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Ajinomoto Co., Inc.

AJINYPNK
Consumer Defensive
Packaged Foods
$29.60
$0.00(0.00%)
U.S. Market is Open • 09:41

Ajinomoto Co., Inc. Fundamental Analysis

Ajinomoto Co., Inc. (AJINY) shows weak financial fundamentals with a PE ratio of 56.94, profit margin of 5.05%, and ROE of 10.77%. The company generates $818.2B in annual revenue with moderate year-over-year growth of 6.35%.

Key Strengths

Cash Position699.61%
PEG Ratio0.03
Current Ratio1.51

Areas of Concern

Operating Margin8.30%
We analyze AJINY's fundamental strength across five key dimensions.

The stock receives a Fundamental Health Score of 57.5/100 based on profitability, valuation, growth, and balance sheet metrics. The C grade reflects average fundamentals, with notable risks in certain areas.

Fundamental Health Score

C
57.5/100

We analyze AJINY's fundamental strength across five key dimensions:

Efficiency Score

Weak

AJINY struggles to generate sufficient returns from assets.

ROA > 10%
4.14%

Valuation Score

Moderate

AJINY shows balanced valuation metrics.

PE < 25
56.94
PEG Ratio < 2
0.03

Growth Score

Moderate

AJINY shows steady but slowing expansion.

Revenue Growth > 5%
6.35%
EPS Growth > 10%
-58.33%

Financial Health Score

Excellent

AJINY maintains a strong and stable balance sheet.

Debt/Equity < 1
0.60
Current Ratio > 1
1.51

Profitability Score

Weak

AJINY struggles to sustain strong margins.

ROE > 15%
10.77%
Net Margin ≥ 15%
5.05%
Positive Free Cash Flow
Yes

Key Financial Metrics

Is AJINY Expensive or Cheap?

P/E Ratio

AJINY trades at 56.94 times earnings. This suggests a premium valuation.

56.94

PEG Ratio

When adjusting for growth, AJINY's PEG of 0.03 indicates potential undervaluation.

0.03

Price to Book

The market values Ajinomoto Co., Inc. at 6.02 times its book value. This suggests the stock is fully valued or overvalued on an asset basis.

6.02

EV/EBITDA

Enterprise value stands at 10.14 times EBITDA. This signals the market has high growth expectations.

10.14

How Well Does AJINY Make Money?

Net Profit Margin

For every $100 in sales, Ajinomoto Co., Inc. keeps $5.05 as profit after all expenses.

5.05%

Operating Margin

Core operations generate 8.30 in profit for every $100 in revenue, before interest and taxes.

8.30%

ROE

Management delivers $10.77 in profit for every $100 of shareholder equity.

10.77%

ROA

Ajinomoto Co., Inc. generates $4.14 in profit for every $100 in assets, demonstrating efficient asset deployment.

4.14%

Following the Money - Real Cash Generation

Operating Cash Flow

Ajinomoto Co., Inc. produces operating cash flow of $120.62B, showing steady but balanced cash generation.

$120.62B

Free Cash Flow

Ajinomoto Co., Inc. produces free cash flow of $68.15B, offering steady but limited capital for shareholder returns and expansion.

$68.15B

FCF Per Share

Each share generates $133.58 in free cash annually.

$133.58

FCF Yield

AJINY converts 5.52% of its market value into free cash.

5.52%

Financial Ratios Analysis

Valuation Ratios

P/E Ratio

Price to earnings ratio

56.94

vs 25 benchmark

PEG Ratio

Price/earnings to growth ratio

0.03

vs 25 benchmark

P/B Ratio

Price to book value ratio

6.02

vs 25 benchmark

P/S Ratio

Price to sales ratio

1.51

vs 25 benchmark

Financial Health

Debt/Equity

Total debt to shareholders' equity

0.60

vs 25 benchmark

Current Ratio

Current assets to current liabilities

1.51

vs 25 benchmark

Efficiency Ratios

ROE

Return on equity percentage

0.11

vs 25 benchmark

ROA

Return on assets percentage

0.04

vs 25 benchmark

ROCE

Return on capital employed

0.09

vs 25 benchmark

How AJINY Stacks Against Its Sector Peers

MetricAJINY ValueSector AveragePerformance
P/E Ratio56.9423.25 Worse (Expensive)
ROE10.77%1240.00% Weak
Net Margin5.05%-9728.00% (disorted) Weak
Debt/Equity0.600.77 Strong (Low Leverage)
Current Ratio1.512.54 Neutral
ROA4.14%-203388.00% (disorted) Weak

AJINY outperforms its industry in 1 out of 6 key metrics, but lagging in P/E Ratio.

Historical Growth Performance

5-Year Growth Trajectory

This section reviews Ajinomoto Co., Inc.'s 5-year compound annual growth rate (CAGR) and compares its performance against the typical investment style of its industry.

Revenue CAGR

-24.28%

Industry Style: Defensive, Dividend, Low Volatility

Declining

EPS CAGR

103.02%

Industry Style: Defensive, Dividend, Low Volatility

High Growth

FCF CAGR

-0.54%

Industry Style: Defensive, Dividend, Low Volatility

Declining

Fundamental Analysis FAQ