The average one-year price target for Asia Optical (TWSE:3019) has been revised to NT$160.14 / share. This is a decrease of 13.74% from the prior estimate of NT$185.64 dated February 21, 2026.
The price target is an average of many targets provided by analysts. The latest targets range from a low of NT$151.50 to a high of NT$172.20 / share. The average price target represents an increase of 24.62% from the latest reported closing price of NT$128.50 / share.
Asia Optical Maintains 1.40% Dividend Yield
At the most recent price, the company’s dividend yield is 1.40%.
Additionally, the company’s dividend payout ratio is 0.27. The payout ratio tells us how much of a company’s income is paid out in dividends. A payout ratio of one (1.0) means 100% of the company’s income is paid in a dividend. A payout ratio greater than one means the company is dipping into savings in order to maintain its dividend - not a healthy situation. Companies with few growth prospects are expected to pay out most of their income in dividends, which typically means a payout ratio between 0.5 and 1.0. Companies with good growth prospects are expected to retain some earnings in order to invest in those growth prospects, which translates to a payout ratio of zero to 0.5.
The company’s 3-Year dividend growth rate is -0.51% .
What is the Fund Sentiment?
There are 4 funds or institutions reporting positions in Asia Optical. This is an decrease of 40 owner(s) or 90.91% in the last quarter. Average portfolio weight of all funds dedicated to 3019 is 0.17%, an increase of 257.02%. Total shares owned by institutions decreased in the last three months by 98.18% to 283K shares.
What are Other Shareholders Doing?
PIE - Invesco DWA Emerging Markets Momentum ETF holds 105K shares representing 0.04% ownership of the company. In its prior filing, the firm reported owning 0K shares , representing an increase of 100.00%.
CRNSX - CATHOLIC RESPONSIBLE INVESTMENTS INTERNATIONAL SMALL-CAP FUND Institutional Shares holds 48K shares representing 0.02% ownership of the company. In its prior filing, the firm reported owning 56K shares , representing a decrease of 16.67%. The firm decreased its portfolio allocation in 3019 by 16.78% over the last quarter.
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