AOYAMA TRADING CO chart

Last update: 2021-02-19
Key statistics and financials
Revenue per share 3,394.56
Dividend & Yield28.00¥ (3.10%)
Beta 0.44
Market capitalization 43.44B
Operating cash flow N/A
ESG Scores unknown

Company description

Aoyama Trading Co., Ltd. engages in the business wear, casual wear, credit card, printing and media, sundry sales, repair service, and other businesses in Japan. The company offers suits, shoes, and casual clothing and other men's items; and ladies' suits for job hunting, formal wear, and others. It also issues and manages credit cards, as well as manages finance; provides a range of sales promotion services, including distributing flyers and direct mails. In addition, the company offers repair services for shoes and key duplication under the Mister Minit brand; sells daily merchandise and processed foods; and operates restaurants and fitness gyms. Further, it operates in the web media business. As of March 31, 2022, the company operated 704 Yofuku-no-Aoyama stores; 47 The Suit Company stores; 6 Universal Language stores; 2 White The Suit Company stores; 9 Universal Language Measure's stores; 22 Aoyama Suits stores; 16 2nd STREET stores; 1 JUMBLE STORE; 7 WTW stores for sundry and interior products; and 39 Yakiniku King restaurants, 13 Yuzu An restaurants, and 6 Anytime Fitness center for gyms. Aoyama Trading Co., Ltd. was incorporated in 1964 and is headquartered in Fukuyama, Japan.

Sector: Consumer Cyclical - Industry: Apparel Retail

Financial Ratios
Quick Ratio2.13
Working Capital0.01
Return On Equity0.01
Debt To Equity0.44
Fixed Asset Ratio0.02
Fixed Interest Cover6.27

Financial data

Financial Statements

Cashflow Statement 2019-03-31 2020-03-31 2021-03-31 2022-03-31
Change To Liabilities 730M -11.01B -10.55B -159M
Total Cashflows From Investing Activities -2.58B -7.92B 13.23B 3.78B
Net Borrowings 50M 16.6B -7.54B 2.02B
Total Cash From Financing Activities -11.01B 8.93B -9.78B -469M
Change To Operating Activities -1.13B 7.89B 7.94B -1.04B
Issuance Of Stock
Net Income 5.72B -16.9B -38.89B 1.35B
Change In Cash 1.26B -7.36B -2.48B 20.03B
Effect Of Exchange Rate -66M -206M 202M 197M
Total Cash From Operating Activities 14.9B -8.15B -6.13B 16.53B
Depreciation 9.94B 10.75B 8.55B 7.71B
Change To Account Receivables 30M 6.07B 3.15B 999M
Other Cashflows From Financing Activities -510M -2.14B -2.24B -2.49B
Change To Netincome -3.4B 701M 8.47B -4.5B
Capital Expenditures -6.38B -5.2B -2.81B -2.58B

Income Statement 2019-03-31 2020-03-31 2021-03-31 2022-03-31
Research Development
Income Before Tax 11B -18.92B -30.58B 2.95B
Net Income 5.72B -16.9B -38.89B 1.35B
Selling General Administrative 114.95B 108.14B 94.42B 78.11B
Gross Profit 136.25B 115.3B 80.02B 83.71B
Ebit 14.63B 819M -14.4B 2.18B
Operating Income 14.63B 819M -14.4B 2.18B
Interest Expense -122M -277M -309M -348M
Income Tax Expense 4.99B -2.27B 8.11B 1.83B
Total Revenue 250.3B 217.7B 161.4B 165.96B
Cost Of Revenue 114.05B 102.39B 81.38B 82.25B
Total Other Income ExpenseNet -3.63B -19.74B -16.18B 766M
Net Income From Continuing Ops 6.01B -16.66B -38.7B 1.11B
Net Income Applicable To Common Shares 5.72B -16.9B -38.89B 1.35B

Balance Sheet Statement 2019-03-31 2020-03-31 2021-03-31 2022-03-31
Total Liabilities 166.17B 176.18B 164.99B 158.22B
Total Stockholder Equity 220.84B 195.72B 160.84B 161.15B
Other Current Liabilities 16.76B 15.53B 22.51B 17.63B
Total Assets 390.34B 375.33B 329.45B 322.73B
Common Stock 62.5B 62.5B 62.5B 62.5B
Other Current Assets 3.29B 4.99B 5.61B 4.81B
Retained Earnings 114.07B 91.76B 52.27B 53.07B
Treasury Stock -18.27B -21.11B -16.39B -16.88B
Cash 61.59B 55.94B 53.02B 73.43B
Total Current Liabilities 60.59B 94.46B 101.08B 68.85B
Other Stockholder Equity -16.85B -19.42B -14.72B -15.29B
Property, Plant, and Equipment 104.16B 100.01B 87.95B 83.98B
Total Current Assets 214.16B 208.81B 181.23B 188.2B
Net Tangible Assets 204.37B 184.71B 148.97B 150.18B
Net Receivables 78.18B 73.85B 70.79B 68.64B
Accounts Payable 38.96B 30.06B 19.35B 19.66B


Insider Transactions

Here are the insider transactions of stock shares related to AOYAMA TRADING CO:

Filer Name Transaction Text Ownership Date Filer Relation Shares
NO DATA

Insider transaction explanations

Insider buying is the legal purchase of shares by a senior executive or director of a company. "Filer Name" corresponds to the name of the stock buyer or seller. "Transaction Text" describes the transaction. "Ownership" gives information about the transaction type. "Date" is the reported transaction date. "Filer Relation" gives the role of the insider in the company. "Shares" is the value of the transaction. You will find the complete description of the General Transaction Codes on the SEC dedicated page


Investment strategy backtesting

These are the result of three automatic investment systems applied to AOYAMA TRADING CO. You will find the performance of an systematic investment system, a momentum strategy, and a buy the dip trading strategy.


Systematic investment results on AOYAMA TRADING CO

Here is the result of two systematic investment strategies applied to AOYAMA TRADING CO. The first strategy automatically buys the first day of the month, and the second strategy buys the fifteenth day of the month.

Systematic investment equity curve on AOYAMA TRADING CO

The following chart shows the equity curve of the two systematic investment strategies applied to AOYAMA TRADING CO:

AOYAMA TRADING CO automated entries

The systematic investment strategy that buys the first day of the month would give a performance of -82.47% on the backtest period.

Performance at glance

Performance

-82.47 %

Latent gain

-9967.0 ¥

Invested capital

12085.0 ¥

Annualized return

-19.64 %
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Momentum strategy results on AOYAMA TRADING CO

This is the result of two momentum investment strategies applied to AOYAMA TRADING CO. The first strategy uses a momentum signal calculated on one quarter, and the second uses a momentum signal calculated on two quarters.

Momentum entry openings on AOYAMA TRADING CO

The following chart shows all the entries opened by the momentum investment system on AOYAMA TRADING CO:

AOYAMA TRADING CO momentum entries
  • The first momentum investment strategy would give -82.01% of return on AOYAMA TRADING CO. That represents -6438.0¥ of latent gain with 7850.0¥ of employed capital.
  • The second momentum investment strategy would give -81.92% of return on AOYAMA TRADING CO. That represents -6398.0¥ of latent gain with 7810.0¥ of employed capital.
Performance at glance (1Q Momentum)

Performance

-82.01 %

Latent gain

-6438.0 ¥

Invested capital

7850.0 ¥

Annualized return

-17.3 %
Performance at glance (2Q Momentum)

Performance

-81.92 %

Latent gain

-6398.0 ¥

Invested capital

7810.0 ¥

Annualized return

-22.02 %

Momentum equity curve on AOYAMA TRADING CO

The following chart shows the equity curve of the two momentum strategies applied to AOYAMA TRADING CO:

AOYAMA TRADING CO momentum equity

Note: the dividends potentially given by AOYAMA TRADING CO are not integrated into the calculation of the equity curve neither the performance of the strategy. The integration of the dividends will be available soon.


Employed capital on AOYAMA TRADING CO

The following chart shows the employed capital evolution of the two momentum strategies on AOYAMA TRADING CO since the beginning:

AOYAMA TRADING CO

Note: the algorithm buys for a maximum of 250$ per entry. If the stock price is greater than 250¥, the system buys only one stock per entry. The investment system stops automatically when the financial exposure reaches 10000¥.


Buy the dip strategy result on AOYAMA TRADING CO

Buy the dip entry openings on AOYAMA TRADING CO

AOYAMA TRADING CO

The performance achieved by the robo-advisor on AOYAMA TRADING CO is -38.05%. That represents -1301.0$ of latent gain with 3419.0¥ of employed capital. The following chart shows AOYAMA TRADING CO stock price with all the entries opened by the automated investment system.

Note: The blue line represents the weekly stock price of AOYAMA TRADING CO, and the green triangles represent the entry openings. The artificall robo-advisor needs at least 100 weeks of trading history to work.

Performance at glance

Performance

-38.05 %

Latent gain

-1301.0 ¥

Invested capital

3419.0 ¥

Annualized return

-17.3 %

Equity curve of the strategy applied to AOYAMA TRADING CO

The following chart shows the result of the investment strategy applied to AOYAMA TRADING CO:

AOYAMA TRADING CO

Note: the dividends potentially given by AOYAMA TRADING CO are not integrated into the calculation of the equity curve neither the performance of the strategy. The integration of the dividends will be available soon.


Employed capital on AOYAMA TRADING CO

The following chart shows the employed capital evolution since the beginning of the investment strategy on AOYAMA TRADING CO:

AOYAMA TRADING CO

Note: the algorithm buys for a maximum of 250$ per entry. If the stock price is greater than 250$, the system buys only one stock per entry. The investment system stops automatically when the financial exposure reaches 10000$.


Investment strategies comparison on AOYAMA TRADING CO

In this section, I will compare the three previous investment strategies applied to AOYAMA TRADING CO.

Equity curve comparison on AOYAMA TRADING CO

The following chart shows the equity curve of the artificall advisor, the trend folowing and the automatic investment strategies:

AOYAMA TRADING CO investment strategy comparison

Employed capital comparison on AOYAMA TRADING CO

AOYAMA TRADING CO investment comparison

Performance comparison on AOYAMA TRADING CO

Strategy Latent Profit Growth Employed capital CAGR
Automatic investment -82.47% -9967.0¥ 12085.0¥ -19.64%
Momentum 1 quarter -82.01% -6438.0¥ 7850.0¥ -20.71%
Momentum 2 quarters -81.92% -6398.0¥ 7810.0¥ -22.02%
Non-directional -38.05% -1301.0¥ 3419.0¥ -17.3%
Annualized return comparison

Automatic investment

-19.64 %

Momentum 1Q

-22.02 %

Momentum 2Q

-22.02 %

Non-directional

-17.3 %

Correlated stocks

Here are the most positively and negatively correlated stocks with AOYAMA TRADING CO:

Positive correlations

Most correlated stocks this year


Most correlated stocks last 3 months

Negative correlation

Most negatively correlated stocks this year


Most negatively correlated stocks last 3 months

Note: The algorithm computes the probability of correlation between AOYAMA TRADING CO and the other stocks. There may be false positives or some missing correlated stocks. If the price of AOYAMA TRADING CO does not vary for 36 weeks, the correlation calculation result will be wrong.


Company information

Company name AOYAMA TRADING CO
Country Japan
City Fukuyama
Address 1-3-5 Oji-cho
Phone 81 8 4920 0050
Website www.aoyama-syouji.co.jp
FullTime employees 6523
Industry Apparel Retail
Sector Consumer Cyclical
Exchange XTKS
Ticker 8219.XTKS
Market www.jpx.co.jp

AOYAMA TRADING CO ESG Scores

Environment scores

Environment ESG Factors Scores
Environment Score 0
Peer Environment Performance unknown
Environment Percentile unknown
Palm Oil unknown
Nuclear unknown
Fur Leather unknown
GMO unknown
Coal unknown
Pesticides unknown
Animal Testing unknown

Social scores

Social ESG Factors Scores
Social Score 0
Peer Social Performance unknown
Social Percentile unknown
Highest Controversy unknown
Peer Highest Controversy Performance unknown
Adult unknown
Gambling unknown
Alcoholic unknown
Tobacco unknown
Catholic unknown
Controversial Weapons unknown
Small Arms unknown
Military Contract unknown
Peer Count unknown

Related Controversy:


Governance scores

Governance ESG Factors Scores
Governance Score 0
Peer Governance Performance unknown
Governance Percentile unknown

ESG at glance
Total ESG Scores: unknown
Environment Score: 0
Social Score: 0
Governance Score: 0

ESG Performance: unknown

Peer Group: unknown

Peer Esg Score Performance: unknown

Rating Year: unknown

Rating Month: unknown

Max Age: unknown

Percentile: unknown