AAAGY - Stock Analysis for ALTANA ADR

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US:AAAGY
Calculate financial ratios, growth rates, sticker price and margin of safety (MOS) for Altana ADR, get Technical Indicators Charts such as moving averages, slow and fast stochastics, MACD for AAAGY - Altana ADR.

Business Summary


ALTANA AG develops and produces products in the specialty chemicals business. The Company offers solutions with the matching specialty products for coating manufactures, paint and plastic processors, the printing and cosmetic industries, and the electrical and electronic industry. The product range includes additives, special coatings and adhesives, effect pigments, sealants and compounds, impregnating resins & varnishes, and testing and measuring instruments. The Company has four divisions: BYK Additives & Instruments, ECKART Effect Pigments, ELANTAS Electrical Insulation, and ACTEGA Coatings & Sealants. The Company�s products are used in the manufacture of paints and coatings. Its products are used in packaging materials, electrical and electronic components, plastics and cosmetics. As of December 31, 2008, the Company had 33 production facilities and 46 service and research laboratories. On March 30, 2009, the Company acquired the business of the Frankfurt-based DyStar group.

Growth Rates

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Debt/Free Cash Flow Ratio

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Debt/FCF ratio is 0 - GOOD

Zero Debt/Free Cash Flow ratio means company does not have long term debt as of latest financial statement.

Negative Debt/Free Cash Flow ratio means company has a negative Free Cash Flow and probably will not be able to pay off its long term debt. There is certainly a problem.

Debt/Free Cash Flow ratio less than 3 means company potentially can pay off its long term debt in less than 3 years, which is OK.

Debt/Free Cash Flow ratio more than 3 means company will not be able to pay off its long term debt in 3 years, which can be a problem. This is not a good sign.

Sticker and MOS Price

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Technical Indicators (The Three Tools)

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The Three Tools are: Moving Average, Stochastics and MACD.

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