV premium / discount
-9.16%
Safety score
0/100
Latest fundamentals
Report date: 2026-04-20 · source
| NAV per share | 1.3870 |
| Price / NAV | 0.908 |
| Payout ratio | 1.710 |
| Debt / assets (%) | — |
| Occupancy (%) | — |
| Coverage ratio | — |
| WALE (years) | — |
| Last distribution / unit | 0.0100 |
Occupancy, coverage ratio, and WALE come from quarterly reports and are filled in manually. Empty cells mean the latest report hasn't been processed yet.