Edition:
United Kingdom

Star Asia Investment Corp (3468.T)

3468.T on Tokyo Stock Exchange

106,900JPY
15 Aug 2018
Change (% chg)

¥-500 (-0.47%)
Prev Close
¥107,400
Open
¥107,400
Day's High
¥108,100
Day's Low
¥105,900
Volume
984
Avg. Vol
1,413
52-wk High
¥119,700
52-wk Low
¥100,800

Revenue & Earnings Per Share

    Revenue* Earnings Per Share**
FY 2018 Jan '18 3,194.35 4,349.920
FY 2017 Jul '17 3,211.39 4,697.750
Jan '17 2,017.39 3,111.730
 
*Note: Units in Millions ofYen
**Note: Units in Yen

Consensus Estimates Analysis

  # of Estimates Mean High Low 1 Year Ago
Sales and Profit Figures in US Dollar (USD);

Valuation Ratios

  Company industry sector
P/E Ratio (TTM) 13.38 33.14 19.70
P/E High - Last 5 Yrs. -- 40.51 26.99
P/E Low - Last 5 Yrs. -- 17.90 11.52
Beta -- 0.41 1.47
Price to Sales (TTM) 8.28 10.07 5.85
Price to Book (MRQ) 1.03 1.90 2.75
Price to Tangible Book (MRQ) 1.13 2.13 2.86
Price to Cash Flow (TTM) 12.60 22.04 24.44
% Owned Institutions -- 9.80 0.85

Dividends

  Company industry sector
Dividend Yield 7.21 3.87 1.99
Dividend Yield - 5 Year Avg -- 2.89 2.08
Dividend 5 Year Growth Rate -- 3.64 21.95
Payout Ratio(TTM) 36.92 137.59 18.87

Growth Rates

  Company industry sector
Sales (MRQ) vs Qtr. 1 Yr. Ago -- 5.11 15.98
Sales (TTM) vs TTM 1 Yr. Ago -- 6.61 11.18
Sales - 5 Yr. Growth Rate -- 8.14 14.07
EPS (MRQ) vs Qtr. 1 Yr. Ago -- 35.89 36.61
EPS (TTM) vs TTM 1 Yr. Ago -- -- --
EPS - 5 Yr. Growth Rate -- 3.27 10.50
Capital Spending - 5 Yr. Growth Rate -- 16.71 19.53

Financial Strength

  Company industry sector
Quick Ratio (MRQ) -- 0.02 0.05
Current Ratio (MRQ) 0.54 0.69 2.06
LT Debt to Equity (MRQ) 71.73 100.83 31.52
Total Debt to Equity (MRQ) 92.45 112.10 71.24
Interest Coverage (TTM) -- 5.82 9.01

Profitability Ratios

  Company industry sector
Gross Margin (TTM) 75.19 65.25 3.43
Gross Margin - 5 Yr. Avg. -- 51.67 3.27
EBITD Margin (TTM) 73.07 -- --
EBITD - 5 Yr. Avg -- 51.14 48.28
Operating Margin (TTM) 62.90 49.28 36.04
Operating Margin - 5 Yr. Avg. -- 40.99 40.93
Pre-Tax Margin (TTM) 55.60 44.16 36.57
Pre-Tax Margin - 5 Yr. Avg. -- 35.45 41.42
Net Profit Margin (TTM) 55.56 43.54 29.24
Net Profit Margin - 5 Yr. Avg. -- 34.97 32.80
Effective Tax Rate (TTM) 0.06 1.22 21.02
Effective Tax Rate - 5 Yr. Avg. -- 1.39 20.95

Efficiency

  Company industry sector
Revenue/Employee (TTM) -- 3,030,499 57,816,487
Net Income/Employee (TTM) -- 1,499,693 20,253,922
Receivable Turnover (TTM) -- 117.45 8,592.71
Inventory Turnover (TTM) -- 0.24 0.97
Asset Turnover (TTM) -- 0.08 0.02

Management Effectiveness

  Company industry sector
Return on Assets (TTM) -- 3.16 2.61
Return on Assets - 5 Yr. Avg. -- 2.47 2.85
Return on Investment (TTM) -- 3.42 0.48
Return on Investment - 5 Yr. Avg. -- 2.68 0.51
Return on Equity (TTM) -- 6.95 15.44
Return on Equity - 5 Yr. Avg. -- 5.15 19.99
  1 Year 3 Year 5 Year
Sales % -- -- --
EPS (TTM) % -- -- --
Dividend % -- -- --
Note: Units in Millions of US Dollars

Performance for Star Asia Investment Corp

Period %
Actual
% vs.
S&P 500
Rank In
Industry
Industry
Rank
4 Week 2.96 -2.76 80 15
13 Week -4.13 -8.68 14 16
26 Week 8.85 -3.88 79 6
52 Week 19.43 -4.16 82 4
YTD 7.07 -3.63 64 5
Note:: Rank is a percentile that ranges from 0 to 99, with 99 = best.

Institutional Holders

% Shares Owned: 16.72%
# of Holders: 28
Total Shares Held: 78,682
3 Mo. Net Change: 9,420
# New Positions: 1
# Closed Positions: 0
# Increased Positions: 14
# Reduced Positions: 2
# Net Buyers: 12
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