Stock Research: Aston Martin Lagonda Global Holdings

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Aston Martin Lagonda Global Holdings

LSE:AML GB00BN7CG237
8
  • Value
    16
  • Growth
    41
  • Safety
    Safety
    37
  • Combined
    10
  • Sentiment
    13
  • 360° View
    360° View
    8
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Company Description

Aston Martin Lagonda Global Holdings plc is a United Kingdom-based automotive company designing, developing, manufacturing, and marketing luxury vehicles. It operates in the automotive segment, including consulting services, parts sales, servicing, and automotive brand activities, featuring models like Vantage, DB12, Vanquish, DBX707, and Aston Martin Valkyrie. In the last fiscal year, the company had a market cap of $1069 millions, profits of $731 millions, revenue of $1982 millions, and 3006 employees.

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Analysis

ANALYSIS: With an Obermatt 360° View of 8 (better than 8% compared with alternatives), overall professional sentiment and financial characteristics for the stock Aston Martin Lagonda Global Holdings are critical, mostly below average. The 360° View is based on consolidating four consolidated indicators, with all four indicators below average for Aston Martin Lagonda Global Holdings. The consolidated Value Rank has a low rank of 37 which means that the share price of Aston Martin Lagonda Global Holdings is on the higher side compared with typical size in indicators such as revenues, profits, and invested capital. This means the stock price is higher than for 63% of alternative stocks in the same industry. The consolidated Growth Rank also has a low rank of 41, which means that the company exhibits below-average growth momentum when looking at financial metrics such as revenue, profit, and invested capital growth as well as stock returns. This means that growth is lower than for 41% of competitors in the same industry. The consolidated Safety Rank has a riskier rank of 16, which means that the company has a riskier financing structure than 84% comparable companies when looking at the amount of its debt, its refinancing requirements, and its ability to service debt. Finally, the consolidated Sentiment Rank has a low rank of 13, which means that professional investors are more pessimistic about the stock than for 87% of alternative investment opportunities. ...read more

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Index
FTSE All Shares
FTSE 250
FTSE 350
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The higher the 360° View, the better the stock performed against its peers, considering all metrics. The 360° View represents an average of the other 5 ranks and is then scaled to a rank from 1 to 100. The shaded values are illustrative only.
Last update: 21-Aug-2025.

Make Sense of the Ranks

The higher, the better. For every stock, we judge its performance against its peers and rank it on a scale of 1 to 100. These ranks are percentiles: a rank of 75 means the company outperforms 75% of its peers in that specific area. The higher the rank, the better the stock stacks up against its peers.

Value
Identifies how good a value the stock is.
Good Value Expensive
Growth
Shows a company's growth potential.
High Growth Tough Times
Safety
Safety
Assesses how financially secure a company is.
Well-Financed High Leverage
Combined
Consolidated view across Value, Growth, and Safety.
Good Tread Carefully
Sentiment
Shows what the market thinks of a stock.
Positive Sentiment Skepticism
360° View
360° View
Holistic stock analysis: all key non-/financial metrics
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Detailed and Historical Ranks

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Metrics Current 2024 2023 2022
Value
37 29 11 16
Growth
41 30 89 31
Safety
Safety
16 4 8 1
Sentiment
13 4 11 1
360° View
360° View
8 1 12 1
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Metrics Current 2024 2023 2022
Analyst Opinions
18 13 31 19
Opinions Change
50 44 36 50
Pro Holdings
n/a 6 13 41
Market Pulse
4 7 14 7
Sentiment
13 4 11 1
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Metrics Current 2024 2023 2022
Value
37 29 11 16
Growth
41 30 89 31
Safety Safety
16 4 8 1
Combined
10 1 18 6
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Metrics Current 2024 2023 2022
Price vs. Sales (P/S)
22 22 22 5
Price vs. Earnings (P/E)
51 31 23 28
Price vs. Book (P/B)
62 59 28 32
Dividend Yield
1 1 1 1
Value
37 29 11 16
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Metrics Current 2024 2023 2022
Revenue Growth
89 92 98 92
Profit Growth
80 10 64 25
Capital Growth
20 50 40 30
Stock Returns
3 12 83 12
Growth
41 30 89 31
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Metrics Current 2024 2023 2022
Leverage
17 29 15 34
Refinancing
38 9 20 12
Liquidity
12 6 4 6
Safety Safety
16 4 8 1

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