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Company Information |
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Full name Ajinomoto (Malaysia) Berhad Headquarters Lot 5710, Jalan Kuchai Lama; Kuala Lumpur; Wilayah Persekutuan; 58200 |
Status: Listed Legal Form: Public Limited Company Operational Status: Operational ISIN CODE : MYL2658OO002 Financial Auditors: Hanafiah Raslan & Mohamad (2010) Incorporation Date: July 14, 1961 Total Employees: 397 Tel: (60 3) 79806958 |
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Company Description |
| The principal activities of AJI are manufacturing and selling of monosodium glutamate (MSG) and other related products. The principal activities of the associated company are trading in MSG and processing of hydrolysed vegetable protein. There have been no signicant changes in the nature of the principal activities during the financial year. Ajinomoto (Malaysia) Berhad was incorporated on 14July 1961 in Malaysia and converted into a public company on 11 July 1968. The Holding company is Ajinomoto | ||
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Company Analysis |
| According to the Consolidated - Non-Audited financial statement for the first two cumulated quarters of 2013, total net operating revenues increased with 3.02%, from MYR 162,609 thousands to MYR 167,513 thousands. Operating result decreased from MYR 17,349 thousands to MYR 15,463 thousands which means -10.87% change. The results of the period decreased -10.93% reaching MYR 11,957 thousands at the end of the period against MYR 13,424 thousands last year. Return on equity (Net income/Total equity) went from 5.75% to 5.05%, the Return On Asset (Net income / Total Asset) went from 4.99% to 4.08% and the Net Profit Margin (Net Income/Net Sales) went from 8.26% to 7.14% when compared to the same period of last year. The Debt to Equity Ratio (Total Liabilities/Equity) was 23.77% compared to 15.10% of last year. Finally, the Current Ratio (Current Assets/Current Liabilities) went from 6.45 to 4.00 when compared to the previous year. |
Key Executives |
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Companies with Similar Main Activities |

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2013 Q3C (cons) |
2013 Q2C (cons) |
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| Non-Audited | Non-Audited | |
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| WVB Company Financials | WVB Company Financials | |
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| Unit | Thousands | Thousands |
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Total Assets |
275,759 |
293,102 |
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Current Assets |
169,482 |
186,928 |
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Total Liabilities |
35,662 |
56,290 |
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Shareholders Equity |
240,097 |
236,812 |
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Current Liabilities |
25,629 |
46,706 |
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| * All the accounts are in MYR. | ||
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Total Operating Revenue |
248,240 |
167,513 |
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Operational Profit (Loss) |
20,587 |
15,463 |
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Net Profit (Loss) |
14,969 |
11,957 |
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| * All the accounts are in MYR. | ||
| Profitability Ratios | ||
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Return on Assets (ROA) |
5.43% |
4.08% |
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Annualised Return on Assets (ROA) |
7.24% |
8.16% |
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Return on Equity (ROE) |
6.23% |
5.05% |
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Annualised Return on Equity (ROE) |
8.31% |
10.1% |
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Return on Sales (ROS) |
6.03% |
7.14% |
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Return on Capital |
6.23% |
5.05% |
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Gross Profit Margin |
100% |
100% |
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Operating Profit Margin |
8.3% |
9.43% |
| Efficiency Ratios | ||
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Accounts Receivable Turnover |
7.75x |
4.57x |
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Current asset turnover |
1.46x |
0.90x |
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Fixed-asset turnover |
2.34x |
1.58x |
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Asset Turnover |
0.90x |
0.57x |
| Valuation figures and ratios | ||
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Earning Before Interests and Taxes (EBIT) |
20,612 |
15,800 |
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EBITDA |
20,612 |
15,800 |
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Enterprise value |
177,243 |
163,980 |
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Enterprise Value / EBITDA |
8.60 |
10.38 |
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Bookvalue (BV) |
275,759 |
293,102 |
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Net Cash |
48,833 |
36,764 |
| Liquidity Ratios | ||
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Current Ratio |
661.29% |
400.22% |
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Quick ratio |
426.74% |
265.67% |
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Doom's day ratio |
290.54% |
178.71% |
| Leverage Ratios | ||
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Leverage ratio |
114.85% |
123.77% |
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Debt to equity |
14.85% |
23.77% |
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Debt to total assets |
12.93% |
19.2% |
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Long Term Debt to Capital |
14.16% |
13.62% |
| Market ratios | ||
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Market Capitalization/EBITDA |
12.21 |
15.66 |
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Price/Book Ratio |
0.90 |
0.85 |
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Market Cap / Net cash |
5.15 |
6.73 |
| Trend Ratios | ||
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Revenue Trend |
102.67% |
103.73% |
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Net Income Trend |
75.94% |
89.07% |
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Operating Income Trend |
78.89% |
91.07% |
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