OTC: ARGGY - Aston Martin Lagonda Global Holdings plc

Yield per half year: -11.11%
Sector: Industrials

Aston Martin Lagonda Global Holdings plc

Underestimation
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
P/E
10/10
5.62 41.38 -86.42% -35.85 -115.67%
P/S 0.9754 3.14 -68.9%
P/BV 3.64 3.95 -7.83%
P/FCF -6.99 13.3 -152.56%
Ev/Ebitda 7.51 122.94 -93.89%
Ev/S 1.35 30.01 -95.5%
Ev/FCF -6.1 126.17 -104.83%
E/P -0.0904 5.03 -101.8%
Efficiency
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Ebitda margin
5/10
17.98 18.99 -5.32% -8.16 -320.28%
ROE -32.19 13.49 -338.65%
ROA -9.15 4.96 -284.41%
ROIC -2.2 10.31 -121.33%
ROS -14 9.35 -249.72%
ROCE -20.21 19.49 -203.69%
Debt
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Debt/Ebitda
5/10
2.89 112.88 -97.44% 31.29 -90.76%
Nеt Debt/Ebitda 2.08 108.95 -98.09%
Debt/Ratio 0.3398 0.3151 7.82%
Debt/Equity 0.778 107.53 -99.28%
Debt/Net Income -3.71 112.76 -103.29%
Dividends
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Dividend yield
0/10
0 13.86 -100% 170.94 -100%
Number of years of dividend growth 1 1.28 -21.83%
DSI 0.5 0.8294 -39.71%
Average dividend growth 0 -393.35 -100%
Average percentage for 5 years 170.94 99.23 72.27%
Average percentage for payments 0 153.8 -100%
Difference from average difference in sector -13.86
Growth impulse
Parameter Grade Value Sector average Difference with sector, %
Growth impulse Revenue 5 years
10/10
113.64 224.22 -49.32%
Growth impulse Ebitda 5 years 196.51 127.25 54.43%
Growth impulse Net Income 5 years 163.63 112.74 45.14%
Growth impulse FCF 5 years 61.92 75.4 -17.88%
Growth impulse EPS 5 years -97.87 687.94 -114.23%
IP Score
5.28/10

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