Asia Polymer Corp 1308

Morningstar Rating
TWD 18.40 −0.35 (1.87%)
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About Quantitative Ratings

Morningstar Quantitative Ratings for Stocks are generated using an algorithm that compares companies that are not under analyst coverage to peer companies that do receive analyst-driven ratings. Companies with quantitative ratings are not formally covered by a Morningstar analyst, but are statistically matched to analyst-rated companies, allowing our models to calculate a quantitative moat, fair value, and uncertainty rating.

Price vs Fair Value

1308 is trading at a 776% premium.
Price
TWD 18.49
Fair Value
TWD 97.52
Uncertainty
Very High
1-Star Price
TWD 38.47
5-Star Price
TWD 47.19
Economic Moat
Vxs
Capital Allocation

Trading Information

Previous Close Price
TWD 18.75
Day Range
TWD 18.3019.05
52-Week Range
TWD 15.5024.75
Bid/Ask
TWD 18.35 / TWD 18.40
Market Cap
TWD 10.92 Bil
Volume/Avg
1.6 Mil / 1.8 Mil

Key Statistics

Price/Earnings (Normalized)
100.63
Price/Sales
1.61
Dividend Yield (Trailing)
2.45%
Dividend Yield (Forward)
2.45%
Total Yield
2.45%

Company Profile

Asia Polymer Corp is engaged in designing, developing, manufacturing, and selling low-density polyethylene (LDPE), and ethylene vinyl acetate copolymer (EVA). The company has a single operating segment that produces and sells petrochemical products. Geographically, the company has operations in Taiwan, Asia, and Others, with a majority of its revenue coming from Taiwan.
Sector
Basic Materials
Industry
Specialty Chemicals
Stock Style Box
Small Value
Total Number of Employees
226

Comparables

Valuation

Metric
1308
1313
1309
Price/Earnings (Normalized)
100.63
Price/Book Value
0.860.551.32
Price/Sales
1.610.210.51
Price/Cash Flow
20.0977.08
Price/Earnings
1308
1313
1309

Financial Strength

Metric
1308
1313
1309
Quick Ratio
1.761.031.75
Current Ratio
2.292.042.24
Interest Coverage
−37.71−1.84−12.56
Quick Ratio
1308
1313
1309

Profitability

Metric
1308
1313
1309
Return on Assets (Normalized)
−1.60%−1.68%−3.75%
Return on Equity (Normalized)
−1.82%−3.23%−5.13%
Return on Invested Capital (Normalized)
−1.81%−1.22%−4.68%
Return on Assets
1308
1313
1309

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