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Fundamental Analysis of American Fin Group 4.5% NT - Growth / Value Index


AFGE - Valuation Highlights

Valuation Analysis

   Price to Earning Ratio is 1.80 and EV to EBITDA is 0 suggesting company is undervalued.
   Price to Book Ratio is 0.093 indicating that it is undervalued.
   Book Value in last 3 years is trending up
Valuation Key Ratios
Ratio TTM Latest FY Yoy Change MRQ
Price to Earning 1.81 1.89 -0.580 %
Price to Book 0.094 0.057 -87.41 % 0.084
Price to Sales 0.200 0.205 -15.16 %
Enterprise Value to EBITDA Multiple 0 0.449 -51.82 %


AFGE - Profitability Highlights

Profitability Analysis

   Piotroski F Score - Good Value of 7.0
   Earning Yield of 55.54 %
   Over the last 3 years, the company has achieved Incredible Return on Equity
   During the past twelve months, the company has given a strong Return On Equity of 21.60%
   Good Net Margin of 11.03% is achieved by the company
   Tsr Profitability Index - Poor Score of 23.03
   In the last three years, the company has given poor Returns on Assets
Profitability Key Ratios
Ratio TTM Latest FY Yoy Change MRQ
Return On Equity 21.60 20.01 -9.71 % 5.71
Return On Asset 3.20 2.86 56.98 % 0.807
Net Profit Margin 11.03 10.89 -14.66 % 12.70
Operating Profit Margin 34.93 10.89 -14.66 % 21.77
EBITDA Margin 4.77 10.89 -37.34 % -5.82


Highlights
Market Cap0
Enterprise Value0
Price/Book TTM0.094
Outstanding Share0
Float/ Outstanding Share%
Dividend Yield2.06 %
Share Holding
Guru Numbers
Price/Graham No0.068
Peter Lynch Ratio0.333
Piotroski F Score7.00
Altman Z Score0.495
Sloan Ratio-0.0375
Peter Lynch Fair Value0


AFGE - Growth Highlights

Growth Analysis

   Company's Total Assets is Decreasing for last 3 years
Growth Key Fields
Field TTM YoY Growth QoQ Growth
Revenue 7993.00 M 11.18 % 8.50 %
Gross Profit 7993.00 M 11.18 % 8.50 %
EBITDA 381000 K 30.34 % 716.67 %
Net Profit 882000 K 5.12 % 7.98 %
EPS 10.46 0.584 % NA


AFGE - Stability Highlights

Stability Analysis

   Tsr Stability Index - Good Score of 69.64
   Company is Debt Free
   Net Debt zero balance-sheet with high liquidity
   Decreasing debt with Increasing revenue
   Altman Z Score of 0.495 suggest high risk
Stability Key Ratios
Ratio Latest FY Yoy Change MRQ
Debt to Equity Ratio 0 0 % 0
Cash Ratio 1.68 -95.69 %
Quick Ratio 3.61 -75.95 % 3.60
Shareholders Equity 14.29 73.86 %
Debt to EBITDA 0 0 %


Historical Valuation Ratios of American Fin Group 4.5% NT

Historical Valuation Ratios
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Historical Profitability Ratios of American Fin Group 4.5% NT

Historical Profitability Ratios
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Historical Efficiency Ratios of American Fin Group 4.5% NT

Historical Efficiency Ratios
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Historical Solvency Ratios of American Fin Group 4.5% NT

Historical Solvency Ratios
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Note : All Data Generated at the End of Trading Hours (EOD Data)