Panasonic Holdings Corp 6752

Morningstar Rating
¥‎1,285.00 +32.00 (2.55%)
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Company Report

Price vs Fair Value

6752 is trading at a 114% premium.
Price
¥‎1,253.00
Fair Value
¥‎9,185.00
Uncertainty
Medium
1-Star Price
¥‎7,594.00
5-Star Price
¥‎2,764.00
Economic Moat
Yps
Capital Allocation
Syyddtqjg

Bulls Say, Bears Say

Bulls

Panasonic has plenty of "one-off" earnings and cash flow upside available through exiting unprofitable products.

Bears

Panasonic has too many products, with very few having market leadership.

News

Trading Information

Previous Close Price
¥‎1,253.00
Day Range
¥‎1,275.501,294.00
52-Week Range
¥‎986.901,686.00
Bid/Ask
¥‎1,284.50 / ¥‎1,285.00
Market Cap
¥‎3.00 Tril
Volume/Avg
3.1 Mil / 9.2 Mil

Key Statistics

Price/Earnings (Normalized)
6.34
Price/Sales
0.34
Dividend Yield (Trailing)
2.99%
Dividend Yield (Forward)
3.19%
Total Yield
2.99%

Company Profile

Panasonic Holdings is a conglomerate that has diversified from its consumer electronics roots. It has five main business units: lifestyle (white appliances and housing products); automotive (cockpit systems); connect (BtoB businesses); industry (FA products, electronic materials, and devices); and energy (rechargeable batteries). After the crisis in 2012, former president Kazuhiro Tsuga has focused on shifting the business portfolio to increase the proportion of B2B businesses to mitigate the tough competition in consumer electronics products.
Sector
Technology
Industry
Consumer Electronics
Stock Style Box
Large Value
Total Number of Employees
257,449

Competitors

Valuation

Metric
6752
6758
005930
Price/Earnings (Normalized)
6.343.7315.02
Price/Book Value
0.602.131.11
Price/Sales
0.340.261.30
Price/Cash Flow
4.561.656.11
Price/Earnings
6752
6758
005930

Financial Strength

Metric
6752
6758
005930
Quick Ratio
0.870.401.80
Current Ratio
1.330.632.58
Interest Coverage
14.6221.5329.22
Quick Ratio
6752
6758
005930

Profitability

Metric
6752
6758
005930
Return on Assets (Normalized)
5.42%2.69%6.04%
Return on Equity (Normalized)
11.56%12.28%7.81%
Return on Invested Capital (Normalized)
7.30%7.61%6.57%
Return on Assets
6752
6758
005930

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