This material does not constitute investment advice and should not be viewed as a current or past recommendation or a solicitation of an offer to buy or sell any securities or to adopt any investment strategy.
Fundamental Analysis & Analyst Recommendations S&P ASIA 50 Index Components February 2013
Q M S Advisors .
.
Q.M.S Advisors | Avenue de la Gare, 1 1003 Lausanne | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
Valuation Measures I/II Market Capitalization & Asset Liability data
Currency
Market Capitalization (in mio USD)
Daily Volume (M)
Total Preferred Common Total Debt Stock Shares (M) (USD) (USD)
Total Revenue
Minority Cash and Enterprise Interest Equivalents Value (USD) (USD) (USD)
Tot. Rev. LFY
Est. Tot. Rev. - Tr. 12M
EBITDA
Earnings Per Share
Est. Tot. Est. Tot. Est. EBITDA - Est. EBITDA - Est. EBITDA Rev. - 2013 Rev. - 2014 EBITDA - LFY Tr. 12M 2013 2014 EPS - LFY
Price/Earnings ratio
Est. EPS Tr. 12M
Est. EPS 2013
Est. EPS 2014
P/E Ratio LFY
Rev. Growth
EBITDA Growth
Est. P/E Est. Est. Est. Est. Ratio - Tr. Est. P/E Est. P/E Revenue Revenue Est. EBITDA EBITDA Est. EBITDA 12M Ratio - 2013 Ratio - 2014 Growth - 1Y Growth - 5Y Growth - 1Y Growth - 5Y Margin -
S&P LT Credit Rating -
S&P LT Credit Rating Date
Moody's LT Credit Moody's LT Credit Rating Rating Date
S&P 500 INDEX
USD
14121364
1907.672
1115
1115
203
220
220
101.35
110.66
110.66
15.03
15.03
13.77
13.77
18.69
Euro Stoxx 50 Pr
EUR
2622635
5772.872
4825
4825
811
833
833
186.71
323.03
323.03
25.21
16.93
14.57
14.57
21.45
NIKKEI 225
JPY
2425374
177.225
189
189
19
20
20
5.16
5.60
5.60
0.25
0.24
0.23
0.23
0.12
FTSE 100 INDEX
GBP
2721403
11808.59
9311
9311
1486
1673
1673
550.80
825.62
825.62
27.18
22.43
18.13
18.13
24.24
SWISS MARKET INDEX
CHF
1037093
11052.65
4174
4174
885
859
859
390.09
563.39
563.39
22.92
19.43
15.87
15.87
23.24
S&P/TSX COMPOSITE INDEX
CAD
1708660
17087.54
7873
7873
1881
2141
2141
808.30
897.53
897.53
15.25
15.25
13.74
13.74
24.97
S&P/ASX 200 INDEX
AUD
1418991
6771.435
2869
2869
582
700
700
249.20
340.41
340.41
21.64
16.73
15.84
15.84
21.87
HANG SENG INDEX
HKD
1753660
3458.521
1607
1607
359
408
408
250.93
265.84
265.84
1.54
1.63
1.46
1.46
3.13
MSCI EM
USD
7972857
1461.715
1037
1037
197
200
200
86.36
101.05
101.05
12.32
13.43
10.53
10.53
19.89
AIA GROUP LTD
HKD
49855
43064
12044
0
0
0
1
6.20
1855
1855
2354
2651
-
-
-
-
0.02
0.02
0.03
0.03
3.71
-
2.46
2.22
-2.81
-
-
-
-
-
-
-
-
BOC HONG KONG HOLDINGS LTD
HKD
35448
15112
10573
35
0
0
54
#VALUE!
6535
6900
4604
5049
-
-
-
-
0.23
0.24
0.25
0.26
1.80
1.96
1.74
1.64
2.34
0.51
-
-
-
-
-
-
-
CATHAY FINANCIAL HOLDING CO
TWD
13379
43979
10300
1
0
0
1
13.58
1042
1042
2319
2565
-
-
-
-
0.10
0.10
0.05
0.05
0.41
-
0.88
0.76
-
-
-
-
-
BBB+
29.04.2009
-
-
CHEUNG KONG HOLDINGS LTD
HKD
35632
8473
2316
6
0
1
3
39.33
4252
2954
4099
5039
1434
1164
1870
1870
-
1.57
1.34
1.51
1.26
-
1.48
1.32
4.83
6.14
4.30
1.94
5.08
NR
28.12.2011
-
-
CHINA CONSTRUCTION BANK-H
HKD
203738
324150
250011
156
0
1
357
#VALUE!
74218
88030
58767
63904
-
-
-
-
0.09
0.10
0.10
0.10
0.86
-
0.86
0.82
3.60
2.10
-
-
-
A
29.11.2011
-
-
CHINA LIFE INSURANCE CO-H
HKD
84715
46396
28265
6
0
0
7
#VALUE!
47758
45368
47018
52629
-
-
-
-
0.08
0.07
0.07
0.13
4.55
4.55
4.76
2.32
-0.50
2.64
-
-
-
AA-
16.12.2010
-
-
CHINA MOBILE LTD
HKD
222656
22612
20072
4
0
0
43
132.45
68088
70209
72403
76969
33167
33025
8172
8172
0.83
0.81
0.80
0.80
1.41
-
1.43
1.43
1.14
1.28
0.82
1.23
6.07
AA-
16.12.2010
WR
03.11.2005
CHINA PETROLEUM & CHEMICAL-H
HKD
101740
110902
86703
31
0
5
3
121.44
317713
331965
329171
344924
22046
20236
-
-
0.11
0.08
0.09
0.11
1.40
-
1.32
1.08
4.03
3.11
-0.52
1.20
0.79
A+
16.12.2010
-
-
CHINA STEEL CORP
TWD
14355
25769
14972
3
0
0
0
17.91
8113
7397
7062
7058
1036
567
199
199
0.04
0.00
0.01
0.03
7.61
-
2.41
1.20
0.02
0.22
-1.33
-0.28
0.26
-
-
-
-
CHUNGHWA TELECOM CO LTD
TWD
24322
8760
7757
0
0
0
2
23.04
6496
6395
6909
7285
2806
2656
-
-
0.20
0.17
0.17
0.18
0.61
-
0.60
0.60
-
0.00
-
-0.11
1.40
AA
30.12.2010
-
-
CLP HOLDINGS LTD
HKD
21714
3547
2406
13
0
0
0
32.82
11817
12579
12353
13312
2722
2824
1532
1532
0.60
0.37
0.51
0.59
3.03
2.35
2.17
1.88
7.33
1.94
2.59
0.51
2.89
A-
02.03.2011
-
-
CNOOC LTD
HKD
89469
51694
44659
5
0
0
13
64.20
31071
30258
30525
31450
15351
14699
-
-
0.20
0.18
0.19
0.18
1.15
-
1.11
1.14
4.36
4.46
2.77
2.43
6.26
AA-
16.12.2010
-
-
DBS GROUP HOLDINGS LTD
SGD
29783
6063
2437
40
0
3
38
#VALUE!
9K
9K
7K
8K
-
-
-
-
1.26
1.27
1.14
1.19
7.75
7.78
8.64
8.29
11.08
2.70
-
-
-
-
-
-
-
FORMOSA CHEMICALS & FIBRE
TWD
14865
6615
5673
3
0
0
2
16.49
9477
9278
9628
9728
1077
322
163
163
-
0.01
0.04
0.13
10.53
-
2.17
0.70
-0.03
-0.01
-0.48
0.25
0.12
BBB+
30.12.2010
-
-
FORMOSA PLASTICS CORP
TWD
16154
7918
6121
2
0
0
2
16.58
6332
5797
5831
6099
1109
531
96
96
-
0.07
0.08
0.14
1.28
-
1.08
0.63
-0.12
-0.07
-0.36
0.39
0.31
BBB+
30.12.2010
-
-
HANG SENG BANK LTD
HKD
31015
1388
1912
7
0
0
20
#VALUE!
5081
5347
3148
3454
-
-
-
-
-
1.21
1.18
1.33
1.73
-
1.77
1.57
0.61
-0.30
-
-
-
AA-
29.11.2011
-
-
HON HAI PRECISION INDUSTRY
TWD
33235
33446
11757
5
0
0
3
36.87
93598
106341
104052
117788
1388
1696
-
-
0.23
0.27
0.27
0.31
0.35
-
0.36
0.31
0.67
0.72
-0.29
0.09
0.05
A-
09.11.2007
-
-
HONG KONG & CHINA GAS
HKD
24151
8790
8691
4
0
1
2
27.29
2892
3158
3359
3791
914
963
521
521
0.09
0.10
0.11
0.11
3.43
3.46
3.40
3.18
2.03
2.47
2.72
0.74
3.93
A+
23.07.2008
A1
23.07.2008
HONG KONG EXCHANGES & CLEAR
HKD
21129
6321
1078
0
0
0
6
15.18
886
840
929
1122
722
663
-
-
0.58
0.57
0.50
0.60
4.19
4.44
4.72
3.95
0.45
0.74
1.20
2.34
10.18
-
-
-
-
HUTCHISON WHAMPOA LTD
HKD
46896
6330
4263
29
0
5
9
72.63
30137
30574
31324
33559
4462
4664
-
-
0.61
0.60
0.69
0.80
2.36
2.00
2.05
1.76
1.51
0.53
-0.37
0.00
1.97
A-
09.11.2010
A3
29.10.2010
HYUNDAI HEAVY INDUSTRIES
KRW
15567
272
61
4
0
0
1
19.95
23094
23094
22838
24651
2869
2869
-
-
25.46
29.23
#VALUE!
29.03
0.01
0.01
#VALUE!
0.01
0.00
0.01
-
0.02
0.01
-
-
-
-
HYUNDAI MOBIS CO LTD
KRW
27557
182
96
2
0
0
2
25.90
15527
15527
20562
#VALUE!
2133
2133
-
-
16.79
16.81
32.67
29.93
0.02
0.02
0.01
0.01
0.01
0.01
-
0.02
0.01
BBB+
20.03.2012
-
-
HYUNDAI MOTOR CO
KRW
43802
411
209
4
0
0
9
35.22
39378
39378
54178
45629
5747
5747
-
-
-
16.07
33.86
36.37
0.01
-
0.01
0.01
0.02
0.01
0.03
0.02
0.01
BBB+
20.03.2012
NR
11.08.2010
IND & COMM BK OF CHINA-H
HKD
238178
316927
349084
248
0
0
463
#VALUE!
90833
101793
68581
74938
-
-
-
-
0.08
0.08
0.08
0.09
0.91
-
0.87
0.84
3.80
2.45
-
-
-
A
28.08.2012
-
-
JARDINE MATHESON HLDGS LTD
USD
41977
346
362
10
0
23
4
72.61
37967
40001
40863
46048
4690
9080
5138
5138
9.77
5.60
4.26
4.78
11.18
-
14.71
13.09
26.33
18.89
5.87
24.58
22.70
-
-
-
-
KB FINANCIAL GROUP INC
KRW
13694
1601
386
0
0
#VALUE!
#VALUE!
13.60
25
25
#VALUE!
#VALUE!
-18
-18
-
-
-
-0.16
#VALUE!
#VALUE!
-
-
#VALUE!
#VALUE!
-
-
-
-
-0.07
-
-
-
-
KEPPEL CORP LTD
SGD
16894
5602
1798
6
0
3
4
22.59
11251
11251
10730
11255
2035
2035
-
-
0.87
1.01
0.71
0.74
7.53
8.12
10.60
10.17
31.48
0.42
18.02
12.98
14.57
-
-
-
-
KIA MOTORS CORPORATION
KRW
20562
1976
404
3
0
0
2
20.04
25784
25784
34058
30376
2392
2392
-
-
4.23
4.17
9.64
10.49
0.01
0.01
0.00
0.00
0.00
0.01
-
0.03
0.01
BBB+
20.03.2012
WR
17.01.2008
KT&G CORP
KRW
9644
370
126
0
0
0
1
8.83
2428
2428
2499
2540
1003
1003
-
-
-
5.62
5.34
5.77
0.01
-
0.01
0.01
0.01
0.00
0.01
0.00
0.04
NR
03.12.2004
-
-
LG ELECTRONICS INC
KRW
11661
1684
163
5
0
0
1
15.24
23408
23403
#VALUE!
#VALUE!
422
837
-
-
-1.43
1.11
#VALUE!
#VALUE!
0.06
-
#VALUE!
#VALUE!
-0.01
0.00
-
-0.02
0.00
BBB-
14.10.2011
Baa2
21.01.2010
LI & FUNG LTD
HKD
11212
22711
8104
0
0
0
0
1.67
2583
2625
2693
2943
136
136
62
62
0.01
0.01
0.01
0.01
1.86
-
2.79
2.11
3.27
1.83
2.73
3.53
0.67
15.01.2013
A3
10.05.2007
MEDIATEK INC
TWD
14846
4829
1140
0
0
0
1
13.77
1817
1999
#VALUE!
4443
224
234
-
-
0.41
0.43
0.41
0.59
0.86
-
0.90
0.63
-0.85
-0.09
-2.22
-0.79
0.40
-
-
-
-
NAN YA PLASTICS CORP
TWD
15874
8262
7852
3
0
0
1
18.93
6548
6138
6190
6427
989
557
132
132
-
0.00
0.02
0.08
22.02
-
4.30
0.85
-0.29
-0.15
-0.55
0.10
0.31
BBB+
30.12.2010
-
-
OVERSEA-CHINESE BANKING CORP
SGD
27649
5365
3431
30
0
2
37
#VALUE!
7142
7201
5452
5894
-
-
-
-
0.95
0.91
0.63
0.67
7.12
10.06
10.38
9.64
14.31
3.72
-
-
-
AA-
01.12.2011
Aa1
04.05.2007
PETROCHINA CO LTD-H
HKD
263843
94654
183021
41
0
10
8
266.17
258404
270579
266867
284450
41700
41828
11010
11010
0.10
0.09
0.09
0.10
1.56
1.53
1.68
1.45
4.74
3.34
0.84
0.57
1.99
-
-
-
-
PING AN INSURANCE GROUP CO-H
HKD
62065
19308
7916
42
0
5
12
84.00
35164
41200
41446
49095
-
-
-
-
0.32
0.34
0.37
0.48
2.58
-
2.35
1.82
5.13
2.86
-
-
-
-
-
-
-
POSCO
KRW
29257
197
77
11
0
0
2
37.00
32833
32833
31142
31767
5619
5619
1163
1163
-
38.00
31.33
30.43
0.01
-
0.01
0.01
-0.01
0.01
-
0.00
0.01
BBB+
22.10.2012
Baa1
24.10.2012
POWER ASSETS HOLDINGS LTD
HKD
19238
2330
2134
3
0
0
1
21.64
1315
1344
1365
1396
855
860
502
502
0.55
0.56
0.58
0.61
2.06
2.05
2.00
1.91
-0.21
-0.39
-1.42
-0.82
8.25
A+
09.11.2010
-
-
QUANTA COMPUTER INC
TWD
8618
7157
3833
3
0
0
2
8.67
35792
33790
35004
37420
522
563
172
172
0.19
0.21
0.21
0.22
0.36
-
0.37
0.35
-0.01
0.18
0.87
0.39
0.06
NR
28.07.2005
-
-
SAMSUNG C&T CORP
KRW
9521
378
147
3
0
0
1
12.31
15872
15872
26235
#VALUE!
337
337
-
-
0.57
1.85
#VALUE!
4.62
0.03
0.10
#VALUE!
0.01
0.01
0.01
-
0.00
0.00
-
-
-
-
SAMSUNG ELECTRONICS CO LTD
KRW
210187
262
130
4
0
0
13
201.33
129996
129991
202820
219082
17480
22705
-
-
61.43
94.82
193.35
204.83
0.01
0.01
0.01
0.01
0.02
0.02
-
0.01
0.02
A
25.01.2006
A1
14.07.2005
SANDS CHINA LTD
HKD
36669
11677
8055
0
0
0
0
4.90
840
840
1085
1244
229
229
78
78
0.02
0.02
0.03
0.04
3.83
-
2.49
1.96
4.31
-
2.05
4.74
3.51
-
-
-
-
SHINHAN FINANCIAL GROUP LTD
KRW
18379
1501
474
6
0
0
2
24.99
914
914
#VALUE!
#VALUE!
1890
1890
-
-
2.68
2.71
#VALUE!
#VALUE!
0.01
0.01
#VALUE!
#VALUE!
-0.05
-0.01
-
0.00
0.09
-
-
-
-
SINGAPORE TELECOM LTD
SGD
45344
11470
15929
7
0
0
1
51.11
15167
14890
14885
15082
4178
4210
1122
1122
0.20
0.20
0.18
0.20
11.53
11.47
12.53
11.70
3.36
3.31
1.68
3.18
22.78
A+
05.08.2003
Aa3
15.08.2012
SK INNOVATION CO LTD
KRW
15024
377
92
1
#VALUE!
0
1
14.66
2163
2163
1341
#VALUE!
574
574
-
-
-
16.83
16.99
#VALUE!
0.01
-
0.01
#VALUE!
0.05
0.03
-
-
0.04
BBB
12.03.2008
Baa3
12.03.2009
SUN HUNG KAI PROPERTIES
HKD
41320
5648
2616
9
0
1
2
49.14
8820
8820
8147
8865
3397
3397
3446
3446
2.15
2.14
1.07
1.12
0.94
-
1.87
1.79
1.21
2.39
2.28
2.19
4.97
A+
15.06.2012
-
-
SWIRE PACIFIC LTD-A
HKD
19026
1407
1505
5
0
1
1
29.68
4679
4977
5444
5762
1303
1337
1736
1736
2.77
1.43
0.82
0.82
1.16
1.13
2.03
2.03
3.13
1.79
1.50
1.70
3.46
A-
16.08.2005
A3
19.07.2000
TAIWAN SEMICONDUCTOR MANUFAC
TWD
93605
30552
25924
4
0
0
4
93.71
16870
15978
#VALUE!
#VALUE!
10165
9483
-
-
0.22
0.22
0.24
0.27
0.56
-
0.52
0.45
0.66
0.37
0.83
0.35
2.00
A+
20.04.2010
-
-
UNITED OVERSEAS BANK LTD
SGD
24690
2385
1574
27
2
0
35
#VALUE!
6106
6917
5173
5423
-
-
-
-
1.14
1.31
1.35
1.36
9.63
9.66
9.37
9.30
5.83
1.43
-
-
-
AA-
01.12.2011
Aa1
09.06.2010
WANT WANT CHINA HOLDINGS LTD
HKD
17297
18217
13220
0
0
0
0
2.20
380
412
455
555
77
95
-
-
0.00
0.00
0.01
0.01
4.61
-
4.11
3.31
4.04
3.20
2.42
3.27
2.98
-
-
-
-
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
A-
*-
Valuation Measures II/II Price to Book Ratio
Price to Sales Ratio
Price to Cash Flow Ratio
Enterprise Value to EBITDA Ratio
Price to Earnings Ratio
Estimated Dividend Yield
Target
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
%D to Spot
S&P 500 INDEX
2.11
2.11
1.94
1.73
2.11
1.37
1.37
1.30
1.25
1.37
9.72
9.72
9.44
8.65
9.72
8.66
8.66
7.98
7.45
8.66
13.77
13.77
12.33
11.15
13.77
2.26
2.26
2.41
2.59
2.26
1655.3
8.7%
Euro Stoxx 50 Pr
1.12
1.12
1.06
0.99
1.12
0.73
0.73
0.71
0.68
0.73
5.33
5.33
4.93
4.73
5.33
6.93
6.93
6.53
6.20
6.93
10.91
10.91
9.75
9.02
10.91
4.34
4.34
4.69
4.98
4.34
2872.5
8.8%
NIKKEI 225
1.39
1.39
1.31
1.22
1.39
0.65
0.65
0.61
0.61
0.65
8.61
8.61
7.51
7.01
8.61
8.93
8.93
7.87
7.39
8.93
21.89
21.89
17.85
13.63
21.89
1.80
1.80
1.79
2.09
1.80
11180.5
-2.5%
FTSE 100 INDEX
1.68
1.68
1.56
1.46
1.68
1.05
1.05
1.00
1.01
1.05
7.89
7.89
7.27
5.99
7.89
7.06
7.06
6.59
6.22
7.06
11.85
11.85
10.77
9.86
11.85
3.86
3.86
4.15
4.73
3.86
6644.4
3.9%
SWISS MARKET INDEX
2.35
2.35
2.18
2.00
2.35
1.98
1.98
1.88
1.80
1.98
12.06
12.06
11.03
9.99
12.06
12.86
12.86
11.93
11.16
12.86
14.66
14.66
13.15
11.97
14.66
3.29
3.29
3.65
4.13
3.29
7866.0
3.1%
S&P/TSX COMPOSITE INDEX
1.68
1.68
1.55
1.46
1.68
1.59
1.59
1.49
1.43
1.59
8.31
8.31
7.51
7.07
8.31
7.98
7.98
7.08
6.79
7.98
13.97
13.97
12.33
11.47
13.97
3.07
3.07
3.22
3.42
3.07
14382.7
12.8%
S&P/ASX 200 INDEX
1.92
1.92
1.82
1.71
1.92
1.83
1.83
1.72
1.63
1.83
11.24
11.24
10.17
9.25
11.24
9.67
9.67
8.53
7.89
9.67
15.40
15.40
13.75
12.62
15.40
4.29
4.29
4.61
4.97
4.29
5042.4
-1.1%
HANG SENG INDEX
1.40
1.40
1.29
1.22
1.40
1.87
1.87
1.73
1.56
1.87
7.53
7.53
6.96
6.69
7.53
8.47
8.47
7.70
7.23
8.47
11.31
11.31
10.26
9.46
11.31
3.38
3.38
3.69
4.54
3.38
24953.9
7.1%
MSCI EM
1.41
1.41
1.28
1.18
1.41
1.03
1.03
0.95
0.91
1.03
6.60
6.60
6.00
5.64
6.60
7.32
7.32
6.69
6.30
7.32
10.53
10.53
9.36
8.71
10.53
2.92
2.92
3.24
3.55
2.92
1196.7
12.5%
AIA GROUP LTD
2.38
2.11
1.91
1.74
1.46
3.14
2.73
2.42
2.16
31.35
19.07
17.24
15.39
12.93
0.94
1.26
1.38
1.57
1.21
35.62
11.0%
BOC HONG KONG HOLDINGS LTD
2.16
1.95
1.83
1.73
1.66
8.52
7.70
7.02
6.42
6.17
11.82
13.00
12.81
12.04
14.37
13.46
12.74
11.81
11.28
4.47
4.64
4.91
5.35
5.99
29.00
11.5%
1.63
1.55
1.51
5.77
5.22
4.84
26.19
22.53
21.12
24.06
1.25
1.51
1.53
2.32
33.58
-7.9%
7.40
8.69
7.07
6.26
11.45
10.21
9.43
2.62
2.70
2.82
2.99
139.20
16.7%
CATHAY FINANCIAL HOLDING CO CHEUNG KONG HOLDINGS LTD
0.92
0.84
0.79
0.74
CHINA CONSTRUCTION BANK-H
1.58
1.36
1.19
1.05
3.17
2.79
2.57
2.30
CHINA LIFE INSURANCE CO-H
2.66
2.46
2.19
1.94
1.51
1.46
1.45
1.30
1.18
CHINA MOBILE LTD
2.15
1.93
1.76
1.61
1.46
2.65
2.48
2.33
2.19
2.01
6.08
6.13
6.04
5.72
5.28
4.08
4.07
4.00
3.85
CHINA PETROLEUM & CHEMICAL-H
1.30
1.18
1.09
0.99
0.91
0.27
0.25
0.24
0.23
0.19
4.27
4.21
3.84
3.62
3.11
5.38
5.67
4.91
CHINA STEEL CORP
1.49
1.51
1.47
1.45
1.35
1.78
2.03
2.03
1.91
1.75
11.90
12.76
14.01
12.67
10.59
16.17
25.42
18.96
CHUNGHWA TELECOM CO LTD
1.96
1.95
1.93
3.57
3.52
3.34
8.45
8.51
8.14
CLP HOLDINGS LTD
1.96
1.88
1.79
1.69
1.56
2.20
1.76
1.63
1.53
1.57
10.32
8.86
8.72
8.33
10.72
12.94
12.35
CNOOC LTD
2.12
1.79
1.56
1.38
1.29
2.42
2.36
2.29
2.05
2.18
5.56
5.77
5.67
5.30
5.61
4.08
DBS GROUP HOLDINGS LTD
1.19
1.11
1.04
0.99
4.48
4.23
3.84
3.39
10.31
10.59
9.90
9.02
FORMOSA CHEMICALS & FIBRE
1.64
1.96
1.84
1.74
1.54
1.55
1.54
1.53
1.47
9.46
24.04
19.13
15.39
FORMOSA PLASTICS CORP
1.84
2.17
2.02
1.89
1.69
2.50
2.77
2.65
2.49
9.52
16.86
16.54
15.87
HANG SENG BANK LTD
3.15
2.75
2.48
2.33
2.09
9.60
9.85
8.98
8.29
7.83
12.93
26.26
30.95
28.27
HON HAI PRECISION INDUSTRY
1.80
1.34
1.18
1.12
0.29
0.32
0.28
8.96
6.86
5.70
4.67
HONG KONG & CHINA GAS
4.47
4.12
3.82
3.59
8.52
7.19
6.37
5.70
5.12
30.44
25.65
24.08
21.77
32.12
24.80
22.59
20.80
HONG KONG EXCHANGES & CLEAR
17.35
11.07
9.74
9.26
21.00
22.74
18.84
16.78
26.91
31.84
25.68
22.35
19.44
23.16
18.31
HUTCHISON WHAMPOA LTD
1.03
0.98
0.94
0.89
1.62
1.50
1.40
1.31
8.84
9.97
9.16
8.16
14.12
12.87
11.52
0.68
0.68
0.63
0.57
1.59
1.34
1.07
0.81
0.96
3.13
HYUNDAI HEAVY INDUSTRIES
1.99
4.95
19.70
16.08
13.23
4.48
4.18
4.05
17.66
17.32
HYUNDAI MOBIS CO LTD
1.76
1.39
HYUNDAI MOTOR CO
1.44
1.18
0.99
IND & COMM BK OF CHINA-H
1.63
1.40
1.22
1.07
3.16
2.79
2.56
2.32
JARDINE MATHESON HLDGS LTD
1.67
1.50
1.42
1.33
1.21
1.03
0.91
0.81
21.03
17.47
16.52
12.52 7.58
6.68
6.38
5.93
5.55
4.86
5.16
5.33
5.68
9.01
7.28
14.9%
24.55
36.90
17.97
15.26
8.17
1.29
1.06
1.77
2.04
4.11
27.40
17.9%
3.71
11.11
11.11
11.09
10.79
10.82
3.88
3.90
3.91
4.12
4.64
92.62
7.8%
4.55
4.12
8.17
10.25
8.41
7.76
7.40
3.15
3.35
3.84
4.12
4.38
9.18
4.3%
17.62
14.45
21.23
71.41
35.61
26.03
26.78
4.48
1.52
2.10
2.80
2.41
22.51
-19.2%
17.61
17.92
17.70
18.40
5.33
5.26
5.37
5.78
86.63
-6.7%
11.08
10.60
9.76
16.55
16.84
14.57
13.78
13.49
3.74
3.83
3.91
4.05
3.78
64.34
-3.5%
4.03
3.91
3.66
3.62
8.09
8.58
8.83
8.52
9.10
4.07
2.54
2.77
2.86
2.91
17.99
15.8%
11.04
10.72
10.29
9.16
3.80
3.89
3.99
4.03
16.65
9.9%
12.83
37.37
22.39
22.09
12.23
64.34
20.78
18.89
7.34
1.96
2.96
3.89
79.34
2.5%
12.70
27.86
21.20
20.20
12.66
32.01
18.75
16.36
7.07
2.73
3.40
4.44
82.86
6.0%
15.17
13.71
12.18
13.95
12.44
4.12
4.16
4.21
4.37
19.62
117.59
-6.5%
13.49
10.56
9.05
8.05
6.36
1.36
1.84
2.17
2.14
1.08
105.90
27.3%
32.02
26.38
24.63
23.17
21.19
1.53
1.80
1.93
2.10
2.74
20.14
-6.6%
16.36
30.25
36.58
30.66
28.22
2.98
2.49
2.93
3.24
127.55
-10.5%
9.93
18.92
15.90
13.69
11.98
22.13
9.62
2.06
5.19
4.65
4.30
4.17
6.54
6.32
5.96
5.62
9.94
8.40
5.50
5.53
13.15
14.13
5.18
12.59
11.54
2.44
2.59
2.81
3.02
95.23
11.6%
7.06
1.86
1.68
1.71
1.80
1.91
277809.53
24.9%
10.00
8.66
9.46
0.59
0.63
0.64
0.57
0.57
368251.72
19.8%
6.06
5.87
5.47
0.87
0.90
0.94
1.01
0.93
276250.00
27.9%
7.56
6.78
6.48
5.98
4.81
4.97
5.22
5.60
8.51
6.48
16.8%
16.00
14.71
13.09
11.76
1.96
2.08
2.26
2.45
69.14
10.4%
2.08
2.08
46596.30
21.0%
4.11
3.90
3.98
4.21
5.88
KB FINANCIAL GROUP INC KEPPEL CORP LTD
2.40
2.14
2.00
KIA MOTORS CORPORATION
1.30
1.04
0.85
1.81
KT&G CORP
1.52
1.57
1.50
0.74
0.60
0.68
3.94
3.86
3.80
1.37
14.58
11.25
10.81
9.68
10.47
10.57
10.61
12.70
12.08
7.54
7.25
7.25
11.08
9.11
10.81
13.16
12.62
11.79
5.43
5.26
4.83
1.18
1.24
1.34
1.32
13.56
13.15
12.18
4.29
4.40
4.57
0.44
0.50
0.58
LG ELECTRONICS INC LI & FUNG LTD
2.57
MEDIATEK INC
3.61
NAN YA PLASTICS CORP
1.70
OVERSEA-CHINESE BANKING CORP
2.32
2.18
2.03
3.43
3.40
1.89
1.79
1.71
1.45
1.37
1.30
1.21
PETROCHINA CO LTD-H
1.55
1.47
1.37
1.27
PING AN INSURANCE GROUP CO-H
3.13
2.71
2.33
2.07
POSCO
0.79
0.72
0.70
POWER ASSETS HOLDINGS LTD
2.48
2.39
2.22
2.08
QUANTA COMPUTER INC
2.10
1.98
1.79
1.67
1.94
1.58
0.55
0.49
0.45
0.33
16.16
3.34
2.53
21.25
14.27
11.17
9.79
2.37
2.56
2.47
2.42
10.93
20.46
21.15
14.95
4.68
5.07
4.69
4.28
18.62
20.28
17.95
9.52
1.15
0.88
0.80
0.75
0.71
5.19
5.52
4.81
4.59
2.53
1.78
1.21
1.02
0.91
0.88
0.94
0.92
7.53
6.28
6.15
14.02
14.09
13.78
13.48
16.42
16.91
16.40
16.04
0.23
0.25
0.23
0.22
4.72
6.82
16.57
7.77
1.98
SAMSUNG C&T CORP
0.72
13.61
13.08
17.26
4.60
25.89
16.11
35.69
11.19
9.52
13.82 27.42
6.59
1.52
1.26
6.00
5.32
4.79
5.66
0.96
4.36
3.80
3.43
18.43
13.75
10.84
2.31
2.28
2.17
2.07
3.00
SK INNOVATION CO LTD
3.05
3.01
2.95
11.54
11.57
11.14
10.86
26.54
18.55
15.13
15.29
4.28
2.82
3.47
4.26
25.92
17.07
127.45
25.12
20.29
5.57
1.22
2.40
3.46
57.80
12.63
12.89
11.96
10.72
3.39
3.38
3.60
3.91
10.34
3.4%
11.42
13.00
11.24
10.26
10.40
3.89
3.51
3.95
4.30
4.31
12.10
13.5%
20.76
18.20
14.14
12.07
9.49
0.90
0.89
1.15
1.28
1.74
76.26
17.4%
12.15
10.71
11.03
2.55
2.58
2.63
2.69
2.74
421000.00
15.5%
16.66
15.54
14.85
14.21
15.33
3.27
3.60
3.78
3.87
3.85
66.69
-4.6%
11.75
10.82
10.34
9.55
9.03
5.66
6.03
6.19
6.46
0.82
0.81
0.84
0.91
0.49
0.57
0.62
0.64
3.60
4.22
4.79
4.06
2.01
2.12
2.56
2.75
4.39
4.50
4.79
5.04
1.49
1.56
1.61
1.51
5.18
18.70
12.51
10.95
8.75
7.73
4.96
20.08
10.92
28.99
10.94
11.20
SUN HUNG KAI PROPERTIES
0.96
0.88
0.84
0.80
5.15
5.07
4.66
4.13
SWIRE PACIFIC LTD-A
0.68
0.70
0.68
0.67
4.48
3.50
3.30
3.06
4.17
-3.5%
25.99
19.38
10.99
11.4%
9.99
19.92
11.24
14.8%
363.05
5.44
19.62
11.06
14.1%
11.94
4.55
7.38
6.97
19.29
15.22
12.75
SHINHAN FINANCIAL GROUP LTD SINGAPORE TELECOM LTD
17.4%
88313.34
3.06
7.35
3.69
89600.00
0.27
4.77
8.06
12.45
4.69
0.31
8.65
8.94
3.90
4.88
13.41
5.58
14.84
22.4%
16.35
6.24
20.17
67435.48
21.63
13.21
1.04
9.6%
1.41
17.41
6.20
6.72
0.36
SAMSUNG ELECTRONICS CO LTD SANDS CHINA LTD
0.54
12.78
15.09
15.55
13.55
9.56
14.53
13.37
65.77
-0.9%
0.87
79552.17
20.2%
0.70
1900052.63
22.6%
41.73
18.2%
47785.18
13.5%
3.09
1.51
3.54
0.2%
199695.66
13.1%
11.08
15.16
20.40
14.64
15.11
14.26
13.32
12.64
14.93
14.49
13.87
12.78
2.84
2.84
2.94
3.06
134.95
11.9%
13.75
13.13
13.94
12.51
23.50
17.10
17.89
16.31
15.53
15.76
15.78
13.86
5.12
2.97
3.27
3.68
100.62
0.9%
16.72
15.27
13.21
11.32
2.80
2.81
2.78
2.88
114.68
7.2%
13.19
11.62
11.54
10.75
10.72
3.40
3.39
3.51
3.74
3.44
20.95
7.6%
43.58
31.89
25.64
21.43
16.98
1.53
1.91
2.37
2.91
3.52
10.90
7.5%
TAIWAN SEMICONDUCTOR MANUFAC UNITED OVERSEAS BANK LTD
1.44
1.35
1.26
1.18
1.15
5.39
4.77
4.55
4.23
4.19
9.63
12.09
12.32
11.31
WANT WANT CHINA HOLDINGS LTD
14.37
10.80
9.14
7.74
6.88
6.01
4.90
4.02
3.39
2.82
36.32
25.64
21.79
18.16
13.91
30.98
21.36
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
17.09
14.31
10.69
13.44
3.95
21.02.2013
AIA Group Ltd AIA Group Ltd. offers insurance and financial services. The Company writes life insurance for individuals and businesses, accident and health insurance, retirement planning, and wealth management services.
Price/Volume 35
2500.0 M
30
2000.0 M
25
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (21.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.11.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1299 HK EQUITY YTD Change 1299 HK EQUITY YTD % CHANGE
11/2011 01/yy 32.50 24.05 43'064'252.00 32.1 -1.23% 33.47% 100.00% 12'044.0 386'612.38 1'229.00 0.0 102.0 4'303.00 48'107.84
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
1500.0 M
15
1000.0 M
10 500.0 M
5 0 f-12 m-12 a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
.0 M f-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 30.11.2007 15'226.0 1'914.0 -
20
30.11.2008 30.11.2009 3'810.0 19'016.0 408.0 1'754.0 Profitability
30.11.2010 18'394.0 1.85x 2'701.0 13.14x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
30.11.2011 14'385.0 2.33x 1'600.0 23.31x 15.24% 15.07% 1.47% 7.84% 7.34% 0.12% 11.1% 1.07% 5.77% -
Price/ Cash Flow
LTM-4Q
LTM
01/yy
01/yy -
FY+1 -
1.07 0.85 12'039.65 19.97% 6.12% 0.847 23 4.304 35'651'890 39'619'360 67'483'780 FY+2
11/12 Y 11/13 Y 18'251.3 20'560.8 2.64x 2.46x 2'659.0 2'842.2 19.07x 17.24x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
FQ+1
FQ+2
-
-
5.8% 5.4% 0.12 -
Sales/Revenue/Turnover
140.00
20'000.0 18'000.0
120.00
16'000.0
100.00
14'000.0 12'000.0
80.00
10'000.0 8'000.0
60.00
6'000.0
40.00
4'000.0 20.00 0.00 05.12.2008 05.06.2009
2'000.0 0.0 05.12.2009 05.06.2010
05.12.2010 05.06.2011
05.12.2011
05.06.2012 05.12.2012
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
AIA Group Ltd Holdings By:
All
Holder Name CAPITAL GROUP COMPAN JP MORGAN BLACKROCK ABERDEEN FMR LLC VANGUARD GROUP INC WADDELL & REED FINAN CARMIGNAC GESTION T ROWE PRICE ASSOCIA LEXINGTON INSURANCE COMMONWEALTH BANK OF THORNBURG INVESTMENT JANUS CAPITAL MANAGE WILLIAM BLAIR & COMP STATE STREET GLOBAL ARTISAN PARTNERS HOL OPPENHEIMERFUNDS INC SCHRODER INVESTMENT MASSACHUSETTS FINANC ALLIANCE BERNSTEIN
Firm Name Jefferies HSBC ICBC International Securities Morgan Stanley BNP Paribas Equity Research CCB International Securities Ltd Nomura China International Capital Corp Deutsche Bank Standard Chartered CIMB EVA Dimensions JPMorgan Macquarie BOCOM International Holdings Credit Suisse ABC International Fortune CLSA Securities Limited Goldman Sachs AMTD Financial Planning Limited
Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios LEXINGTON INSURANCE Multiple Portfolios Multiple Portfolios n/a WILLIAM BLAIR & COMP Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a
Analyst BARON NIE MICHAEL P CHANG PIUS CHENG BEN LIN DOMINIC CHAN KENNETH YUE DAVID CHUNG SALLY NG ESTHER CHWEI PETER O'BRIEN BERTRAM LAI AUSTIN BURKETT CHAN BAO LING SCOTT G RUSSELL LI WENBING ARJAN VAN VEEN FRANCIS CHAN YANG YAN MANCY SUN KENNY TANG SING HING
Source ULT-AGG ULT-AGG ULT-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG Sch-D MF-AGG MF-AGG ULT-AGG 13F MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG
Recommendation buy overweight buy Overwt/Attractive buy outperform buy hold buy outperform outperform sell overweight neutral long-term buy outperform buy sell Buy/Neutral buy
Amt Held 1'431'991'813 947'131'193 872'440'983 607'474'500 306'826'224 298'181'135 279'263'500 219'402'776 132'900'800 119'148'250 107'408'000 104'143'762 104'087'200 86'696'300 85'271'979 84'229'621 79'225'000 77'373'800 50'209'800 44'959'365
% Out 11.89 7.86 7.24 5.04 2.55 2.48 2.32 1.82 1.1 0.99 0.89 0.86 0.86 0.72 0.71 0.7 0.66 0.64 0.42 0.37
Weighting
Change 5 5 5 5 5 5 5 3 5 5 5 1 5 3 5 5 5 1 5 5
M M M M M M M M M M M M M M M M M M M M
Latest Chg 75'997'000 (27'400) 2'199'200 52'083'324 41'460'521 33'684'200 67'540'336 8'571'000 119'148'250 852'800 50'914'552 3'339'200 1'568'200 11'139'725 1'779'400 50'369'000 (2'170'000) (1'172'032)
Target Price 35 40 37 38 40 36 36 33 38 38 34 #N/A N/A 34 29 38 34 35 29 38 32
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 10.01.2013 17.12.2012 19.02.2013 23.01.2013 31.12.2012 31.12.2012 31.12.2012 31.12.2012 31.12.2012 30.09.2012 31.10.2012 31.12.2012 31.12.2012 31.12.2012 30.06.2012 31.12.2012 30.12.2012 31.12.2012 31.12.2012 31.12.2012
Date 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month 12 month Not Provided 9 month 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided
Inst Type Investment Advisor Unclassified Investment Advisor Unclassified Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Insurance Company Bank Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor
Date 20.02.2013 20.02.2013 20.02.2013 19.02.2013 18.02.2013 07.02.2013 06.02.2013 01.02.2013 31.01.2013 30.01.2013 18.01.2013 17.01.2013 16.01.2013 16.01.2013 19.12.2012 13.12.2012 11.12.2012 24.10.2012 18.10.2012 11.10.2012
21.02.2013
BOC Hong Kong Holdings Ltd BOC Hong Kong (Holdings) Limited provides a comprehensive range of financial products and services to retail and corporate customers. Its products include retail banking, corporate banking, and treasury services. The Company operates its branches in Hong Kong and China.
Price/Volume 30
45.0 M 40.0 M
25
35.0 M
20
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (07.03.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2388 HK EQUITY YTD Change 2388 HK EQUITY YTD % CHANGE
12/2011 01/yy 27.10 20.80 15'112'052.00 26 -4.06% 25.00% 89.68% 10'572.8 274'892.28 274'572.00 0.0 3'418.0 419'465.00 -
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
25.0 M 20.0 M
10
15.0 M 10.0 M
5
5.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
.0 M f-13
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 65'258.0 15'446.0 14.96x
30.0 M
15
31.12.2008 31.12.2009 50'394.0 40'414.0 3'343.0 13'930.0 27.77x 13.36x Profitability
31.12.2010 42'891.0 16'196.0 17.27x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 50'675.0 20'430.0 9.52x 55.20% 60.60% 1.12% 14.75% 4.72% 0.03% 50.2% 15.79% 211.59% -
Price/ Cash Flow
LTM-4Q
LTM
01/yy
01/yy -
FY+1 -
4.24 0.97 3'588.38 24.38% 7.88% 0.969 32 4.219 7'227'710 14'173'730 12'552'750 FY+2
12/12 Y 12/13 Y 35'700.1 39'151.7 20'251.3 21'525.9 13.46x 12.74x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
FQ+1
FQ+2
-
-
211.6% 67.3% 0.03 1.34 -
Sales/Revenue/Turnover
60.00
70'000.0
50.00
60'000.0 50'000.0
40.00
40'000.0 30.00
30'000.0
20.00
20'000.0
10.00
10'000.0
0.00 02.01.2009
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
BOC Hong Kong Holdings Ltd Holdings By:
All
Holder Name BOC HONG KONG BVI LT FMR LLC BLACKROCK VANGUARD GROUP INC PRUDENTIAL FINANCIAL STATE STREET GLOBAL SCHRODER INVESTMENT FRANKLIN RESOURCES DEUTSCHE BANK AG FIDELITY INVESTMENTS GAM INTERNATIONAL MA ALLIANZ ASSET MANAGE EASTSPRING INVESTMEN MATTHEWS INTERNATION CHINA SOUTHERN FUND SUMITOMO MITSUI ASSE MASSACHUSETTS FINANC BARING ASSET MANAGEM ROYAL BANK OF CANADA NOMURA
Firm Name Barclays Citic Securities Co., Ltd BOCOM International Holdings China International Capital Corp JPMorgan Deutsche Bank Bank of China International UOB Kay Hian CCB International Securities Ltd BNP Paribas Equity Research ABC International DBS Vickers EVA Dimensions Core Pacific Nomura Credit Suisse Daiwa Securities Co. Ltd. Mizuho Securities Standard Chartered Morgan Stanley Kim Eng Securities Goldman Sachs Sanford C. Bernstein & Co President Securities HK Ltd AMTD Financial Planning Limited HSBC Guotai Junan Macquarie
Portfolio Name n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a
Analyst SHARNIE WONG STEVEN CHAN LI SHANSHAN SALLY NG JOSHUA KLACZEK SOPHIA LEE PATRICK PONG EDMOND LAW ADAM CHAN DOMINIC CHAN JOHANNES AU ALEXANDER LEE AUSTIN BURKETT TIMOTHY LI DAVID CHUNG SANJAY JAIN GRACE WU JIM ANTOS JOHN CAPARUSSO ANIL AGARWAL IVAN LI GURPREET SINGH SAHI MICHAEL WERNER HUNG YIN CHEN KENNY TANG SING HING TODD DUNIVANT WILSON LI ISMAEL PILI
Source Co File ULT-AGG ULT-AGG MF-AGG ULT-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG ULT-AGG
Recommendation overweight hold neutral accumulate overweight buy buy buy outperform buy buy buy underweight buy buy outperform buy buy in-line Equalwt/Cautious buy Buy/Neutral market perform neutral buy overweight neutral underperform
Amt Held 6'984'274'213 122'013'446 73'023'052 65'111'630 37'849'000 30'823'067 30'708'000 24'178'500 21'989'321 18'105'500 16'483'500 15'627'000 15'494'500 11'636'000 11'200'000 10'444'500 10'327'000 9'455'000 6'932'500 6'721'500
% Out 66.06 1.15 0.69 0.62 0.36 0.29 0.29 0.23 0.21 0.17 0.16 0.15 0.15 0.11 0.11 0.1 0.1 0.09 0.07 0.06
Weighting
Change 5 3 3 4 5 5 5 5 5 5 5 5 1 5 5 5 5 5 3 3 5 5 3 3 5 5 3 1
M M M M M M M M M M N M M U M M M M M M M M D N N M M M
Latest Chg 8'458'812 (1'919'500) 744'022 (1'227'500) (1'715'438) 3'581'000 (1'861'500) (568'700) (13'000) 5'500 (1'152'500) (387'000) 2'034'500 (16'000) 73'000 -
Target Price 29 26 24 29 27 32 29 31 31 33 34 29 #N/A N/A 30 28 28 30 29 24 24 28 29 24 27 27 29 20 18
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2011 Government 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 31.10.2012 Investment Advisor 30.11.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2010 Mutual Fund Manager 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 14.09.2012 Investment Advisor 28.09.2012 Investment Advisor 30.06.2012 Investment Advisor 25.09.2012 Investment Advisor 31.12.2012 Investment Advisor 31.10.2012 Unclassified 28.09.2012 Bank 15.10.2012 Unclassified
Date Not Provided 6 month 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided 12 month 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month
Date 21.02.2013 18.02.2013 06.02.2013 01.02.2013 31.01.2013 30.01.2013 29.01.2013 29.01.2013 28.01.2013 25.01.2013 23.01.2013 21.01.2013 17.01.2013 15.01.2013 10.01.2013 09.01.2013 20.12.2012 14.12.2012 06.12.2012 04.12.2012 26.10.2012 25.10.2012 17.09.2012 12.09.2012 24.08.2012 23.08.2012 09.07.2012 27.06.2012
21.02.2013
Cathay Financial Holding Co Ltd Cathay Financial Holding Co., Ltd. is a holding company. Through its subsidiaries, the Company provides traditional life, health care, and accident insurances, as well as banking, security underwriting, and brokerage services.
Price/Volume 40
140.0 M
35
120.0 M
30
100.0 M
25
Latest Fiscal Year: LTM as of: 52-Week High (20.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2882 TT EQUITY YTD Change 2882 TT EQUITY YTD % CHANGE
12/2012 03/yy 37.80 26.48 43'979'308.00 36.45 -3.57% 37.67% 93.82% 10'875.4 396'407.81 23'774.56 0.0 0.0 17'798.89 402'383.47
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
30'748.1 20.24x
60.0 M
15 10
40.0 M
5
20.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
.0 M f-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007
80.0 M
20
Valuation Analysis
31.12.2008
31.12.2009
2'196.0 182.50x Profitability
11'050.0 52.37x
LTM-4Q 31.12.2010
31.12.2011 -
98.76% 96.81% 16.24% 18.81% 16.69% 0.17% 96.6% 11.87% 13.56% -
Price/ Cash Flow
09/yy 0.0 #DIV/0! 0.0 0.00x 7'490.6 0.00x
LTM 03/yy 0.0 #DIV/0! 0.0 0.00x 7'856.7 0.00x
FY+1
1.13 6'299.87 50.88 13.48% 15.71% 1.134 25 2.880 73'947'580 29'942'600 25'052'580 FY+2
FQ+1
FQ+2
12/12 Y 12/13 Y 09/12 Q3 12/12 Q4 68'723.0 76'008.0 131'188.0 14'720.2 16'835.0 7'491.5 3'903.2 26.19x 22.53x 22.20x 21.92x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
29.04.2009 BBB+ NEG 13.05.2002 A-2 13.6% 11.9% 0.17 -
Sales/Revenue/Turnover
35.00
35'000.0
30.00
30'000.0
25.00
25'000.0
20.00
20'000.0
15.00
15'000.0
10.00
10'000.0
5.00
5'000.0
0.00 06.01.2007 06.07.2007 06.01.2008 06.07.2008 06.01.2009 06.07.2009 06.01.2010 06.07.2010 06.01.2011 06.07.2011 06.01.2012 06.07.2012 06.01.2013
0.0 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Cathay Financial Holding Co Ltd Holdings By:
All
Holder Name WAN PAO DEVELOP HOLD LIN YUEN INVESTMENT VANGUARD GROUP INC BLACKROCK VANGUARD EMS INDEX F WAN TA INVEST CO LTD SINGAPORE GOVERNMENT LABOR INSURANCE FUND POLARIS SEC INVESTME PO HAN INVESTMENT CO PAI HSING INVEST CO CHUNGHWA POST CO LTD PUBLIC SERVICE PENSI CHENG-DA TSAI HONG-TU TSAI CATHAY LIFE EMPLOYEE CATHAY LIFE EMPLOYEE CHEN-CHIU TSAI COMGEST GROWTH PLC CHEN SHENG CORP
Firm Name
Portfolio Name n/a n/a Multiple Portfolios n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a
Analyst
Deutsche Bank PANDORA LEE EVA Dimensions AUSTIN BURKETT Barclays NOEL CHAN Jih Sun Securities ERIC CHANG KGI Securities WEN-YEN FANG RBS NORA HOU Goldman Sachs MANCY SUN President Capital Management TINA YENG PING CHEN JPMorgan JAMES WU BNP Paribas Equity Research LING TANG HSBC BRUCE B WARDEN Credit Suisse CHUNG HSU E Sun Securities HONG CLIFF Morgan Stanley LILY CHOI Capital Securities Corp MICHAEL LIN Fubon Securities LIN CHIU-SIANG Mega Securities CHUANG PIYEN Macquarie JEMMY HUANG Yuanta Securities Investment ConsultingPEGGY SHIH Daiwa Securities Co. Ltd. JERRY YANG Nomura JESSE WANG SinoPac LYNN HUANG
Source EXCH EXCH MF-AGG ULT-AGG Co File EXCH Co File Co File MF-AGG Co File EXCH Co File Co File EXCH EXCH EXCH EXCH EXCH MF-AGG EXCH
Recommendation buy underweight overweight neutral outperform hold Sell/Neutral buy neutral hold underweight neutral buy on weakness Equalwt/In-Line neutral neutral neutral neutral hold sell reduce Under Review
Amt Held 1'964'066'155 1'694'341'682 363'330'579 181'331'853 128'978'630 119'642'082 119'393'371 106'885'199 93'820'503 91'466'691 88'462'784 86'040'750 83'800'237 55'413'530 45'595'229 30'852'893 30'852'893 30'259'767 27'639'163 24'256'606
% Out 18.06 15.58 3.34 1.67 1.19 1.1 1.1 0.98 0.86 0.84 0.81 0.79 0.77 0.51 0.42 0.28 0.28 0.28 0.25 0.22
Weighting
Change
5 1 5 3 5 3 1 5 3 3 1 3 5 3 3 3 3 3 3 1 2 #N/A N/A
M D M M U M M U M M M M M M D M M M M M M M
Latest Chg 83'600 (78'450) (4'818'597) -
Target Price 42 #N/A N/A 41 #N/A N/A 41 32 28 37 33 33 23 33 #N/A N/A 31 55 33 34 33 33 25 28 #N/A N/A
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 30.11.2012 n/a 30.11.2012 n/a 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 17.04.2012 n/a 30.11.2012 n/a 17.04.2012 n/a 17.04.2012 n/a 30.06.2012 Mutual Fund Manager 17.04.2012 Corporation 30.11.2012 n/a 17.04.2012 Government 17.04.2012 n/a 30.11.2012 n/a 30.11.2012 n/a 30.09.2012 Other 30.11.2012 Other 30.11.2012 n/a 30.06.2011 Investment Advisor 30.11.2012 Corporation
Date 12 month Not Provided Not Provided Not Provided 12 month 12 month 12 month 6 month 9 month 12 month Not Provided Not Provided Not Provided 12 month 3 month 6 month 6 month 12 month Not Provided Not Provided Not Provided Not Provided
Date 20.02.2013 20.02.2013 19.02.2013 18.02.2013 06.02.2013 04.02.2013 25.01.2013 18.01.2013 16.01.2013 11.01.2013 10.01.2013 03.01.2013 14.12.2012 06.12.2012 29.11.2012 26.11.2012 05.11.2012 03.11.2012 02.11.2012 02.11.2012 02.11.2012 30.08.2012
21.02.2013
Cheung Kong Holdings Ltd Cheung Kong (Holdings) Limited, through its subsidiaries, develops and invests in real estate. The Company also provides real estate agency and management services, operates hotels, and invests in securities.
Price/Volume 140
16.0 M
120
14.0 M
100
12.0 M 10.0 M
80
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (17.01.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 27.11.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1 HK EQUITY YTD Change 1 HK EQUITY YTD % CHANGE
12/2011 01/yy 132.70 86.00 8'473'346.00 119.3 -10.10% 38.72% 77.52% 2'316.2 276'318.41 45'917.00 0.0 7'860.0 20'114.00 304'965.41
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
6.0 M
40
4.0 M
20
2.0 M
0 f-12 m-12
31.12.2008 31.12.2009 12'856.0 17'702.0 16.36x 14.53x 6'938.0 8'114.0 30.32x 31.71x 13'029.0 19'618.0 13.02x 11.84x Profitability
31.12.2010 23'983.0 12.23x 8'341.0 35.16x 26'836.0 10.35x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 32'971.0 7.51x 11'122.0 22.27x 46'055.0 4.65x 11'122.00 10'722.00 32.52% 145.86% 7.63% 9.21% 8.29% 0.06% 39.4% 37.7% 139.7% 2.63 0.59 12.30% 14.98% 13.88 -
Price/ Cash Flow
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
LTM-4Q
LTM
01/yy
01/yy -
FY+1 -
.0 M f-13
2.65 1.09 1'230.96 7.56% 0.25% 1.087 20 4.900 3'477'163 4'026'557 3'747'072 FY+2
FQ+1
FQ+2
12/12 Y 12/13 Y 03/11 Q1 06/11 Q2 31'785.9 39'079.3 9.53x 7.54x 14'503.1 17'453.6 21.03x 17.47x 24'084.3 26'949.9 11.45x 10.21x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
28.12.2011 NR 14.85 13.15 2.32 5.00 15.0% 12.7% 0.06 0.65 26.37 -
Sales/Revenue/Turnover
90.00
35'000.0
80.00
30'000.0
70.00
25'000.0
60.00 50.00
20'000.0
40.00
15'000.0
30.00
10'000.0
20.00
5'000.0
10.00 0.00 02.01.2009
a-12 m-12
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 13'277.0 27.63x 6'019.0 60.95x 27'678.0 12.07x
8.0 M
60
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Cheung Kong Holdings Ltd Holdings By:
All
Holder Name LI KA-SHING UNITY TR JP MORGAN SUNJET LIMITED KEEN SHINE INVESTMEN COMMONWEALTH BANK OF HARBOR CAPITAL ADVIS BLACKROCK VANGUARD GROUP INC FMR LLC KING'S ROAD DEVELOPM THIRD AVENUE MANAGEM STATE STREET GLOBAL ODYSSEY REINS CO ING INVESTMENT MANAG SOUTHEASTERN ASSET M ONTARIO TEACHERS PEN COMGEST GROWTH PLC MATTHEWS INTERNATION EASTSPRING INVESTMEN UNITED STATES FIRE I
Firm Name Credit Suisse DBS Vickers UOB Kay Hian BOCOM International Holdings Jefferies Nomura Morgan Stanley JPMorgan BNP Paribas Equity Research EVA Dimensions Goldman Sachs Daiwa Securities Co. Ltd. Macquarie Citic Securities Co., Ltd Standard Chartered Deutsche Bank AMTD Financial Planning Limited
Portfolio Name n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios ODYSSEY REINS CO Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios UNITED STATES FIRE I
Analyst CUSSON LEUNG JEFF YAU SYLVIA WONG ALFRED LAU VENANT CHIANG PAUL LOUIE PRAVEEN K CHOUDHARY LUCIA KWONG LEE WEE LIAT AUSTIN BURKETT SIMON CHEUNG JONAS KAN DAVID NG ADRIAN NGAN PAUL YAU JASON CHING KENNY TANG SING HING
Source EXCH ULT-AGG EXCH EXCH MF-AGG MF-AGG ULT-AGG MF-AGG ULT-AGG EXCH MF-AGG MF-AGG Sch-D MF-AGG MF-AGG Research MF-AGG MF-AGG MF-AGG Sch-D
Recommendation outperform buy hold buy buy buy Overwt/In-Line overweight buy buy Buy/Neutral buy outperform overweight outperform buy buy
Amt Held 913'378'704 113'417'411 78'668'000 65'491'000 58'285'000 35'888'000 30'004'631 27'465'339 23'191'911 23'059'840 16'551'000 11'575'709 9'379'400 9'288'155 7'303'000 6'600'000 6'000'000 5'535'000 5'337'000 5'170'800
% Out 39.43 4.9 3.4 2.83 2.52 1.55 1.3 1.19 1 1 0.71 0.5 0.4 0.4 0.32 0.28 0.26 0.24 0.23 0.22
Weighting
Change 5 5 3 5 5 5 5 5 5 5 5 5 5 5 5 5 5
M M M M M M M M M M M U M M M M N
Latest Chg (36'000) 145'000 (2'639'888) 581'811 (3'645'431) (6'246'000) (644'359) 44'000 1'100'000 5'535'000 725'000 -
Target Price 140 148 123 132 119 147 144 139 141 #N/A N/A 152 144 134 134 123 143 126
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 16.07.2012 Other 31.10.2012 Unclassified 10.12.2010 Other 16.07.2012 Investment Advisor 31.10.2012 Bank 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 16.07.2012 Other 31.10.2012 Hedge Fund Manager 30.06.2012 Investment Advisor 30.09.2012 Insurance Company 31.12.2012 Investment Advisor 30.09.2012 Investment Advisor 31.12.2010 Pension Fund (ERISA) 30.06.2011 Investment Advisor 28.09.2012 Investment Advisor 14.09.2012 Investment Advisor 30.09.2012 Insurance Company
Date Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month 9 month 12 month Not Provided 12 month Not Provided 12 month 6 month 12 month 12 month Not Provided
Date 20.02.2013 19.02.2013 19.02.2013 19.02.2013 04.02.2013 22.01.2013 21.01.2013 17.01.2013 16.01.2013 15.01.2013 04.01.2013 10.12.2012 06.11.2012 25.10.2012 20.09.2012 02.04.2012 05.08.2011
21.02.2013
China Construction Bank Corp China Construction Bank Corporation provides a complete range of banking services and other financial services to individual and corporate customers. The bank's services include retail banking, international settlement, project finance, and credit card services.
Price/Volume 8
2500.0 M
7
2000.0 M
6 5
Latest Fiscal Year: LTM as of: 52-Week High (28.01.2013) 52-Week Low (12.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 939 HK EQUITY YTD Change 939 HK EQUITY YTD % CHANGE
12/2011 09/yy 6.75 4.71 324'149'892.00 6.34 -6.07% 34.61% 87.75% 240'417.3 1'579'923.75 1'211'152.00 0.0 5'520.0 2'765'601.00 -
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
1000.0 M
3 2
500.0 M
1 0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 306'520.0 69'053.0 20.61x
1500.0 M
4
Valuation Analysis
31.12.2008 31.12.2009 388'058.0 396'529.0 92'599.0 106'756.0 9.36x 12.77x Profitability
LTM-4Q 31.12.2010 449'841.0 134'844.0 10.55x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 575'537.0 169'258.0 6.47x 54.90% 55.07% 1.50% 22.40% 0.05% 42.5% 9.86% 149.31% -
Price/ Cash Flow
LTM
FY+1
.0 M f-13
1.10 69'156.38 1.75% 1.93% 1.096 39 4.590 ######### ######### ######### FY+2
FQ+1
FQ+2
09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 542'269.0 682'645.0 455'722.0 495'559.0 117'335.0 117'798.0 0.00x 0.00x 0.0 0.0 0.00x 0.00x 163'357.0 188'437.0 191'485.0 200'833.1 44'687.3 55'991.0 6.03x 5.71x 6.68x 6.38x 6.15x 6.00x S&P Issuer Ratings Long-Term Rating Date 29.11.2011 Long-Term Rating A Long-Term Outlook STABLE Short-Term Rating Date 29.11.2011 Short-Term Rating A-1 Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity 149.3% Total Debt/Capital 59.7% Asset Turnover 0.05 Net Fixed Asset Turnover 7.30 Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle Sales/Revenue/Turnover
10.00
700'000.0
9.00
600'000.0
8.00 7.00
500'000.0
6.00
400'000.0
5.00
300'000.0
4.00
200'000.0
3.00 2.00
100'000.0
1.00 0.00 02.01.2009
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
China Construction Bank Corp Holdings By:
All
Holder Name CENTRAL HUIJIN INVES TEMASEK HOLDINGS PRI BANK OF AMERICA CORP VANGUARD GROUP INC BAOSTEEL GROUP CORP BLACKROCK BEST INVESTMENT CORP STATE GRID INTL DEVP CHINA YANGTZE POWER CAPITAL GROUP COMPAN FMR LLC RECA INVESTMENT LTD YINGDA INTL HOLDINGS LAZARD ASSET MANAGEM STATE STREET GLOBAL BANK OF NEW YORK MEL SCHRODER INVESTMENT SHANDONG LUNENG GROU DIMENSIONAL FUND ADV STATE GRID INTL TECH
Firm Name Sanford C. Bernstein & Co JPMorgan Credit Suisse BOCOM International Holdings Core Pacific Bank of China International Jefferies UOB Kay Hian Daiwa Securities Co. Ltd. Masterlink Securities Mizuho Securities Nomura AMTD Financial Planning Limited CIMB EVA Dimensions Religare Capital Markets SWS Research Co Ltd Deutsche Bank Macquarie Barclays ABC International Standard Chartered HSBC Guotai Junan BNP Paribas Equity Research Capital Securities Corp DBS Vickers Kim Eng Securities China International Capital Corp Morgan Stanley Goldman Sachs Citic Securities Co., Ltd Mirae Asset Securities Phillip Securities Hua Tai Securities Co., Ltd ICBC International Securities KGI Securities Tebon Securities Co Ltd
Portfolio Name n/a n/a n/a Multiple Portfolios n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a
Analyst MICHAEL WERNER KATHERINE LEI SANJAY JAIN LI SHANSHAN TIMOTHY LI YUAN LIN TAN MING EDMOND LAW GRACE WU RAINY YUAN JIM ANTOS LUCY FENG KENNY TANG SING HING TREVOR KALCIC AUSTIN BURKETT SOPHIE JIANG ROBERT HU TRACY YU VICTOR WANG MAY YAN JOHANNES AU JOHN CAPARUSSO TODD DUNIVANT WILSON LI DORRIS CHEN TEAM COVERAGE ALEXANDER LEE IVAN LI MAO JUNHUA RICHARD XU NING MA FEIFEI XIAO NAN LI CHEN XINGYU LIU XIAOCHANG IVAN LIN MICHELLE CHEN XU MINGQIANG
Source
Amt Held EXCH 142'590'494'651 ULT-AGG 17'878'670'050 EXCH 5'942'736'979 MF-AGG 3'765'878'345 Co File 3'210'000'000 ULT-AGG 2'783'064'728 EXCH 2'760'000'000 Co File 1'315'282'730 Co File 1'070'000'000 ULT-AGG 903'702'233 ULT-AGG 897'683'622 Co File 856'000'000 Co File 856'000'000 ULT-AGG 783'755'995 MF-AGG 700'891'267 MF-AGG 600'960'122 MF-AGG 469'604'610 Co File 374'500'000 MF-AGG 360'288'842 Co File 350'000'000
Recommendation outperform overweight outperform neutral buy hold buy hold outperform hold buy buy buy outperform overweight hold outperform buy neutral equalweight buy outperform overweight accumulate buy buy buy buy buy Overwt/In-Line Buy/Neutral overweight buy accumulate buy buy outperform outperform
Weighting
% Out 59.31 7.44 2.47 1.57 1.34 1.16 1.15 0.55 0.45 0.38 0.37 0.36 0.36 0.33 0.29 0.25 0.2 0.16 0.15 0.15
Change 5 5 5 3 5 3 5 3 5 3 5 5 5 5 5 3 5 5 3 3 5 5 5 4 5 5 5 5 5 5 5 5 5 4 5 5 5 5
M M M M M M M M M M M M M M M M M U D M M M M M M M M M M M M M M D M M N N
Latest Chg (29'022'185) (8'980'160) (3'518'000) (111'681'785) 1'017'000 68'611'800 14'949'976 (26'505'860) -
Target Price 8 8 8 7 8 6 7 7 7 7 9 8 7 8 #N/A N/A 5 7 7 7 7 8 7 8 7 7 #N/A N/A 7 7 10 6 7 #N/A N/A 7 7 #N/A N/A 9 8 #N/A N/A
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 14.11.2011 04.05.2012 17.11.2011 31.12.2012 31.12.2010 19.02.2013 14.11.2011 31.12.2010 31.12.2010 31.12.2012 31.12.2012 31.12.2010 31.12.2010 31.12.2012 30.06.2012 19.02.2013 31.12.2012 31.12.2010 31.07.2012 31.12.2010
Date 12 month 9 month Not Provided 12 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month Not Provided 14 month 12 month 12 month 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided 12 month Not Provided
Inst Type Investment Advisor Government Investment Advisor Investment Advisor Government Investment Advisor Investment Advisor n/a Government Investment Advisor Investment Advisor Private Equity Holding Company Unclassified Investment Advisor Investment Advisor Investment Advisor Corporation Investment Advisor Other
Date 20.02.2013 19.02.2013 14.02.2013 06.02.2013 05.02.2013 29.01.2013 28.01.2013 25.01.2013 22.01.2013 21.01.2013 21.01.2013 21.01.2013 21.01.2013 18.01.2013 17.01.2013 11.01.2013 09.01.2013 07.01.2013 19.12.2012 18.12.2012 07.12.2012 06.12.2012 26.11.2012 09.11.2012 07.11.2012 29.10.2012 29.10.2012 29.10.2012 29.10.2012 28.10.2012 11.10.2012 28.08.2012 26.08.2012 28.03.2012 26.03.2012 01.11.2010 16.04.2010 02.01.2009
21.02.2013
China Life Insurance Co Ltd China Life Insurance Co., Limited offers a wide range of life, accident, and health insurance products and services.
Price/Volume 30
180.0 M 160.0 M
25
140.0 M
20
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (15.01.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2628 HK EQUITY YTD Change 2628 HK EQUITY YTD % CHANGE
12/2011 09/yy 27.35 17.00 46'395'776.00 23.25 -14.99% 36.76% 65.70% 7'441.2 656'935.56 42'990.00 0.0 1'858.0 55'985.00 -
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow
1.20
100.0 M 80.0 M
10
60.0 M 40.0 M
5
20.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
.0 M f-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 191'372.0 7.65x 38'879.0 27.36x
120.0 M
15
31.12.2008 31.12.2009 299'478.0 339'262.0 1.74x 2.68x 19'137.0 32'881.0 30.50x 29.11x Profitability
LTM-4Q 31.12.2010 385'446.0 1.61x 33'626.0 22.62x
31.12.2011 370'352.0 1.27x 18'331.0 23.96x 5.18% 5.54% 0.90% 7.31% 5.91% 0.21% 4.9% 2.71% 22.45% -
LTM
FY+1
1.23 1.23 7'441.18 -0.57% -8.10% 1.232 32 3.375 34'121'930 33'677'020 32'758'290 FY+2
FQ+1
FQ+2
09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 387'400.0 391'051.0 364'609.7 408'119.7 1.33x 0.00x 1.43x 1.26x 0.0 0.0 0.00x 0.00x 25'398.0 9'042.0 14'469.6 29'274.0 17.15x 56.76x 36.90x 17.97x S&P Issuer Ratings Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
AANEG 22.4% 18.2% 0.21 -
Sales/Revenue/Turnover
450'000.0 400'000.0
1.00 0.80
350'000.0 300'000.0 250'000.0
0.60
200'000.0 150'000.0
0.40 0.20
100'000.0 50'000.0 0.0
0.00
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
China Life Insurance Co Ltd Holdings By:
All
Holder Name BLACKROCK VANGUARD GROUP INC CARMIGNAC GESTION HANG SENG INVESTMENT STATE STREET GLOBAL DEUTSCHE BANK AG BARING ASSET MANAGEM CAPITAL GROUP COMPAN FMR LLC COMGEST GROWTH PLC CHINA ASSET MANAGEME ALLIANZ ASSET MANAGE SHINHAN BNP PARIBAS INVESCO ASSET MANAGE HARVEST FUND MANAGEM SCHRODER INVESTMENT GAM INTERNATIONAL MA DWS INVESTMENT S A STATE STREET SWEDBANK ROBUR FONDE
Firm Name Core Pacific Capital Securities Corp BOCOM International Holdings Credit Suisse Haitong International Securities Nomura Standard Chartered EVA Dimensions JPMorgan DBS Vickers ABC International China International Capital Corp Deutsche Bank UOB Kay Hian CCB International Securities Ltd ICBC International Securities Bank of China International Goldman Sachs Macquarie Jefferies Kim Eng Securities SWS Research Co Ltd Guotai Junan Morgan Stanley HSBC BNP Paribas Equity Research AMTD Financial Planning Limited Phillip Securities Mirae Asset Securities Sun Hung Kai Securities
Portfolio Name n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios
Analyst OLIVE XIA TEAM COVERAGE LI WENBING ARJAN VAN VEEN CHEN FANNY DAVID CHUNG JENNIFER LAW AUSTIN BURKETT CHAN BAO LING PING CHENG FRANCIS CHAN TANG SHENGBO ESTHER CHWEI EDMOND LAW KENNETH YUE PIUS CHENG SUN PENG MANCY SUN SCOTT G RUSSELL BARON NIE IVAN LI ROBERT HU FELIX LUO BEN LIN JAMES GARNER DORRIS CHEN KENNY TANG SING HING CHEN XINGYU IVAN CHEUNG KENIX LAI
Source ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG
Recommendation hold hold buy underperform buy neutral in-line sell neutral hold buy accumulate buy hold underperform hold buy neutral/neutral neutral hold buy neutral accumulate Equalwt/In-Line neutral hold buy buy hold buy
Amt Held 796'734'221 379'930'827 130'870'500 63'572'828 61'981'243 54'474'441 47'183'000 41'000'300 37'598'982 34'090'000 26'080'000 25'426'500 25'027'342 21'845'000 21'744'000 21'228'680 18'943'000 16'351'692 16'206'332 15'478'204
% Out 10.71 5.11 1.76 0.85 0.83 0.73 0.63 0.55 0.51 0.46 0.35 0.34 0.34 0.29 0.29 0.29 0.25 0.22 0.22 0.21
Weighting
Change 3 3 5 1 5 3 3 1 3 3 5 4 5 3 1 3 5 3 3 3 5 3 4 3 3 3 5 5 3 5
M M M M N D M M M M M D M M D M M M M M M M M M M M M U M M
Latest Chg (75'000) (3'440'000) (19'411'000) (3'448'832) (111'253) 2'903'000 (22'410'000) (4'544'394) 5'080'000 5'880'000 (3'247'000) 9'795'000 6'742'000 (5'216'320) 2'625'000 2'547'000
Target Price 25 #N/A N/A 28 26 29 27 24 #N/A N/A 23 27 32 29 30 27 24 27 25 26 24 23 26 22 27 23 24 21 22 26 20 35
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 30.06.2012 Investment Advisor 31.12.2012 Investment Advisor 31.10.2012 Unclassified 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.06.2011 Investment Advisor 30.06.2012 Investment Advisor 31.01.2013 Investment Advisor 28.09.2012 Investment Advisor 31.05.2012 Mutual Fund Manager 30.06.2012 Investment Advisor 31.12.2012 Investment Advisor 31.10.2012 Investment Advisor 28.12.2012 Mutual Fund Manager 20.02.2013 Investment Advisor 30.09.2012 Investment Advisor
Date Not Provided Not Provided 12 month Not Provided 12 month Not Provided 12 month Not Provided 9 month 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided 12 month Not Provided 12 month 12 month Not Provided
Date 21.02.2013 19.02.2013 19.02.2013 18.02.2013 06.02.2013 06.02.2013 31.01.2013 17.01.2013 16.01.2013 16.01.2013 14.01.2013 08.01.2013 07.01.2013 07.01.2013 07.01.2013 14.12.2012 06.12.2012 13.11.2012 02.11.2012 29.10.2012 29.10.2012 29.10.2012 29.10.2012 26.10.2012 18.10.2012 21.08.2012 27.03.2012 16.03.2012 18.10.2011 10.07.2009
21.02.2013
China Mobile Ltd China Mobile Limited, through its subsidiaries, provides cellular telecommunications and related services in the People's Republic of China and Hong Kong SAR.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (14.08.2012) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 941 HK EQUITY YTD Change 941 HK EQUITY YTD % CHANGE
12/2011 09/yy 92.60 76.50 22'611'688.00 85.9 -7.24% 12.29% 58.70% 20'100.5 1'726'630.88 30'301.00 0.0 1'355.0 332'946.00 1'027'094.11
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow
31.12.2008 31.12.2009 411'810.0 452'103.0 2.90x 2.34x 219'788.0 233'788.0 5.43x 4.52x 112'627.0 115'166.0 12.19x 11.18x Profitability
LTM-4Q 31.12.2010 485'231.0 2.18x 241'758.0 4.37x 119'640.0 10.98x
31.12.2011 527'999.0 1.77x 257'202.0 3.63x 125'870.0 9.82x
60.0 M 50.0 M 40.0 M 30.0 M 20.0 M 10.0 M a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
257'202.00 159'710.00 30.25% 31.55% 13.03% 19.60% 18.76% 0.56% 47.0% 28.9% 23.8% 1.40 1.25 3.18% 4.67% 52.44 -
LTM
FY+1
.0 M f-13
3.97 0.62 5'213.56 9.86% -4.82% 0.625 37 3.514 12'204'640 20'970'950 17'785'280 FY+2
FQ+1
FQ+2
09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 516'434.0 552'742.0 561'461.7 596'869.1 152'614.0 0.00x 0.00x 1.84x 1.65x 0.0 0.0 252'430.1 257'028.8 63'369.0 0.00x 0.00x 4.07x 4.00x 124'373.0 127'197.0 126'061.5 126'729.6 31'984.6 0.00x 0.00x 11.11x 11.09x S&P Issuer Ratings Long-Term Rating Date 16.12.2010 Long-Term Rating AALong-Term Outlook STABLE Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. 455.22 (EBITDA-Capex)/Interest Exp. 235.02 Net Debt/EBITDA -1.42 Total Debt/EBITDA 0.12 Reference Total Debt/Equity 4.7% Total Debt/Capital 4.5% Asset Turnover 0.56 Net Fixed Asset Turnover 1.15 Accounts receivable turnover-days 6.98 Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle Sales/Revenue/Turnover
1.20
600'000.0
1.00
500'000.0
0.80
400'000.0
0.60
70.0 M
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 356'959.0 6.81x 197'093.0 12.34x 87'062.0 29.66x
100 90 80 70 60 50 40 30 20 10 0 f-12 m-12
300'000.0 200'000.0
0.40
100'000.0 0.20
0.0 0.00
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
China Mobile Ltd Holdings By:
All
Holder Name CHINA MOBILE HK BVI VANGUARD GROUP INC BLACKROCK ABERDEEN HARBOR CAPITAL ADVIS STATE STREET GLOBAL SCHRODER INVESTMENT FMR LLC BANK OF NEW YORK MEL GRANTHAM MAYO VAN OT WILLIAM BLAIR & COMP INVESCO LTD FRANKLIN RESOURCES PICTET & CIE PICTET ASSET MANAGEM ALLIANZ ASSET MANAGE COMGEST GROWTH PLC ARTISAN PARTNERS HOL STATE STREET ROBECO INVESTOR SERV
Firm Name
Portfolio Name n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios WILLIAM BLAIR & COMP Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios
Analyst
Haitong International Securities ALEX LEE Kim Eng Securities ANDY POON UOB Kay Hian VICTOR YIP DBS Vickers TAM TSZ-WANG Nomura DANNY CHU Deutsche Bank ALAN HELLAWELL SWS Research Co Ltd JIM TANG New Street Research ALASTAIR JONES BNP Paribas Equity Research ALEN LIN CIMB BERTRAM LAI Macquarie LISA SOH BOCOM International Holdings LI ZHIWU Barclays ANAND RAMACHANDRAN Standard Chartered STEVEN LIU Bank of China International MICHAEL MENG JPMorgan LUCY LIU Jefferies CYNTHIA JINHONG MENG Morgan Stanley NAVIN KILLA Credit Suisse COLIN MCCALLUM Pacific Crest Securities STEVE CLEMENT EVA Dimensions ANDREW S ZAMFOTIS Core Pacific KEVIN TAM Ji Asia NEIL JUGGINS Masterlink Securities LV HAN GuoSen Securities Co Ltd MICHAEL NG Goldman Sachs DONALD LU Guotai Junan RICKY LAI ICBC International Securities KARY SEI China International Capital Corp CHEN HAOFEI HSBC TUCKER GRINNAN AMTD Financial Planning Limited KENNY TANG SING HING Capital Securities Corp TEAM COVERAGE Yuanta Securities Investment ConsultingTEAM COVERAGE Religare Capital Markets RUMIT DUGAR
Source 20F MF-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG 13F MF-AGG ULT-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG ULT-AGG MF-AGG
Recommendation hold sell buy hold neutral hold underperform buy buy neutral underperform long-term buy overweight outperform sell underweight hold Equalwt/In-Line outperform outperform buy negative buy hold buy Buy/Neutral accumulate hold reduce overweight buy hold Under Review buy
Amt Held 14'885'998'621 318'261'889 229'465'752 212'949'483 53'719'500 50'172'025 48'697'000 47'866'661 40'706'447 35'979'737 28'431'255 26'521'966 25'765'568 19'280'000 18'088'776 17'588'400 15'507'000 15'005'931 14'878'742 14'506'782
% Out 74.06 1.58 1.14 1.06 0.27 0.25 0.24 0.24 0.2 0.18 0.14 0.13 0.13 0.1 0.09 0.09 0.08 0.07 0.07 0.07
Weighting
Change
3 1 5 3 3 3 1 5 5 3 1 5 5 5 1 1 3 3 5 5 5 2 5 3 5 5 4 3 2 5 5 3 #N/A N/A 5
M M M M M M D M M M D M M M M D M M M M M M M N N M M M M M M M M M
Latest Chg (794'567) (1'888'900) 8'845'004 (2'772'371) (11'338'000) 4'826'233 4'535'500 1'697'000 2'711'466 6'589'141 (1'714'500) (12'200'602) 908'700 319'000 (378'000) (1'171'217)
Target Price 90 74 100 85 90 90 76 107 105 80 76 92 110 98 75 78 95 80 102 91 #N/A N/A #N/A N/A 104 101 #N/A N/A 105 93 87 75 103 89 70 #N/A N/A 97
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.03.2012 Corporation 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.01.2013 Unclassified 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.05.2012 Investment Advisor 31.12.2012 Investment Advisor 20.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.10.2012 Mutual Fund Manager 31.10.2012 Investment Advisor 31.01.2013 Investment Advisor 30.06.2011 Investment Advisor 31.12.2012 Investment Advisor 20.02.2013 Investment Advisor 31.12.2012 Investment Advisor
Date 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided Not Provided 12 month 12 month 12 month 12 month Not Provided 12 month 12 month 9 month 12 month 12 month Not Provided 12 month Not Provided Not Provided 12 month 6 month Not Provided 12 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month
Date 21.02.2013 21.02.2013 21.02.2013 20.02.2013 18.02.2013 15.02.2013 07.02.2013 07.02.2013 06.02.2013 05.02.2013 30.01.2013 28.01.2013 28.01.2013 25.01.2013 25.01.2013 24.01.2013 24.01.2013 22.01.2013 22.01.2013 21.01.2013 15.01.2013 21.12.2012 20.12.2012 13.12.2012 10.12.2012 09.12.2012 25.10.2012 24.10.2012 23.10.2012 22.10.2012 03.10.2012 17.08.2012 16.08.2012 16.08.2012
21.02.2013
China Petroleum & Chemical Corp China Petroleum and Chemical Corporation (Sinopec) refines, produces and trades petroleum and petrochemical products such as gasoline, diesel, jet fuel, kerosene, ethylene, synthetic fibers, synthetic rubber, synthetic resins, and chemical fertilizers. Also, The company explores for and produces crude oil and natural gas in China.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (30.01.2013) 52-Week Low (11.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 14.02.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 386 HK EQUITY YTD Change 386 HK EQUITY YTD % CHANGE
12/2011 09/yy 9.57 6.38 110'901'973.00 8.8 -8.05% 37.93% 78.37% 19'625.7 788'965.25 240'555.00 0.0 35'016.0 25'197.00 941'696.59
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
600.0 M 500.0 M 400.0 M 300.0 M 200.0 M 100.0 M
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 1'170'539.0 1.73x 127'499.0 15.87x 56'515.0 16.90x
10 9 8 7 6 5 4 3 2 1 0 f-12 m-12
31.12.2008 31.12.2009 1'387'077.0 1'212'168.0 0.59x 1.09x 29'228.0 151'545.0 27.82x 8.73x 28'445.0 62'677.0 12.59x 8.42x Profitability
LTM-4Q 31.12.2010 1'876'758.0 0.48x 178'098.0 5.03x 71'782.0 7.62x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
FY+1
.0 M f-13
4.24 0.83 18'404.72 5.69% 0.23% 0.828 32 3.844 ######### ######### 86'166'870 FY+2
FQ+1
FQ+2
31.12.2011 09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 2'463'767.0 ######### ######### ######### ######### 728'398.5 688'272.0 0.35x 1.46x 1.34x 0.36x 0.36x 170'962.0 0.0 0.0 166'026.0 191'905.3 5.05x 0.00x 0.00x 5.67x 4.91x 73'225.0 75'623.0 53'683.0 60'720.0 74'708.6 17'385.0 14'623.0 7.84x 7.22x 9.49x 10.25x 8.41x 9.77x 10.12x S&P Issuer Ratings 170'962.00 Long-Term Rating Date 16.12.2010 107'146.00 Long-Term Rating A+ 4.35% Long-Term Outlook STABLE 4.24% Short-Term Rating Date 5.00% Short-Term Rating 12.12% Credit Ratios 8.66% EBITDA/Interest Exp. 18.19 2.27% (EBITDA-Capex)/Interest Exp. 4.17 Net Debt/EBITDA 1.87 - Total Debt/EBITDA 1.96 6.1% Reference 3.5% Total Debt/Equity 50.9% 3.0% Total Debt/Capital 32.2% Asset Turnover 2.27 0.77 Net Fixed Asset Turnover 3.74 0.25 Accounts receivable turnover-days 13.52 21.02% Inventory Days 50.93% Accounts Payable Turnover Day 27.06 Cash Conversion Cycle -
Price/ Cash Flow
Sales/Revenue/Turnover
8.00
3'000'000.0
7.00
2'500'000.0
6.00
2'000'000.0
5.00 4.00
1'500'000.0
3.00
1'000'000.0
2.00
500'000.0 1.00 0.00 02.01.2009
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
China Petroleum & Chemical Corp Holdings By:
All
Holder Name BLACKROCK FRANKLIN RESOURCES JP MORGAN VANGUARD GROUP INC GOVT OF SINGAPORE IN CITIGROUP INCORPORAT CREDIT SUISSE AG CHINA PETROLEUM SHEN FMR LLC SCHRODER INVESTMENT DIMENSIONAL FUND ADV HANG SENG INVESTMENT STATE STREET GLOBAL ALLIANZ ASSET MANAGE CREDIT SUISSE AG GRANTHAM MAYO VAN OT CAPITAL GROUP COMPAN SHINHAN BNP PARIBAS SCHRODER KOREA LTD BANK OF NEW YORK MEL
Firm Name
Portfolio Name n/a n/a n/a Multiple Portfolios n/a n/a #N/A N/A n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst
Nomura SONIA SONG Sanford C. Bernstein & Co NEIL BEVERIDGE UOB Kay Hian YAN SHI ICBC International Securities ANNA YU Standard Chartered DUKE SUTTIKULPANICH Jefferies LABAN YU Bank of China International LAWRENCE LAU Mizuho Securities ANDREW S F CHAN Daiwa Securities Co. Ltd. ADRIAN LOH BNP Paribas Equity Research CHENG KHOO BOCOM International Holdings WU FEI Barclays SCOTT DARLING Macquarie JAMES HUBBARD Mirae Asset Securities GORDON KWAN Credit Suisse DAVID HEWITT VTB Capital COLIN SMITH EVA Dimensions CRAIG STERLING Renaissance Capital BRADLEY WAY Masterlink Securities LI XIN Deutsche Bank DAVID HURD SWS Research Co Ltd ALBERT MIAO Morgan Stanley WEE KIAT TAN JPMorgan BRYNJAR EIRIK BUSTNES HSBC THOMAS C HILBOLDT Capital Securities Corp TEAM COVERAGE DBS Vickers WEE KEAT LEE Goldman Sachs ARTHUR YAN Guotai Junan GRACE LIU Yuanta Securities Investment ConsultingTEAM COVERAGE AMTD Financial Planning Limited KENNY TANG SING HING Citic Securities Co., Ltd YIN XIAODONG GuoSen Securities Co Ltd STEVEN LU China International Capital Corp BIN GUAN China Galaxy Securities LI GUOHONG Industrial Securities FANG LEI
Source ULT-AGG ULT-AGG ULT-AGG MF-AGG ULT-AGG EXCH EXCH EXCH ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG Short MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG
Recommendation buy outperform buy buy in-line hold buy neutral underperform buy long-term buy equalweight underperform buy neutral hold overweight sell hold buy buy Equalwt/In-Line overweight underweight buy hold Buy/Neutral accumulate Under Review buy buy buy buy buy strong buy
Amt Held % Out 2'123'684'596 10.82 1'826'300'598 9.31 1'785'993'742 9.1 860'833'577 4.39 794'152'154 4.05 629'057'907 3.21 521'252'296 2.66 425'500'000 2.17 263'987'026 1.35 227'828'000 1.16 147'230'289 0.75 143'361'074 0.73 139'771'423 0.71 138'665'350 0.71 (119'014'506) -0.61 104'509'351 0.53 94'978'000 0.48 77'778'342 0.4 77'462'000 0.39 70'915'400 0.36
Weighting 5 5 5 5 3 3 5 3 1 5 5 3 1 5 3 3 5 1 3 5 5 3 5 1 5 3 5 4 #N/A N/A 5 5 5 5 5 5
Change M M M M M M M M M M D M M M M M M M M M M M M M U M M D M N M M M M N
Latest Chg (32'963'380) (20'038'000) (3'570'000) (11'249'100) (15'860'724) 38'640'000 (7'780'128) 49'940'000 712'000 (648'000) 3'050'000 54'000
Target Price 10 10 10 10 9 8 10 9 8 10 10 9 7 11 9 9 #N/A N/A 7 9 9 10 8 10 7 11 8 9 8 #N/A N/A 10 10 11 11 #N/A N/A #N/A N/A
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 05.02.2013 Unclassified 31.12.2012 Investment Advisor 15.01.2013 Government 26.11.2012 Investment Advisor 07.02.2013 Investment Advisor 09.01.2012 Government 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.07.2012 Investment Advisor 30.06.2012 Investment Advisor 30.06.2012 Investment Advisor 31.01.2013 Investment Advisor 07.02.2013 Investment Advisor 31.05.2012 Investment Advisor 30.09.2012 Investment Advisor 28.09.2012 Investment Advisor 28.09.2012 Mutual Fund Manager 19.02.2013 Investment Advisor
Date Not Provided 12 month Not Provided Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided 12 month Not Provided 12 month 9 month Not Provided Not Provided 26 month 12 month Not Provided Not Provided Not Provided 6 month 12 month 12 month Not Provided Not Provided
Date 20.02.2013 19.02.2013 06.02.2013 06.02.2013 05.02.2013 05.02.2013 05.02.2013 05.02.2013 05.02.2013 05.02.2013 05.02.2013 05.02.2013 31.01.2013 29.01.2013 25.01.2013 16.01.2013 15.01.2013 30.11.2012 28.11.2012 30.10.2012 30.10.2012 29.10.2012 29.10.2012 29.10.2012 29.10.2012 29.10.2012 17.10.2012 20.07.2012 15.06.2012 08.02.2012 11.01.2012 22.11.2011 29.08.2011 30.10.2009 20.07.2009
21.02.2013
China Steel Corp China Steel Corporation manufactures and markets a variety of steel products. The main products are hot rolled coils and sheets, cold rolled coils and sheets, wire rods, steel plates, and steel bars.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (02.03.2012) 52-Week Low (06.09.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2002 TT EQUITY YTD Change 2002 TT EQUITY YTD % CHANGE
12/2011 09/yy 30.44 24.00 25'769'049.00 27.85 -8.52% 16.04% 59.75% 15'272.5 425'338.47 84'294.92 382.7 0.0 2'891.48 530'587.23
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
70.0 M
30
60.0 M
25
50.0 M
20
40.0 M
15
30.0 M
10
20.0 M
5
10.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 207'919.0 2.38x 60'189.1 8.23x 51'263.9 9.69x
35
31.12.2008 31.12.2009 256'358.0 165'408.9 1.33x 2.61x 44'728.8 21'270.7 7.64x 20.29x 24'030.4 19'602.5 11.38x 21.43x Profitability
LTM-4Q 31.12.2010 239'186.9 2.14x 50'776.6 10.07x 37'586.8 11.84x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 240'376.0 2.11x 30'706.0 16.50x 19'493.7 21.18x 30'706.01 14'598.98 6.07% 8.44% 0.76% 1.13% 0.52% 9.0% 7.7% -0.2% 8.1% 1.76 0.15 19.98% 29.25% 53.04 3.35
Price/ Cash Flow
LTM
FY+1
.0 M f-13
0.59 10'482.53 442.86 -2.91% 1.83% 0.586 23 2.217 15'502'770 16'885'470 18'464'730 FY+2
FQ+1
FQ+2
09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 243'726.5 219'187.1 209'246.9 209'134.5 49'762.6 48'663.9 8.61x 9.39x 2.49x 2.49x 38'352.3 16'795.5 20'872.4 27'988.0 5'894.0 6'318.0 13.50x 30.10x 25.42x 18.96x 19.94x 18.18x 24'598.4 3'234.8 5'824.9 12'264.7 1'685.9 2'807.5 16.98x 216.59x 71.41x 35.61x 40.01x 34.55x S&P Issuer Ratings Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
22.02 9.69 6.24 6.48 29.2% 22.6% 0.52 1.16 6.90 109.13 9.90 90.04
Sales/Revenue/Turnover
50.00
300'000.0
45.00
250'000.0
40.00 35.00
200'000.0
30.00
150'000.0
25.00 20.00
100'000.0
15.00 10.00
50'000.0
5.00 0.00 03.01.2009
0.0 03.07.2009
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
China Steel Corp Holdings By:
All
Holder Name MINISTRY OF ECONOMIC VANGUARD GROUP INC CHINA STEEL ESOT BLACKROCK YUN HUNG INVESTMENT BUREAU OF LABOR INSU VANGUARD EMS INDEX F CHUNGHWA POST CO LTD MARUICHI STEEL TUBE GOVT OF SINGAPORE IN YUN YING INVESTMENT ISHARES MSCI EMERGIN POLARIS SEC INVESTME BANK OF NEW YORK MEL DIMENSIONAL FUND ADV PICTET & CIE CREDIT SUISSE ASSET SWEDBANK ROBUR FONDE EATON VANCE MANAGEME YODOGAWA STEEL WORKS
Firm Name Barclays Deutsche Bank BNP Paribas Equity Research Jih Sun Securities President Capital Management Credit Suisse JPMorgan IBT Securities Co Ltd Goldman Sachs KGI Securities Capital Securities Corp EVA Dimensions Ji Asia E Sun Securities Fubon Securities Macquarie HSBC VTB Capital SinoPac Sanford C. Bernstein & Co Masterlink Securities Grand Cathay Securities Co TIS Securities
Portfolio Name n/a Multiple Portfolios n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a
Analyst EPHREM RAVI JAMES KAN JENNY TSAI ERIC CHANG WEICHUN TSENG JEREMY CHEN DANIEL KANG PETER TZENG TOMMY WONG MARC WANG IVY LIU CRAIG STERLING SAMUEL THAWLEY DAVID LAI ROGER LEE CORINNE JIAN SIMON FRANCIS WIKTOR BIELSKI LILY HSIAO VANESSA LAU CHARLES KO TSAI YEN-LING BRANDON LIU
Source EXCH MF-AGG Co File ULT-AGG Co File EXCH Co File Co File Co File ULT-AGG Co File Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG Co File
Recommendation underweight hold reduce neutral neutral underperform neutral neutral Sell/Neutral underperform neutral sell sell neutral reduce neutral neutral hold Under Review market perform hold neutral trading buy
Amt Held 3'062'230'011 581'938'544 569'143'276 346'296'200 240'560'407 239'218'423 208'802'582 206'372'896 149'273'708 145'992'823 142'156'753 132'930'827 107'584'011 50'895'696 32'197'705 24'882'101 14'089'839 13'588'888 10'162'765 8'528'499
% Out 20.05 3.81 3.73 2.27 1.58 1.57 1.37 1.35 0.98 0.96 0.93 0.87 0.7 0.33 0.21 0.16 0.09 0.09 0.07 0.06
Weighting
Change
1 3 2 3 3 1 3 3 1 1 3 1 1 3 2 3 3 3 #N/A N/A 3 3 3 5
M U M M M M M M M M M M M D M U U M M N M M M
Latest Chg (894'200) 30'155 (8'780'660) 424'000 99'000 (68'000) 1'027'180 -
Target Price 21 30 21 #N/A N/A 28 22 29 #N/A N/A 20 23 #N/A N/A #N/A N/A 23 #N/A N/A 24 27 26 28 24 25 30 32 #N/A N/A
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 30.11.2012 n/a 31.12.2012 Investment Advisor 31.05.2012 n/a 19.02.2013 Investment Advisor 31.05.2012 n/a 31.05.2012 Government 31.05.2012 n/a 31.05.2012 Government 31.05.2012 Corporation 31.05.2012 Government 31.05.2012 n/a 31.05.2012 n/a 30.06.2012 Mutual Fund Manager 19.02.2013 Investment Advisor 31.07.2012 Investment Advisor 31.10.2012 Mutual Fund Manager 28.12.2012 Mutual Fund Manager 30.09.2012 Investment Advisor 31.12.2012 Investment Advisor 31.03.2012 Corporation
Date Not Provided 12 month 12 month Not Provided 6 month Not Provided 9 month Not Provided 12 month 12 month Not Provided Not Provided 12 month Not Provided 6 month 12 month Not Provided 12 month Not Provided Not Provided 3 month Not Provided Not Provided
Date 18.02.2013 04.02.2013 01.02.2013 23.01.2013 23.01.2013 21.01.2013 21.01.2013 21.01.2013 18.01.2013 18.01.2013 16.01.2013 15.01.2013 11.01.2013 14.12.2012 30.11.2012 16.11.2012 28.10.2012 15.10.2012 11.10.2012 18.09.2012 17.02.2012 04.11.2010 05.03.2010
21.02.2013
Chunghwa Telecom Co Ltd Chunghwa Telecom Co., Ltd. provides local, domestic, and international long distance services. The Company also offers wireless telecommunication, paging, and Internet services.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (10.07.2012) 52-Week Low (20.04.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2412 TT EQUITY YTD Change 2412 TT EQUITY YTD % CHANGE
12/2012 12/yy 95.80 87.50 8'759'564.00 92.9 -3.03% 6.17% 60.24% 7'757.4 720'666.81 0.00 0.0 0.0 64'459.15 682'596.96
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
80.0 M 70.0 M 60.0 M 50.0 M 40.0 M 30.0 M 20.0 M 10.0 M a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 186'780.7 2.28x 95'133.8 4.49x 45'010.3 11.53x
100 90 80 70 60 50 40 30 20 10 0 f-12 m-12
31.12.2009 31.12.2010 184'040.3 186'410.9 2.67x 3.38x 91'113.9 89'400.1 5.39x 7.06x 43'757.4 47'608.9 13.19x 15.09x Profitability
LTM-4Q 31.12.2011 192'462.1 3.70x 83'154.6 8.55x 47'068.4 16.56x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2012 40'067.7 18.31x 83'154.56 51'240.50 26.62% 28.77% 9.93% 11.44% 0.46% 44.5% 41.5% 24.6% 24.5% 1.71 1.56 0.00% 0.00% 8.69 137.43
Price/ Cash Flow
LTM
FY+1
.0 M f-13
0.44 1'904.77 13.60 4.19% -1.69% 0.443 24 2.292 12'034'490 7'726'572 7'713'754 FY+2
FQ+1
FQ+2
12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 192'462.1 141'596.6 204'723.6 215'858.0 45'545.0 47'277.0 14.42x 14.01x 3.36x 3.18x 83'154.6 59'761.9 80'244.3 83'885.0 8.55x 0.00x 8.51x 8.14x 47'068.4 40'067.7 40'262.8 40'935.7 9'012.8 10'526.2 16.55x 18.31x 17.92x 17.70x 18.00x 17.90x S&P Issuer Ratings Long-Term Rating Date 10.04.2008 Long-Term Rating AA Long-Term Outlook NEG Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. 374570.08 (EBITDA-Capex)/Interest Exp. 255270.67 Net Debt/EBITDA -0.48 Total Debt/EBITDA 0.00 Reference Total Debt/Equity 0.0% Total Debt/Capital 0.0% Asset Turnover 0.46 Net Fixed Asset Turnover 0.64 Accounts receivable turnover-days 42.13 Inventory Days 2.66 Accounts Payable Turnover Day 34.64 Cash Conversion Cycle 1.78 Sales/Revenue/Turnover
12.00
250'000.0
10.00
200'000.0
8.00
150'000.0
6.00
100'000.0 4.00
50'000.0
2.00 0.00 02.01.2010
0.0 02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Chunghwa Telecom Co Ltd Holdings By:
All
Holder Name MINISTRY OF TRANS & MINISTRY OF TRANSPOR FUBON LIFE INSURANCE CATHAY LIFE INSURANC CHUNGHWA TELECOM CO CHUNGHWA POST CO LTD SHIN KONG LIFE INSUR CHINA LIFE INSURANCE BLACKROCK SAUDI ARABIAN MONETA ISHARES MSCI EMERGIN VANGUARD GROUP INC POLARIS SEC INVESTME BANK OF NEW YORK MEL PICTET & CIE SCHRODER INVESTMENT GRANTHAM MAYO VAN OT NATIONAL DEVELOP FUN INVESCO LTD CAPITAL SECURITIES I
Firm Name
Portfolio Name n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios
Analyst
New Street Research ALASTAIR JONES Nomura DANNY CHU BNP Paribas Equity Research ALEN LIN Deutsche Bank WILLIAM YANG JPMorgan LUCY LIU Macquarie JOSEPH QUINN Morgan Stanley GARY YU Goldman Sachs PIYUSH MUBAYI Yuanta Securities Investment ConsultingBONNIE CHANG KGI Securities VINCENT LIAO HSBC NEALE ANDERSON Standard Chartered STEVEN LIU EVA Dimensions ANDREW S ZAMFOTIS President Capital Management CHARLIE YEH SinoPac BAMBOO LIN Credit Suisse CHATE BENCHAVITVILAI Mega Securities HUANG CHIEN-HAO Fubon Securities LEWIS LIU Masterlink Securities STEVEN SU Barclays ANAND RAMACHANDRAN Jih Sun Securities CHEN CHUN-CHUNG
Source EXCH EXCH Co File Co File Co File EXCH Co File Co File ULT-AGG Co File Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG
Recommendation reduce neutral hold hold neutral underperform Equalwt/In-Line Sell/Neutral hold neutral underweight in-line hold neutral neutral underperform neutral neutral hold underweight buy
Amt Held 2'737'718'976 2'737'718'976 428'621'087 362'562'080 140'600'004 135'073'719 128'044'184 116'865'779 113'411'822 86'045'425 74'872'410 69'022'819 38'438'000 25'206'048 25'176'948 24'390'030 15'960'329 12'371'562 11'394'637 11'162'000
% Out 35.29 35.29 5.53 4.67 1.81 1.74 1.65 1.51 1.46 1.11 0.97 0.89 0.5 0.32 0.32 0.31 0.21 0.16 0.15 0.14
Weighting
Change 2 3 3 3 3 1 3 1 3 3 1 3 3 3 3 1 3 3 3 1 5
D M M M M M M M M M M M M M M M N M N M N
Latest Chg (586'067) 975'300 (1'689'000) 208'000 1'771'000 2'593'917 (1'111'000) (7'176'000)
Target Price 84 95 90 96 90 76 85 80 88 87 79 90 #N/A N/A 92 93 86 97 95 91 84 121
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 30.11.2012 n/a 31.05.2012 Unclassified 27.07.2011 Unclassified 27.07.2011 Insurance Company 27.07.2011 n/a 30.11.2012 Government 27.07.2011 n/a 27.07.2011 Insurance Company 19.02.2013 Investment Advisor 27.07.2011 Government 27.07.2011 n/a 31.12.2012 Investment Advisor 30.06.2012 Mutual Fund Manager 19.02.2013 Investment Advisor 31.10.2012 Mutual Fund Manager 28.09.2012 Investment Advisor 31.05.2012 Investment Advisor 30.11.2012 Government 20.02.2013 Investment Advisor 30.06.2012 Investment Advisor
Date Not Provided Not Provided 12 month 12 month 9 month 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided 6 month Not Provided Not Provided 6 month 6 month 3 month Not Provided Not Provided
Date 20.02.2013 18.02.2013 06.02.2013 31.01.2013 31.01.2013 31.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 28.01.2013 18.01.2013 15.01.2013 29.10.2012 29.10.2012 26.10.2012 17.08.2012 23.05.2012 04.05.2012 30.04.2012 30.12.2011
21.02.2013
CLP Holdings Ltd CLP Holdings Limited, through its subsidiaries, generates and supplies electricity. The Company also develops and invests in power projects and invests in properties.
Price/Volume 80
50.0 M 45.0 M 40.0 M 35.0 M 30.0 M 25.0 M 20.0 M 15.0 M 10.0 M 5.0 M .0 M f-13
70 60 50 40
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (08.03.2012) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 20.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2 HK EQUITY YTD Change 2 HK EQUITY YTD % CHANGE
12/2011 01/yy 69.00 62.50 3'547'236.00 66.65 -3.41% 6.64% 68.46% 2'526.5 168'387.94 97'069.00 0.0 93.0 3'104.00 254'476.93
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
20 10 0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data
Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 50'789.0 3.47x 15'690.0 11.23x 10'608.0 12.10x
30
31.12.2008 31.12.2009 54'297.0 50'668.0 3.21x 3.64x 16'933.0 14'959.0 10.30x 12.32x 10'423.0 8'196.0 12.15x 15.38x Profitability
31.12.2010 58'410.0 3.82x 17'575.0 12.70x 10'332.0 14.71x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 91'634.0 2.76x 21'109.0 11.98x 9'288.0 17.11x 21'109.00 14'756.00 16.10% 11.94% 3.17% 8.41% 6.57% 0.45% 22.4% 15.3% 10.1% 0.70 0.41 45.30% 119.46% 6.87 -
Price/ Cash Flow
LTM-4Q
LTM
01/yy
01/yy -
FY+1 -
3.81 0.45 1'838.59 4.15% 2.78% 0.446 18 3.000 3'205'474 3'421'654 4'373'412 FY+2
12/12 Y 12/13 Y 95'790.1 103'229.1 2.42x 2.26x 20'606.8 22'961.2 12.35x 11.08x 9'540.5 11'161.1 16.84x 14.57x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
FQ+1
FQ+2
-
-
02.03.2011 ASTABLE 26.06.2008 A-2 3.60 1.54 3.93 4.25 119.5% 54.4% 0.45 0.74 53.31 -
Sales/Revenue/Turnover
14.00
100'000.0 90'000.0
12.00
80'000.0
10.00
70'000.0 60'000.0
8.00
50'000.0 40'000.0
6.00
30'000.0
4.00
20'000.0 2.00 0.00 02.01.2009
10'000.0 0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
CLP Holdings Ltd Holdings By:
All
Holder Name LAWRENCIUM MIKADO HO OAK CLP LAWRENCIUM HOLDINGS ACORN HOLDINGS CORP BLACKROCK VANGUARD GROUP INC CAPITAL GROUP COMPAN STATE STREET GLOBAL MATTHEWS INTERNATION PICTET ASSET MANAGEM LAKSHMI CO LTD MERLIN INVESTMENTS L BANK OF NEW YORK MEL MERLIN INVESTMENTS N INVESCO LTD MASSACHUSETTS FINANC MACQUARIE GROUP LTD MELLON GLOBAL MANAGE CREDIT SUISSE ASSET SUMITOMO MITSUI ASSE
Firm Name HSBC Goldman Sachs EVA Dimensions Sanford C. Bernstein & Co Deutsche Bank JPMorgan Mirae Asset Securities Standard Chartered Nomura Citic Securities Co., Ltd Credit Suisse Morgan Stanley DBS Vickers Bank of China International Daiwa Securities Co. Ltd. Macquarie
Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst JENNY COSGROVE FRANKLIN CHOW AUSTIN BURKETT MICHAEL W PARKER ERIC CHENG ELAINE WU RICKY NG LI EVAN DANIEL RAATS SIMON YEUNG EDWIN PANG SIMON H Y LEE JUNE NG PETER YAO DAVE DAI IVAN LEE
Source EXCH EXCH EXCH EXCH ULT-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG EXCH EXCH MF-AGG EXCH MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG
Recommendation neutral neutral/neutral hold underperform buy neutral hold in-line neutral overweight neutral restricted hold hold hold outperform
Amt Held 236'044'212 205'251'853 150'480'670 70'146'655 38'868'007 31'673'863 18'535'000 15'031'376 11'771'700 8'038'000 7'359'811 7'359'811 6'866'976 5'562'224 4'110'555 3'944'500 3'557'500 3'357'047 2'779'418 2'234'100
% Out 9.34 8.12 5.96 2.78 1.54 1.25 0.73 0.59 0.47 0.32 0.29 0.29 0.27 0.22 0.16 0.16 0.14 0.13 0.11 0.09
Weighting
Change
3 3 3 1 5 3 3 3 3 5 3 #N/A N/A 3 3 3 5
M M M M M M M M M M M M M M M M
Latest Chg 200'000 300'000 192'500 114'081 (836'443) (5'175'000) (4'500) (810'000) 3'944'500 28'500 (18'500)
Target Price 70 64 #N/A N/A 50 70 65 69 68 65 70 66 #N/A N/A 69 62 66 72
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2012 Other 31.12.2012 Other 31.12.2012 Holding Company 31.12.2012 Other 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 28.09.2012 Investment Advisor 31.10.2012 Investment Advisor 31.12.2012 Other 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 20.02.2013 Investment Advisor 31.12.2012 Investment Advisor 30.06.2011 Investment Advisor 31.12.2012 Mutual Fund Manager 28.12.2012 Mutual Fund Manager 25.09.2012 Investment Advisor
Date Not Provided 12 month Not Provided 12 month 12 month 3 month 12 month 12 month Not Provided 6 month Not Provided Not Provided 12 month Not Provided Not Provided 12 month
Date 07.02.2013 05.02.2013 15.01.2013 09.01.2013 08.01.2013 02.01.2013 13.12.2012 19.10.2012 14.10.2012 13.09.2012 31.08.2012 15.08.2012 15.08.2012 14.08.2012 14.08.2012 19.01.2012
21.02.2013
CNOOC Ltd CNOOC Limited, through its subsidiaries, explores, develops, produces, and sells crude oil and natural gas. The Group's core operation areas are Bohai, Western South China Sea, Eastern South China Sea and East China Sea in offshore China. Internationally, the Group has oil and gas assets in Asia, Africa, North America, South America and Oceania.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (21.02.2012) 52-Week Low (05.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 883 HK EQUITY YTD Change 883 HK EQUITY YTD % CHANGE
12/2011 01/yy 17.96 13.18 51'693'549.00 15.54 -13.47% 17.91% 53.14% 44'646.3 693'803.56 37'995.00 0.0 0.0 99'197.00 497'822.36
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow
31.12.2008 31.12.2009 125'977.4 105'195.1 1.95x 4.24x 65'262.9 56'272.8 3.77x 7.93x 44'375.3 29'485.6 6.44x 16.28x Profitability
31.12.2010 180'036.0 3.71x 97'993.0 6.82x 54'410.0 12.81x
31.12.2011 240'944.0 1.79x 119'044.0 3.62x 70'255.0 7.02x
120.0 M 100.0 M 80.0 M 60.0 M 40.0 M 20.0 M a-12 m-12
119'044.00 88'523.00 36.74% 38.42% 16.17% 23.71% 0.60% 48.6% 35.1% 29.2% 1.88 1.71 9.89% 14.45% 11.58 -
LTM-4Q
LTM
01/yy
01/yy -
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
.0 M f-13
FY+1 -
2.80 1.27 15'873.58 -7.65% -7.39% 1.272 34 3.706 49'774'280 65'277'180 51'872'080 FY+2
12/12 Y 12/13 Y 236'712.4 243'883.9 2.34x 2.26x 123'473.8 127'363.1 4.03x 3.91x 65'370.6 63'543.4 8.58x 8.83x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
FQ+1
FQ+2
-
-
16.12.2010 AASTABLE 76.41 42.61 -0.53 0.48 14.5% 12.6% 0.60 1.08 31.60 -
Sales/Revenue/Turnover
1.20
300'000.0
1.00
250'000.0
0.80
200'000.0
0.60
140.0 M
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 90'723.8 5.75x 49'242.7 10.59x 31'258.3 17.26x
20 18 16 14 12 10 8 6 4 2 0 f-12 m-12
150'000.0 100'000.0
0.40
50'000.0 0.20
0.0 0.00
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
CNOOC Ltd Holdings By:
All
Holder Name CHINA NATIONAL OFFSH VANGUARD GROUP INC BLACKROCK FRANKLIN RESOURCES FMR LLC THORNBURG INVESTMENT SCHRODER INVESTMENT T ROWE PRICE ASSOCIA STATE STREET GLOBAL COMMONWEALTH BANK OF OPPENHEIMERFUNDS INC JP MORGAN LAZARD ASSET MANAGEM ALLIANZ ASSET MANAGE SHINHAN BNP PARIBAS INVESCO LTD BARING ASSET MANAGEM CAPITAL GROUP COMPAN SCHRODER KOREA LTD INVESTEC ASSET MANAG
Firm Name Jefferies Sanford C. Bernstein & Co Credit Suisse Guotai Junan Standard Chartered Deutsche Bank Bank of China International DBS Vickers China International Capital Corp BNP Paribas Equity Research SWS Research Co Ltd UOB Kay Hian Mirae Asset Securities BOCOM International Holdings ICBC International Securities Morgan Stanley JPMorgan Macquarie Daiwa Securities Co. Ltd. Nomura Barclays EVA Dimensions VTB Capital Mizuho Securities Citic Securities Co., Ltd Renaissance Capital HSBC Goldman Sachs JF Apex Securities Bhd AMTD Financial Planning Limited Ji Asia Capital Securities Corp GuoSen Securities Co Ltd Industrial Securities
Portfolio Name n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios
Analyst LABAN YU NEIL BEVERIDGE DAVID HEWITT GRACE LIU DUKE SUTTIKULPANICH DAVID HURD LAWRENCE LAU WEE KEAT LEE BIN GUAN CHENG KHOO ALBERT MIAO YAN SHI GORDON KWAN WU FEI ANNA YU WEE KIAT TAN BRYNJAR EIRIK BUSTNES JAMES HUBBARD ADRIAN LOH SONIA SONG SCOTT DARLING CRAIG STERLING COLIN SMITH ANDREW S F CHAN HUANG LILI BRADLEY WAY THOMAS C HILBOLDT ARTHUR YAN TEAM COVERAGE KENNY TANG SING HING SAMUEL THAWLEY TEAM COVERAGE STEVEN LU FANG LEI
Source 20F MF-AGG ULT-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG
Recommendation underperform outperform outperform accumulate outperform hold hold buy accumulate hold outperform hold hold neutral hold Overwt/In-Line underweight outperform buy neutral overweight buy hold neutral overweight hold overweight not rated hold buy sell hold neutral buy
Amt Held 28'772'727'273 964'642'972 770'844'601 460'965'940 297'327'510 294'593'980 250'139'200 149'257'000 148'751'902 139'222'500 135'194'000 117'839'000 86'965'000 72'591'664 70'657'957 69'695'468 69'311'000 68'538'000 65'041'000 63'316'436
% Out 64.45 2.16 1.73 1.03 0.67 0.66 0.56 0.33 0.33 0.31 0.3 0.26 0.19 0.16 0.16 0.16 0.16 0.15 0.15 0.14
Weighting
Change
1 5 5 4 5 3 3 5 4 3 5 3 3 3 3 5 1 5 5 3 5 5 3 3 5 3 5 #N/A N/A 3 5 1 3 3 5
M M M M M M M U M M U M M M M M M M M M M M M D N M M M M M M M M N
Latest Chg (15'293'500) (376'000) (7'924'000) (68'926'136) (7'661'703) 7'196'000 5'623'000 (8'359'101) (2'362'000) 13'462'000 (6'537'000) 281'000 639'800 8'635'000 (29'992'907) (6'402'000) (9'337'000) (55'000)
Target Price 13 22 20 19 18 18 17 19 18 17 19 18 16 18 17 21 13 21 20 17 21 #N/A N/A 17 16 19 16 18 #N/A N/A #N/A N/A 16 10 #N/A N/A #N/A N/A #N/A N/A
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.03.2012 Government 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 31.10.2012 Bank 30.12.2012 Investment Advisor 31.12.2012 Unclassified 31.12.2012 Unclassified 31.01.2013 Investment Advisor 28.09.2012 Investment Advisor 20.02.2013 Investment Advisor 31.10.2012 Unclassified 31.12.2012 Investment Advisor 28.09.2012 Mutual Fund Manager 30.11.2012 Investment Advisor
Date 12 month 12 month Not Provided Not Provided 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month Not Provided 12 month 9 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month 6 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided Not Provided
Date 19.02.2013 19.02.2013 13.02.2013 04.02.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 17.01.2013 16.01.2013 09.01.2013 18.12.2012 30.11.2012 21.08.2012 02.08.2012 25.07.2012 24.07.2012 11.05.2012 29.03.2012 22.11.2011 20.07.2009
21.02.2013
DBS Group Holdings Ltd DBS Group Holdings Limited and its subsidiaries provide a variety of financial services. The Company's services include mortgage financing, lease and hire purchase financing, nominee and trustee, funds management, corporate advisory and brokerage . DBS Group also acts as the primary dealer in Singapore government securities.
Price/Volume 18
30.0 M
16
25.0 M
14 12
20.0 M
10
12/2012 12/yy 15.35 12.91 6'063'000.00 15.15 -1.30% 17.35% 94.26% 2'440.1 36'967.00 49'068.00 163.0 4'261.0 46'580.00 -
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
6
10.0 M
4
5.0 M
2 0 f-12 m-12
31.12.2009 31.12.2010 8'543.0 8'684.0 2'041.0 1'632.0 17.11x 20.46x Profitability
LTM-4Q 31.12.2011 9'711.0 3'035.0 8.86x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2012 11'046.0 3'809.0 9.40x 54.02% 52.89% 1.10% 12.67% 4.63% 0.03% 43.7% 13.90% 155.41% -
Price/ Cash Flow
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
LTM
12/yy 9'331.0 0.00x 0.0 0.00x 3'035.0 8.88x
12/yy 11'044.0 0.00x 0.0 0.00x 3'809.0 9.42x
FY+1
.0 M f-13
1.04 1'719.74 11.34% 2.09% 1.041 23 4.304 3'426'600 4'732'000 3'768'540 FY+2
FQ+1
FQ+2
12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 8'742.9 9'616.1 2'043.3 2'030.0 3'498.6 3'794.8 865.5 832.0 10.72x 10.29x 11.22x 11.06x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
155.4% 57.7% 0.03 7.92 -
Sales/Revenue/Turnover
9.00
14'000.0
8.00
12'000.0
7.00
10'000.0
6.00 5.00
8'000.0
4.00
6'000.0
3.00
4'000.0
2.00
2'000.0
1.00 0.00 01.01.2010
a-12 m-12
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 10'115.0 1'929.0 6.68x
15.0 M
8
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 21.02.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance DBS SP EQUITY YTD Change DBS SP EQUITY YTD % CHANGE
0.0 01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
DBS Group Holdings Ltd Holdings By:
All
Holder Name TEMASEK HOLDINGS PRI COMMONWEALTH BANK OF BLACKROCK VANGUARD GROUP INC HARBOR CAPITAL ADVIS FMR LLC MASSACHUSETTS FINANC FRANKLIN RESOURCES EASTSPRING INVESTMEN JF ASSET MANAGEMENT ING INVESTMENT MANAG T ROWE PRICE ASSOCIA TEMPLETON INVESTMENT KEPPEL CORP LTD BANK OF NEW YORK MEL MASON STREET ADVISOR MAWER INVESTMENT MAN DBS GROUP HOLDINGS L CREDIT SUISSE ASSET LAZARD GLOBAL ACTIVE
Firm Name Nomura Kim Eng Securities OSK (Asia) Securities Phillip Securities UOB Kay Hian Goldman Sachs Credit Suisse JPMorgan HSBC CIMB OCBC Investment Research China International Capital Corp TA Securities Holdings Berhad Barclays Sanford C. Bernstein & Co Standard Chartered Mizuho Securities EVA Dimensions Macquarie Daiwa Securities Co. Ltd. BNP Paribas Equity Research Morgan Stanley Deutsche Bank IIFL
Portfolio Name n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios
Analyst JULIAN CHUA DESMOND CHNG LENG SENG CHOON KEN ANG JONATHAN KOH MELISSA KUANG ANAND SWAMINATHAN HARSH WARDHAN MODI LOO KAR WENG KENNETH NG CARMEN LEE SALLY NG TEAM COVERAGE SHARNIE WONG KEVIN KWEK JAJ SINGH JIM ANTOS AUSTIN BURKETT MATTHEW SMITH SRIKANTH VADLAMANI TEAM COVERAGE NICK LORD ANDREW HILL SACHIN NIKHARE
Source ULT-AGG MF-AGG ULT-AGG MF-AGG MF-AGG ULT-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG
Recommendation buy buy neutral accumulate buy Buy/Neutral restricted overweight neutral outperform buy accumulate buy underweight outperform outperform neutral overweight outperform buy buy restricted restricted add
Amt Held 713'033'749 65'433'448 42'178'247 41'952'768 34'599'555 11'906'713 9'907'000 8'759'273 8'499'759 6'527'752 4'773'274 4'597'140 4'021'099 3'949'781 3'707'344 3'072'000 3'070'000 2'844'000 2'804'088 2'799'500
% Out 29.22 2.68 1.73 1.72 1.42 0.49 0.41 0.36 0.35 0.27 0.2 0.19 0.16 0.16 0.15 0.13 0.13 0.12 0.11 0.11
Weighting
Change
5 5 3 4 5 5 #N/A N/A 5 3 5 5 4 5 1 5 5 3 5 5 5 5 #N/A N/A #N/A N/A 4
M M M M M M M M M M M M U M M M M M U M M M M M
Latest Chg 3'000 (281'940) 80'733 648'018 (956'887) 211'000 (705'987) 754'000 (451'586) (3'624) 1'058'000 (21'000) 631'000 148'000 250'000 (2'500'000) 27'000 -
Target Price 19 18 15 16 20 17 #N/A N/A 17 16 17 16 17 18 14 18 18 16 #N/A N/A 15 17 18 #N/A N/A #N/A N/A 14
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 05.03.2012 Government 31.10.2012 Bank 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 14.09.2012 Investment Advisor 19.12.2011 Mutual Fund Manager 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.11.2012 Investment Advisor 28.02.2012 Corporation 19.02.2013 Investment Advisor 30.06.2012 Investment Advisor 30.11.2012 Investment Advisor 13.02.2013 Bank 28.12.2012 Mutual Fund Manager 31.01.2013 Investment Advisor
Date Not Provided 12 month 12 month Not Provided Not Provided 12 month Not Provided 9 month Not Provided 12 month 12 month 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided Not Provided 12 month
Date 13.02.2013 07.02.2013 07.02.2013 07.02.2013 07.02.2013 06.02.2013 06.02.2013 06.02.2013 06.02.2013 06.02.2013 06.02.2013 06.02.2013 06.02.2013 06.02.2013 04.02.2013 01.02.2013 28.01.2013 15.01.2013 21.11.2012 01.11.2012 17.08.2012 30.04.2012 02.04.2012 13.02.2012
21.02.2013
Formosa Chemicals & Fibre Corp Formosa Chemicals & Fibre Corporation manufactures and markets petrochemical products, nylon fiber, and rayon staple fiber. Formosa sells its products in Taiwan and exports to Asia.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (06.03.2012) 52-Week Low (15.11.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1326 TT EQUITY YTD Change 1326 TT EQUITY YTD % CHANGE
12/2011 09/yy 93.70 58.70 6'615'226.00 77.4 -17.40% 31.86% 54.57% 5'690.5 440'442.53 87'660.46 0.0 0.0 62'802.83 488'735.59
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
30.0 M 25.0 M 20.0 M 15.0 M 10.0 M 5.0 M
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 240'005.2 1.83x 30'856.7 14.25x 47'692.7 9.62x
100 90 80 70 60 50 40 30 20 10 0 f-12 m-12
31.12.2008 31.12.2009 249'817.5 219'729.5 1.04x 1.87x 5'495.2 24'196.4 47.30x 16.95x 6'097.6 29'439.5 36.36x 13.37x Profitability
LTM-4Q 31.12.2010 283'121.2 1.92x 37'204.1 14.63x 47'275.2 11.79x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 280'813.6 1.70x 31'920.3 14.98x 32'970.9 13.75x 31'920.31 20'748.47 7.39% 13.00% 0.38% 0.59% 0.82% 0.75% 9.8% 3.5% -0.7% 11.7% 3.77 2.30 24.00% 35.39% 13.82 9.42
Price/ Cash Flow
LTM
FY+1
.0 M f-13
1.13 1'766.43 14.85 -10.58% 3.20% 1.126 25 2.880 6'383'411 5'769'380 5'819'578 FY+2
FQ+1
FQ+2
09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 293'985.1 274'897.1 285'278.6 288'227.3 69'882.5 71'399.2 7.51x 7.14x 1.77x 1.74x 40'761.2 9'531.8 13'077.1 21'827.2 4'841.0 5'236.0 11.55x 51.96x 37.37x 22.39x 23.14x 22.20x 48'186.7 1'409.3 6'719.6 20'240.1 3'221.5 4'387.3 9.37x 317.61x 64.34x 20.78x 24.74x 23.38x S&P Issuer Ratings Long-Term Rating Date 06.05.2009 Long-Term Rating BBB+ Long-Term Outlook NEG Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. 24.17 (EBITDA-Capex)/Interest Exp. 22.73 Net Debt/EBITDA 5.07 Total Debt/EBITDA 11.72 Reference Total Debt/Equity 35.4% Total Debt/Capital 26.1% Asset Turnover 0.75 Net Fixed Asset Turnover 3.88 Accounts receivable turnover-days 26.48 Inventory Days 38.86 Accounts Payable Turnover Day 22.93 Cash Conversion Cycle 39.93 Sales/Revenue/Turnover
50.00
300'000.0
45.00
250'000.0
40.00 35.00
200'000.0
30.00
150'000.0
25.00 20.00
100'000.0
15.00 10.00
50'000.0
5.00 0.00 03.01.2009
0.0 03.07.2009
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Formosa Chemicals & Fibre Corp Holdings By:
All
Holder Name CHANG GUNG MEDICAL F CHANG GUNG MEDICAL F YUNG-TSAI WANG CHIN'S INTL INVESTME WAN SHUN INTL INVEST FORMOSA PLASTICS COR VANGUARD GROUP INC NAN YA PLASTICS CORP LIEN HE POWER DEVELO BLACKROCK CHUANG SHIH CAPITAL SINGAPORE PRIVATE CO KENTE ELETRONIC DEVE WEN-YUEN WANG FORMOSA PETROCHEMICA POLARIS SEC INVESTME BANK OF NEW YORK MEL WANG WEN-HSIANG CAPITAL GROUP COMPAN JUI-YU WANG
Firm Name
Portfolio Name n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a n/a
Analyst
HSBC DENNIS HYUNCHUL YOO Capital Securities Corp ZHAN MINGFENG KGI Securities AARON LIU Jih Sun Securities STEPHEN WAN Macquarie CORINNE JIAN EVA Dimensions CRAIG STERLING Nomura DAVID WANG President Capital Management TOM HUNG Masterlink Securities FRANK FU BNP Paribas Equity Research POR YONG LIANG Morgan Stanley LILY CHEN IBT Securities Co Ltd FILOLI TSAI E Sun Securities HONG CLIFF Goldman Sachs TOMMY WONG Yuanta Securities Investment ConsultingYVONNE TSAI Mega Securities YOU JIANHENG Deutsche Bank ALDEN LIN Barclays SIDNEY YEH Credit Suisse JEREMY CHEN Fubon Securities KERRY WU SinoPac LILY HSIAO JPMorgan SAMUEL SW LEE Grand Cathay Securities Co JUN LIAO
Source EXCH EXCH Co File Co File Co File EXCH MF-AGG EXCH Co File ULT-AGG Co File Co File Co File EXCH EXCH MF-AGG MF-AGG EXCH ULT-AGG EXCH
Recommendation neutral buy outperform buy neutral sell neutral neutral buy hold Equalwt/In-Line sell buy on weakness neutral/cautious hold neutral hold underweight neutral reduce sell Rating Suspended neutral
Amt Held 1'057'406'427 1'057'406'427 419'191'298 361'105'646 215'971'354 192'955'278 174'758'802 136'358'513 92'608'619 89'061'216 77'677'578 72'366'220 70'066'336 61'311'250 47'152'986 41'694'000 31'122'000 26'966'947 18'894'000 18'084'646
% Out 18.58 18.58 7.37 6.35 3.8 3.39 3.07 2.4 1.63 1.57 1.37 1.27 1.23 1.08 0.83 0.73 0.55 0.47 0.33 0.32
Weighting
Change
3 5 5 5 3 1 3 3 5 3 3 1 5 3 3 3 3 1 3 2 1 #N/A N/A 3
M M M M U M M M M M M N M M M M M N D M M M M
Latest Chg 6'550'000 1'055'000 (799'000) 256'000 (19'223'000) -
Target Price 85 95 90 86 74 #N/A N/A 72 78 82 66 74 #N/A N/A #N/A N/A 63 74 71 67 65 70 68 65 #N/A N/A 75
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 30.11.2012 n/a 31.10.2012 Other 20.04.2012 n/a 20.04.2012 Other 20.04.2012 n/a 30.11.2012 Corporation 31.12.2012 Investment Advisor 30.11.2012 Corporation 20.04.2012 n/a 19.02.2013 Investment Advisor 20.04.2012 Other 20.04.2012 n/a 20.04.2012 Corporation 30.11.2012 n/a 30.11.2012 Corporation 30.06.2012 Mutual Fund Manager 19.02.2013 Investment Advisor 30.11.2012 n/a 31.12.2012 Investment Advisor 30.11.2012 n/a
Date Not Provided Not Provided 12 month Not Provided 12 month Not Provided Not Provided 6 month 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided 6 month 12 month Not Provided Not Provided 6 month Not Provided Not Provided Not Provided
Date 20.02.2013 18.02.2013 18.02.2013 18.02.2013 31.01.2013 17.01.2013 15.01.2013 15.01.2013 08.01.2013 03.01.2013 26.12.2012 22.12.2012 14.12.2012 15.11.2012 05.11.2012 05.11.2012 31.10.2012 11.10.2012 08.10.2012 05.10.2012 03.09.2012 10.05.2012 23.09.2010
21.02.2013
Formosa Plastics Corp Formosa Plastics Corporation manufactures and markets plastics materials and chemical fiber products. The Company's products include PVC (Polyvinyl Chloride) resins, high density polyethylene, tairylan acrylic fiber, acrylic acid and ester, carbon fiber, caustic soda, PVC modifier, and calcium carbonate.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (21.02.2012) 52-Week Low (15.11.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1301 TT EQUITY YTD Change 1301 TT EQUITY YTD % CHANGE
12/2011 09/yy 92.30 67.40 7'917'588.00 78.2 -15.28% 16.02% 44.98% 6'120.9 478'654.75 66'559.01 0.0 0.0 63'196.36 491'144.66
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
31.12.2008 31.12.2009 182'042.2 156'969.6 1.56x 2.59x 17'430.5 21'577.5 16.28x 18.87x 19'709.5 27'533.4 12.64x 14.96x Profitability
LTM-4Q 31.12.2010 194'446.0 2.90x 36'835.0 15.30x 45'546.4 13.10x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 187'603.3 2.65x 32'857.5 15.15x 35'724.5 13.84x 32'857.50 22'548.89 12.02% 21.62% 3.71% 5.34% 4.38% 0.51% 16.9% 9.2% 4.2% 19.0% 4.27 2.57 19.66% 27.59% 14.67 10.48
Price/ Cash Flow
30.0 M 25.0 M 20.0 M 15.0 M 10.0 M 5.0 M a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
LTM
FY+1
.0 M f-13
1.03 3'274.57 11.41 -9.91% -0.51% 1.033 23 3.043 7'720'535 5'408'942 6'164'149 FY+2
FQ+1
FQ+2
09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 195'088.8 171'755.3 172'768.3 180'716.2 42'101.1 44'592.9 11.57x 11.89x 3.01x 2.86x 37'904.5 15'732.7 17'626.4 23'167.6 2'847.0 5'149.0 13.22x 33.40x 27.86x 21.20x 25.04x 22.19x 47'282.3 12'591.3 15'330.7 24'436.9 3'126.5 5'024.8 10.58x 40.77x 32.01x 18.75x 21.92x 20.20x S&P Issuer Ratings Long-Term Rating Date 06.05.2009 Long-Term Rating BBB+ Long-Term Outlook NEG Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. 31.66 (EBITDA-Capex)/Interest Exp. 28.46 Net Debt/EBITDA 0.79 Total Debt/EBITDA 4.91 Reference Total Debt/Equity 27.6% Total Debt/Capital 21.6% Asset Turnover 0.51 Net Fixed Asset Turnover 3.18 Accounts receivable turnover-days 24.96 Inventory Days 34.91 Accounts Payable Turnover Day 20.87 Cash Conversion Cycle 30.59 Sales/Revenue/Turnover
25.00
250'000.0
20.00
200'000.0
15.00
150'000.0
10.00
100'000.0
5.00
50'000.0
0.00 03.01.2009
35.0 M
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 181'606.8 2.76x 28'448.1 17.65x 47'810.6 10.90x
100 90 80 70 60 50 40 30 20 10 0 f-12 m-12
0.0 03.07.2009
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Formosa Plastics Corp Holdings By:
All
Holder Name CHANG GUNG MEDICAL F CHANG GUNG MEDICAL F FORMOSA CHEMICALS & MERRILL LYNCH SEC NAN YA PLASTICS CORP YUNG-TSAI WANG CHIN'S INTL INVESTME VANGUARD GROUP INC WAN SHUN INTL INVEST FORMOSA PETROCHEMICA BLACKROCK MING CHI UNIV OF TEC VANGUARD EMS INDEX F POLARIS SEC INVESTME CAPITAL GROUP COMPAN FMR LLC BANK OF NEW YORK MEL MIN-TING HO EASTSPRING INVESTMEN PICTET & CIE
Firm Name
Portfolio Name n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios
Analyst
HSBC DENNIS HYUNCHUL YOO KGI Securities AARON LIU Jih Sun Securities STEPHEN WAN E Sun Securities HONG CLIFF Credit Suisse JEREMY CHEN Macquarie CORINNE JIAN EVA Dimensions CRAIG STERLING Nomura DAVID WANG President Capital Management TOM HUNG Yuanta Securities Investment ConsultingYVONNE TSAI Fubon Securities KERRY WU BNP Paribas Equity Research POR YONG LIANG Mega Securities YOU JIANHENG Deutsche Bank ALDEN LIN Goldman Sachs TOMMY WONG SinoPac LILY HSIAO Barclays SIDNEY YEH Morgan Stanley LILY CHEN Capital Securities Corp TEAM COVERAGE JPMorgan SAMUEL SW LEE Grand Cathay Securities Co JUN LIAO
Source EXCH EXCH EXCH Co File EXCH Co File Co File MF-AGG Co File EXCH ULT-AGG Co File Co File MF-AGG ULT-AGG ULT-AGG MF-AGG EXCH MF-AGG MF-AGG
Recommendation underweight outperform neutral neutral outperform outperform sell buy neutral hold add hold neutral hold neutral/cautious sell equalweight Overwt/In-Line neutral Rating Suspended underperform
Amt Held 556'155'226 556'155'226 468'162'602 383'395'725 283'454'909 270'911'912 254'512'277 209'805'394 186'770'700 126'404'198 116'605'055 86'457'055 72'714'458 57'984'000 38'140'000 32'454'125 30'475'000 26'754'196 25'087'000 11'620'350
% Out 9.09 9.09 7.65 6.26 4.63 4.43 4.16 3.43 3.05 2.07 1.91 1.41 1.19 0.95 0.62 0.53 0.5 0.44 0.41 0.19
Weighting
Change
1 5 3 3 5 5 1 5 3 3 4 3 3 3 3 1 3 5 3 #N/A N/A 1
M M M M M U M M D M M M N M M M N M M M D
Latest Chg 39'499'000 1'523'000 175'000 (1'796'000) (24'926'000) (19'453'050) 256'000 (1'725'000)
Target Price 79 92 #N/A N/A #N/A N/A 97 95 #N/A N/A 90 81 77 90 72 #N/A N/A 78 70 65 73 87 80 #N/A N/A 60
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 30.11.2012 n/a 31.10.2012 Other 30.11.2012 Corporation 21.04.2012 n/a 30.11.2012 Corporation 21.04.2012 n/a 21.04.2012 Other 31.12.2012 Investment Advisor 21.04.2012 n/a 30.11.2012 Corporation 19.02.2013 Investment Advisor 21.04.2012 n/a 21.04.2012 n/a 30.06.2012 Mutual Fund Manager 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 30.11.2012 n/a 14.09.2012 Investment Advisor 31.10.2012 Mutual Fund Manager
Date Not Provided 12 month Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 6 month Not Provided 6 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month 3 month Not Provided Not Provided
Date 20.02.2013 18.02.2013 18.02.2013 06.02.2013 01.02.2013 31.01.2013 17.01.2013 15.01.2013 15.01.2013 11.01.2013 04.01.2013 03.01.2013 25.12.2012 04.12.2012 15.11.2012 19.10.2012 11.10.2012 09.07.2012 05.06.2012 10.05.2012 27.07.2010
21.02.2013
Hang Seng Bank Ltd Hang Seng Bank Limited and its subsidiaries provide banking and related financial services.
Price/Volume 140
6.0 M
120
5.0 M
100
4.0 M
80
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (14.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 11 HK EQUITY YTD Change 11 HK EQUITY YTD % CHANGE
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
2.0 M
40
1.0 M
20 0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 56'175.0 18'242.0 16.87x
3.0 M
60
12/2011 01/yy 129.00 99.20 1'388'458.00 125.8 -2.48% 26.81% 94.30% 1'911.8 240'509.83 52'432.00 0.0 0.0 157'094.00 -
31.12.2008 31.12.2009 45'434.0 36'052.0 14'099.0 13'138.0 13.80x 16.70x Profitability
31.12.2010 37'622.0 14'917.0 16.38x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 39'403.0 16'680.0 10.57x 40.40% 54.44% 1.81% 22.59% 13.39% 0.04% 47.3% 5.38% 66.58% -
Price/ Cash Flow
LTM-4Q
LTM
01/yy
01/yy -
FY+1 -
.0 M f-13
4.13 0.74 723.76 29.08% 5.98% 0.738 27 3.037 1'188'250 2'005'653 1'594'999 FY+2
FQ+1
FQ+2
12/12 Y 12/13 Y 09/12 Q3 12/12 Q4 24'408.2 26'788.6 17'376.5 19'324.0 13.71x 12.18x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
29.11.2011 AASTABLE 20.07.2005 A-1+ 66.6% 40.0% 0.04 2.42 -
Sales/Revenue/Turnover
16.00
60'000.0
14.00
50'000.0
12.00
40'000.0
10.00 8.00
30'000.0
6.00
20'000.0
4.00
10'000.0 2.00 0.00 02.01.2009
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Hang Seng Bank Ltd Holdings By:
All
Holder Name HONGKONG & SHANGHAI BLACKROCK VANGUARD GROUP INC CAPITAL GROUP COMPAN STATE STREET GLOBAL ARTISAN PARTNERS HOL ALLIANZ ASSET MANAGE FMR LLC CREDIT SUISSE ASSET BOSTON COMMON ASSET SEB DAIWA SB INVESTMENTS NEW JERSEY DIVISION INVESCO LTD BANK OF NEW YORK MEL FORTIS INVESTMENTS NIKKO ASSET MANAGEME SUMITOMO MITSUI ASSE HIRTLE CALLAGHAN & C AMUNDI LUXEMBOURG SA
Firm Name Barclays Citic Securities Co., Ltd Morgan Stanley China International Capital Corp Standard Chartered JPMorgan Bank of China International UOB Kay Hian Goldman Sachs DBS Vickers BNP Paribas Equity Research EVA Dimensions Credit Suisse Core Pacific Mizuho Securities Daiwa Securities Co. Ltd. Deutsche Bank Sanford C. Bernstein & Co Kim Eng Securities AMTD Financial Planning Limited Nomura CCB International Securities Ltd Macquarie
Portfolio Name n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios BOSTON COMMON ASSET n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst SHARNIE WONG STEVEN CHAN ANIL AGARWAL SALLY NG JOHN CAPARUSSO JOSHUA KLACZEK PATRICK PONG EDMOND LAW GURPREET SINGH SAHI ALEXANDER LEE DOMINIC CHAN AUSTIN BURKETT SANJAY JAIN TIMOTHY LI JIM ANTOS GRACE WU SOPHIA LEE MICHAEL WERNER IVAN LI KENNY TANG SING HING DAVID CHUNG ADAM CHAN ISMAEL PILI
Source Co File ULT-AGG MF-AGG ULT-AGG MF-AGG MF-AGG ULT-AGG ULT-AGG MF-AGG 13F ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG
Recommendation underweight overweight Underwt/Cautious hold in-line neutral hold buy neutral/neutral hold buy overweight neutral hold buy hold hold market perform hold buy reduce neutral underperform
Amt Held 1'188'057'371 17'048'213 13'313'457 10'560'000 6'369'869 5'882'737 3'653'800 1'758'330 1'177'983 1'136'551 1'050'546 1'037'900 785'600 746'729 668'616 632'779 562'750 562'000 545'754 528'200
% Out 62.14 0.89 0.7 0.55 0.33 0.31 0.19 0.09 0.06 0.06 0.05 0.05 0.04 0.04 0.03 0.03 0.03 0.03 0.03 0.03
Weighting
Change 1 5 1 3 3 3 3 5 3 3 5 5 3 3 5 3 3 3 3 5 2 3 1
M M M M D M M M M M M M M M U M D M D N M M M
Latest Chg 215'726 173'792 (354'493) (2'152'900) 1'898'800 (939'930) 12'300 330'900 117'200 (649'000) (448'300) (15'200) 34'154 70'000 (9'800) (50'800)
Target Price 99 135 110 114 113 120 128 134 113 123 131 #N/A N/A 99 127 134 113 124 116 120 112 80 114 90
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2011 Bank 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 31.12.2012 Investment Advisor 31.01.2013 Investment Advisor 31.12.2012 Investment Advisor 28.12.2012 Mutual Fund Manager 31.12.2012 Investment Advisor 31.12.2012 Unclassified 09.07.2012 Investment Advisor 30.06.2012 Pension Fund (ERISA) 20.02.2013 Investment Advisor 19.02.2013 Investment Advisor 30.09.2012 Mutual Fund Manager 15.06.2012 Unclassified 14.08.2012 Investment Advisor 30.09.2011 Investment Advisor 28.09.2012 Investment Advisor
Date Not Provided 6 month 12 month 12 month 12 month 9 month 12 month Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided Not Provided Not Provided 12 month
Date 21.02.2013 18.02.2013 04.02.2013 01.02.2013 31.01.2013 31.01.2013 29.01.2013 29.01.2013 21.01.2013 21.01.2013 18.01.2013 17.01.2013 09.01.2013 09.01.2013 14.12.2012 28.11.2012 08.11.2012 27.08.2012 31.07.2012 31.07.2012 30.07.2012 30.07.2012 27.06.2012
21.02.2013
Hon Hai Precision Industry Co Ltd Hon Hai Precision Industry Co., Ltd. provides electronic manufacturing services for computers, communications, and consumer electronic products. The Company's business operations include desktop and notebook PC assembly, connector production, cable assembly, PCB assembly, handset manufacturing, networking equipment, and other consumer electronic devices manufacturing.
Price/Volume 120
350.0 M 300.0 M
80
250.0 M
60
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (29.03.2012) 52-Week Low (03.08.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2317 TT EQUITY YTD Change 2317 TT EQUITY YTD % CHANGE
12/2011 09/yy 106.36 71.82 33'445'606.00 83.2 -21.78% 15.85% 37.58% 11'835.9 984'744.06 155'043.07 0.0 0.0 74'742.04 1'092'311.70
31.12.2007 1'235'581.2 1.07x 43'131.8 30.75x 77'689.5 16.36x
200.0 M 150.0 M
40
100.0 M 20
50.0 M
0 f-12 m-12 a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
400.0 M
100
31.12.2008 31.12.2009 1'473'026.3 1'420'573.1 0.34x 0.93x 37'195.4 35'084.6 13.43x 37.56x 55'133.2 75'685.1 8.63x 17.14x Profitability
LTM-4Q 31.12.2010 2'313'129.1 0.51x 45'056.3 26.12x 77'154.6 14.67x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
FY+1
.0 M f-13
1.16 9'468.26 44.47 -3.93% -6.41% 1.156 29 4.000 29'205'550 37'481'740 42'499'540 FY+2
FQ+1
FQ+2
31.12.2011 09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 2'773'311.4 ######### ######### ######### ######### 985'241.0 716'811.0 0.35x 1.62x 1.43x 41'132.9 38'991.3 50'249.2 159'245.5 191'506.5 23.49x 21.73x 23.81x 6.86x 5.70x 81'591.0 67'993.3 92'819.4 92'549.3 107'533.3 35'378.4 22'724.3 10.84x 10.68x 11.48x 10.56x 9.05x 9.07x 8.85x S&P Issuer Ratings 41'132.91 Long-Term Rating Date 09.11.2007 31'500.29 Long-Term Rating A1.14% Long-Term Outlook STABLE 3.31% Short-Term Rating Date 6.65% Short-Term Rating 16.16% Credit Ratios 13.01% EBITDA/Interest Exp. 22.51 2.26% (EBITDA-Capex)/Interest Exp. 10.72 Net Debt/EBITDA 2.14 3.9% Total Debt/EBITDA 3.02 1.6% Reference 1.3% Total Debt/Equity 26.8% 2.9% Total Debt/Capital 21.2% Asset Turnover 2.26 1.11 Net Fixed Asset Turnover 86.97 0.60 Accounts receivable turnover-days 37.57 10.15% Inventory Days 14.03 26.83% Accounts Payable Turnover Day 45.54 9.74 Cash Conversion Cycle 8.70 26.08
Price/ Cash Flow
Sales/Revenue/Turnover
450.00
3'000'000.0
400.00
2'500'000.0
350.00
2'000'000.0
300.00 250.00
1'500'000.0
200.00
1'000'000.0
150.00 100.00
500'000.0
50.00 0.00 03.01.2009
0.0 03.07.2009
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Hon Hai Precision Industry Co Ltd Holdings By:
All
Holder Name GOU TERRY VANGUARD GROUP INC BLACKROCK SAUDI ARABIAN MONETA GOVT OF SINGAPORE IN FMR LLC VANGUARD EMS INDEX F EFG BANK CHINATRUST COMM BK T ABU DHABI INVESTMENT HSIEN CHIN INTL INVE POLARIS SEC INVESTME SCHRODER INVESTMENT JUI FU INTL INVESTME SKAGEN AS LAZARD ASSET MANAGEM HSIANG-FU YOU WILLIAM BLAIR & COMP BANK OF NEW YORK MEL HARTFORD INVESTMENT
Firm Name
Portfolio Name n/a Multiple Portfolios n/a n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios #N/A N/A Multiple Portfolios n/a n/a WILLIAM BLAIR & COMP Multiple Portfolios Multiple Portfolios
Analyst
Jih Sun Securities ALVIN KUO RBS JEFFREY TODER Deutsche Bank IVY LEE Fubon Securities ARTHUR LIAO Mizuho Securities CHARLES PARK BNP Paribas Equity Research LAURA CHEN Morgan Stanley JASMINE LU Sanford C. Bernstein & Co ALBERTO MOEL President Capital Management YING-CHANG KUO Nomura EVE JUNG Daiwa Securities Co. Ltd. LU CHIA-LIN EVA Dimensions ANDREW S ZAMFOTIS Wedge Partners JUN ZHANG Yuanta Securities Investment ConsultingVINCENT CHEN E Sun Securities LIU KUAN-MING Macquarie DANIEL CHANG JPMorgan GOKUL HARIHARAN HSBC JENNY LAI Berenberg Bank ADNAAN AHMAD Credit Suisse THOMPSON WU SinoPac BAMBOO LIN Goldman Sachs LIANG-CHUN LIN Barclays KIRK YANG Capital Securities Corp JERRY WU Masterlink Securities JIMMY CHEN Ji Asia STEVE MYERS
Source EXCH MF-AGG ULT-AGG Co File ULT-AGG ULT-AGG Co File Co File Co File Co File Co File MF-AGG MF-AGG EXCH MF-AGG ULT-AGG EXCH 13F MF-AGG MF-AGG
Recommendation neutral buy buy reduce buy hold Overwt/In-Line outperform neutral buy buy overweight no rating system buy buy neutral overweight overweight hold neutral buy neutral/neutral overweight neutral hold sell
Amt Held 1'473'989'536 510'387'709 277'625'139 272'197'766 213'675'970 209'475'803 182'275'330 179'470'183 124'034'680 119'029'555 116'176'670 111'390'070 98'079'813 56'536'398 55'220'000 52'523'926 36'643'284 33'518'162 27'353'161 27'234'128
% Out 12.45 4.31 2.35 2.3 1.81 1.77 1.54 1.52 1.05 1.01 0.98 0.94 0.83 0.48 0.47 0.44 0.31 0.28 0.23 0.23
Weighting
Change
3 5 5 2 5 3 5 5 3 5 5 5 #N/A N/A 5 5 3 5 5 3 3 5 3 5 3 3 1
M M M M M M M M D M M M N M M D M M M M M M M M D M
Latest Chg 1'140'100 (7'590'335) (13'723'688) (8'271'230) (1'261'398) (38'280'000) 30'000 (531'999) (4'723'000) (24'908'081)
Target Price #N/A N/A 110 107 76 100 90 111 109 100 120 127 #N/A N/A #N/A N/A 104 #N/A N/A 90 120 130 73 100 107 81 113 85 106 78
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 30.11.2012 n/a 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 20.04.2012 Government 20.04.2012 Government 31.12.2012 Investment Advisor 20.04.2012 n/a 20.04.2012 Investment Advisor 20.04.2012 n/a 20.04.2012 Government 20.04.2012 Other 30.06.2012 Mutual Fund Manager 31.12.2012 Investment Advisor 31.10.2012 Corporation 31.01.2013 Mutual Fund Manager 31.12.2012 Unclassified 30.11.2012 n/a 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor
Date Not Provided 12 month 12 month 6 month 12 month 12 month 12 month 12 month 6 month Not Provided Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 3 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided 3 month 3 month 12 month
Date 19.02.2013 06.02.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 24.01.2013 24.01.2013 24.01.2013 17.01.2013 16.01.2013 15.01.2013 14.01.2013 10.01.2013 14.12.2012 13.12.2012 10.12.2012 10.12.2012 29.11.2012 14.11.2012 14.11.2012 13.11.2012 13.11.2012 26.10.2012 05.09.2012 14.03.2012
21.02.2013
Hong Kong & China Gas Co Ltd Hong Kong and China Gas Company Limited produces, distributes, and markets gas and gas appliances to residential and industrial customers through its Towngas brand name. The Company's subsidiaries develop gas projects in China and develop and manage commercial properties.
Price/Volume 25
30.0 M
20
25.0 M 20.0 M
15
15.0 M
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (13.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 3 HK EQUITY YTD Change 3 HK EQUITY YTD % CHANGE
10
12/2011 01/yy 22.50 16.02 8'790'078.00 21.55 -4.22% 34.52% 93.06% 8'690.6 187'282.63 27'297.30 0.0 4'748.1 12'049.20 211'608.03
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
5.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
.0 M f-13
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 14'225.5 10.38x 5'850.0 25.24x 9'269.6 15.62x
10.0 M
5
31.12.2008 31.12.2009 12'352.2 12'351.8 6.59x 11.27x 4'376.3 4'713.5 18.61x 29.54x 4'302.5 5'275.1 18.14x 24.78x Profitability
31.12.2010 19'375.4 7.55x 5'853.2 25.00x 5'584.8 23.55x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 22'426.8 7.23x 7'089.3 22.88x 6'149.6 23.14x 7'089.30 5'778.30 25.77% 35.98% 8.35% 17.26% 11.44% 0.29% 30.5% 24.7% 27.4% 1.49 1.11 32.08% 65.64% 10.23 -
Price/ Cash Flow
LTM-4Q
LTM
01/yy
01/yy -
FY+1 -
1.53 0.57 5'059.41 27.97% 1.89% 0.573 22 2.682 6'141'825 6'111'133 5'589'053 FY+2
12/12 Y 12/13 Y 26'046.2 29'394.7 7.93x 6.99x 8'532.6 9'368.1 24.80x 22.59x 6'860.6 7'452.9 26.38x 24.63x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
FQ+1
FQ+2
-
-
23.07.2008 A+ STABLE 7.58 2.62 2.61 4.07 65.6% 37.1% 0.29 0.71 35.78 -
Sales/Revenue/Turnover
35.00
25'000.0
30.00
20'000.0
25.00
15'000.0
20.00 15.00
10'000.0
10.00
5'000.0 5.00 0.00 02.01.2009
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Hong Kong & China Gas Co Ltd Holdings By:
All
Holder Name DISRALEI INVESTMENT MACROSTAR INVESTMENT MEDLEY INVESTMENT LT COMMONWEALTH BANK OF FIRST STATE INVEST I FIRST STATE INVESTME FU SANG CO LTD CAPITAL GROUP COMPAN BLACKROCK VANGUARD GROUP INC STATE STREET GLOBAL BANK OF NEW YORK MEL PO LI KWOK COLONIAL FIRST STATE LAZARD GLOBAL ACTIVE MATTHEWS INTERNATION FIRST STATE INVEST S MELLON GLOBAL MANAGE SKANDIA GLOBAL FUNDS CREDIT SUISSE ASSET
Firm Name Morgan Stanley Standard Chartered Sanford C. Bernstein & Co EVA Dimensions UOB Kay Hian Deutsche Bank JPMorgan HSBC Goldman Sachs BOCOM International Holdings Nomura Mirae Asset Securities Citic Securities Co., Ltd Credit Suisse Bank of China International DBS Vickers Jefferies AMTD Financial Planning Limited First Shanghai Securities Ltd Macquarie
Portfolio Name n/a n/a n/a Multiple Portfolios n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst VINCENT CHOW DENNIS IP MICHAEL W PARKER AUSTIN BURKETT YAN SHI ERIC CHENG ELAINE WU JENNY COSGROVE FRANKLIN CHOW WU FEI DANIEL RAATS RICKY NG SIMON YEUNG EDWIN PANG PETER YAO WEE KEAT LEE JOSEPH FONG KENNY TANG SING HING ZHANG ZHIBIN IVAN LEE
Source EXCH EXCH EXCH MF-AGG EXCH EXCH EXCH ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG EXCH EXCH MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG
Recommendation Equalwt/In-Line in-line underperform underweight hold hold neutral overweight Sell/Neutral neutral reduce hold hold underperform hold hold hold buy hold neutral
Amt Held 1'866'620'696 818'958'299 779'849'202 378'398'804 185'636'643 164'189'657 129'613'455 118'721'539 109'551'877 94'554'576 43'433'012 26'617'982 24'224'200 24'107'698 18'162'677 15'805'739 14'611'345 12'561'739 9'898'791 8'004'047
% Out 21.48 9.42 8.97 4.35 2.14 1.89 1.49 1.37 1.26 1.09 0.5 0.31 0.28 0.28 0.21 0.18 0.17 0.14 0.11 0.09
Weighting
Change 3 3 1 1 3 3 3 5 1 3 2 3 3 1 3 3 3 5 3 3
M M M M M M M M M N M D M M M M M N N M
Latest Chg 6'870'000 195'000 1'386'302 (2'416'630) 772'000 (3'395'000) 1'284'000 (1'939'000) 82'000
Target Price 20 20 14 #N/A N/A 23 17 19 23 18 16 17 21 18 17 18 20 18 18 18 18
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 21.06.2012 21.06.2012 21.06.2012 31.10.2012 07.06.2012 07.06.2012 21.06.2012 31.12.2012 19.02.2013 31.12.2012 30.06.2012 19.02.2013 21.06.2012 07.06.2012 31.01.2013 28.09.2012 07.06.2012 31.12.2012 31.12.2012 28.12.2012
Date 12 month 12 month 12 month Not Provided Not Provided 12 month 3 month Not Provided 12 month 12 month Not Provided 12 month 6 month Not Provided Not Provided 12 month 12 month Not Provided 12 month 12 month
Inst Type Other Other Other Bank Mutual Fund Manager Investment Advisor Other Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor n/a Investment Advisor Investment Advisor Investment Advisor Mutual Fund Manager Mutual Fund Manager Mutual Fund Manager Mutual Fund Manager
Date 20.02.2013 25.01.2013 23.01.2013 17.01.2013 16.01.2013 08.01.2013 02.01.2013 22.11.2012 07.11.2012 25.10.2012 14.10.2012 11.10.2012 13.09.2012 03.09.2012 22.08.2012 22.08.2012 21.08.2012 26.07.2012 21.03.2012 19.01.2012
21.02.2013
Hong Kong Exchanges and Clearing Ltd Hong Kong Exchanges & Clearing Limited owns and operates the stock exchange, futures exchange, and their related clearing houses in Hong Kong. The Company provides the trading platforms for a range of cash and derivatives products and the facilities for processing trades.
Price/Volume 160
25.0 M
140
20.0 M
120 100
Latest Fiscal Year: LTM as of: 52-Week High (17.01.2013) 52-Week Low (26.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 388 HK EQUITY YTD Change 388 HK EQUITY YTD % CHANGE
12/2011 09/yy 150.70 100.00 6'321'268.00 142.5 -5.44% 42.50% 88.56% 1'149.8 163'847.66 0.00 0.0 0.0 45'238.00 117'714.65
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
31.12.2008 31.12.2009 6'090.4 5'996.7 4.13x 19.77x 4'898.8 5'023.2 5.14x 23.60x 5'128.6 4'704.0 15.40x 31.83x Profitability
40
5.0 M
20 0 f-12 m-12
LTM-4Q 31.12.2010 6'639.0 23.11x 5'126.0 29.93x 5'037.0 37.67x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 6'870.0 12.88x 5'602.0 15.80x 5'093.0 26.24x 5'602.00 5'512.00 80.23% 87.80% 9.41% 51.91% 51.91% 0.13% 79.0% 77.5% 74.1% 1.17 1.16 0.00% 0.00% 1.10 -
Price/ Cash Flow
09/yy 7'324.0 66.64x 6'078.0 10.02x 5'380.0 22.94x
a-12 m-12
j-12
j-12
LTM 09/yy 6'045.0 56.75x 4'631.0 17.42x 4'492.0 28.11x
a-12
s-12
o-12
n-12
d-12
j-13
FY+1
.0 M f-13
2.76 1.22 1'085.42 0.66% 8.04% 1.217 25 2.760 2'756'709 4'652'705 5'387'581 FY+2
FQ+1
FQ+2
12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 7'205.0 8'697.2 1'831.5 21.04x 17.18x 5'083.4 6'428.9 23.16x 18.31x 4'270.3 5'244.9 969.0 1'096.0 36.58x 30.66x 33.93x 32.83x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
-8.00 0.00 0.0% 0.0% 0.13 6.60 333.38 -
Sales/Revenue/Turnover
45.00
8'000.0
40.00
7'000.0
35.00
6'000.0
30.00
5'000.0
25.00
4'000.0
20.00
3'000.0
15.00
2'000.0
10.00
1'000.0
5.00 0.00 02.01.2009
10.0 M
60
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 6'658.2 33.80x 5'804.8 38.77x 6'169.3 38.27x
15.0 M
80
Valuation Analysis
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Hong Kong Exchanges and Clearing Ltd Holdings By:
All
Holder Name BLACKROCK HONG KONG SAR THORNBURG INVESTMENT DEUTSCHE BANK AG VANGUARD GROUP INC DEUTSCHE BANK AG OPPENHEIMERFUNDS INC FMR LLC STATE STREET GLOBAL MATTHEWS INTERNATION LAZARD GLOBAL ACTIVE FIDELITY INVESTMENTS GAM INTERNATIONAL MA ABERDEEN CHINA SOUTHERN FUND INVESCO LTD MAPS INVESTMENT MANA CREDIT SUISSE ASSET PRUDENTIAL FINANCIAL TRANSAMERICA INVESTM
Firm Name
Portfolio Name n/a n/a Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios
Analyst
Mizuho Securities JIM ANTOS Core Pacific TIMOTHY LI CCB International Securities Ltd KENNETH YUE Credit Suisse ARJAN VAN VEEN DBS Vickers ALEXANDER LEE Goldman Sachs GURPREET SINGH SAHI JPMorgan HARSH WARDHAN MODI UOB Kay Hian EDMOND LAW BOCOM International Holdings LI SHANSHAN EVA Dimensions AUSTIN BURKETT Macquarie MATTHEW SMITH Daiwa Securities Co. Ltd. JONAS KAN Morgan Stanley ANIL AGARWAL HSBC YORK PUN Kim Eng Securities IVAN LI OSK (Asia) Securities TEAM COVERAGE China International Capital Corp MAO JUNHUA JF Apex Securities Bhd TEAM COVERAGE BNP Paribas Equity Research DOMINIC CHAN Citic Securities Co., Ltd STEVEN CHAN AM Capital Ltd TEAM COVERAGE AMTD Financial Planning Limited KENNY TANG SING HING Yuanta Securities Investment ConsultingTEAM COVERAGE Deutsche Bank TRACY YU
Source ULT-AGG Co File MF-AGG Short MF-AGG EXCH MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG
Recommendation neutral hold neutral neutral buy Sell/Neutral neutral hold neutral hold underperform outperform Underwt/Cautious overweight hold sell hold neutral buy sell buy buy Under Review not rated
Amt Held % Out 68'218'576 5.93 62'919'500 5.47 30'228'994 2.63 (27'150'266) -2.36 24'227'959 2.11 22'987'978 2 22'586'158 1.96 14'723'852 1.28 8'545'319 0.74 6'060'100 0.53 3'567'000 0.31 3'553'000 0.31 3'114'877 0.27 2'440'000 0.21 1'834'229 0.16 1'769'300 0.15 1'725'600 0.15 1'595'956 0.14 1'346'174 0.12 1'247'035 0.11
Weighting 3 3 3 3 5 1 3 3 3 3 1 5 1 5 3 1 3 3 5 1 5 5 #N/A N/A #N/A N/A
Change U M M U M M D M M M M M M M M M M M M M N M M M
Latest Chg (2'073'234) 1'569'061 860'329 (3'093'006) (469'110) 65'800 416'700 1'704'100 1'725'600 30'000 1'321 42'482
Target Price 158 141 159 140 170 126 150 151 132 #N/A N/A 100 160 85 150 120 112 112 135 150 116 200 126 #N/A N/A #N/A N/A
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 19.02.2013 Investment Advisor 31.12.2011 Government 31.12.2012 Investment Advisor 28.12.2012 Investment Advisor 31.12.2012 Investment Advisor 28.12.2012 Investment Advisor 30.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 28.09.2012 Investment Advisor 31.01.2013 Investment Advisor 31.12.2010 Mutual Fund Manager 31.12.2012 Investment Advisor 31.12.2012 Unclassified 30.06.2012 Investment Advisor 20.02.2013 Investment Advisor 28.09.2012 Mutual Fund Manager 28.12.2012 Mutual Fund Manager 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor
Date 12 month 12 month Not Provided Not Provided 12 month 12 month 9 month Not Provided Not Provided Not Provided 12 month Not Provided 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month 6 month Not Provided Not Provided Not Provided Not Provided
Date 21.02.2013 18.02.2013 15.02.2013 07.02.2013 22.01.2013 20.01.2013 20.01.2013 17.01.2013 17.01.2013 15.01.2013 11.01.2013 11.01.2013 04.12.2012 03.12.2012 30.11.2012 30.11.2012 08.11.2012 08.11.2012 07.11.2012 07.11.2012 31.10.2012 10.10.2011 05.09.2011 05.05.2011
21.02.2013
Hutchison Whampoa Ltd Hutchison Whampoa Limited is a diversified company. The Company, through its subsidiaries, operates businesses including ports and related services, telecommunications and e-commerce, property and hotels, retail and manufacturing, energy, infrastructure, finance and investments.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (05.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 13 HK EQUITY YTD Change 13 HK EQUITY YTD % CHANGE
12/2011 01/yy 88.00 61.80 6'330'060.00 85.3 -3.07% 38.03% 95.42% 4'263.4 363'665.53 225'056.00 0.0 39'171.0 66'539.00 563'243.54
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
31.12.2008 31.12.2009 235'478.0 208'808.0 1.75x 2.14x 37'450.0 28'911.0 10.99x 15.44x 12'681.0 13'631.0 13.08x 16.69x Profitability
31.12.2010 209'180.0 2.66x 35'622.0 15.65x 20'179.0 16.91x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 233'700.0 2.03x 34'601.0 13.73x 56'019.0 4.95x 34'601.00 20'521.00 8.78% 32.07% 2.70% 5.43% 5.51% 0.32% 60.2% 15.3% 9.5% 24.0% 1.33 0.83 31.23% 62.58% 10.65 5.11
Price/ Cash Flow
20.0 M 15.0 M 10.0 M 5.0 M
a-12 m-12
LTM-4Q
LTM
01/yy
01/yy -
j-12
j-12
a-12
s-12
o-12
n-12
d-12
.0 M f-13
j-13
FY+1 -
2.44 1.04 2'001.51 13.06% 5.44% 1.045 16 4.625 5'499'202 6'390'077 5'827'546 FY+2
12/12 Y 12/13 Y 242'910.3 260'240.8 2.26x 2.11x 43'766.7 48'899.5 12.87x 11.52x 23'437.4 27'335.9 15.90x 13.69x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
FQ+1
FQ+2
-
-
09.11.2010 ASTABLE 4.08 1.12 4.32 6.95 62.6% 36.1% 0.32 1.12 34.37 71.60 79.27 17.07
Sales/Revenue/Turnover
25.00
250'000.0
20.00
200'000.0
15.00
150'000.0
10.00
100'000.0
5.00
50'000.0
0.00 02.01.2009
25.0 M
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 218'726.0 2.91x 53'244.0 11.97x 30'600.0 12.32x
100 90 80 70 60 50 40 30 20 10 0 f-12 m-12
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Hutchison Whampoa Ltd Holdings By:
All
Holder Name CONTINENTAL REALTY L WINBO POWER LIMITED POLYCOURT LIMITED WELL KARIN LIMITED JP MORGAN HARVESTIME HOLDINGS ORIENTAL TIME INVEST HARROWGATE INVESTMEN KAM CHIN INVESTMENT TOP WIN INVESTMENT L RICHLAND REALTY LIMI MIRABOLE LIMITED BLACKROCK VANGUARD GROUP INC HISLOP RESOURCES LIM VISION CITY INTERNAT WHITE RAIN ENTERPRIS GOOD ENERGY LIMITED MASTER GRADE INVESTM FUMANDA LIMITED
Firm Name Credit Suisse Morgan Stanley Jefferies Guotai Junan HSBC EVA Dimensions Nomura Goldman Sachs AMTD Financial Planning Limited JPMorgan Standard Chartered Deutsche Bank
Portfolio Name n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a n/a n/a n/a
Analyst CUSSON LEUNG PRAVEEN K CHOUDHARY JULIAN BU JASON SONG MARK CARMERON ROSS WEBB CRAIG STERLING BENJAMIN LO SIMON CHEUNG KENNY TANG SING HING LUCY LIU JOHN Y F CHAN KAREN TANG
Source EXCH EXCH EXCH EXCH ULT-AGG EXCH EXCH EXCH EXCH EXCH EXCH EXCH ULT-AGG MF-AGG EXCH EXCH EXCH EXCH EXCH EXCH
Recommendation outperform Overwt/In-Line hold buy overweight hold buy Buy/Neutral buy overweight outperform buy
Amt Held 465'265'969 236'260'200 233'065'641 226'969'600 199'499'667 165'000'000 122'774'850 114'748'675 108'231'279 106'912'458 75'242'950 49'593'500 45'584'560 43'343'261 43'193'700 42'344'000 41'926'500 39'565'900 39'327'000 37'851'000
% Out 10.91 5.54 5.47 5.32 4.68 3.87 2.88 2.69 2.54 2.51 1.76 1.16 1.07 1.02 1.01 0.99 0.98 0.93 0.92 0.89
Weighting
Change 5 5 3 5 5 3 5 5 5 5 5 5
M U M M M M M M M N M M
Latest Chg 31'000 (4'585'424) 4'501'915 -
Target Price 106 94 75 99 101 #N/A N/A 96 96 85 85 87 82
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 16.07.2012 16.07.2012 16.07.2012 16.07.2012 08.01.2013 16.07.2012 16.07.2012 16.07.2012 16.07.2012 16.07.2012 16.07.2012 16.07.2012 19.02.2013 31.12.2012 16.07.2012 16.07.2012 16.07.2012 16.07.2012 16.07.2012 16.07.2012
Date Not Provided 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month 12 month
Inst Type Corporation Corporation Other Other Unclassified Holding Company Investment Advisor Investment Advisor Investment Advisor Investment Advisor Corporation Other Investment Advisor Investment Advisor Corporation Other Other Corporation Other Other
Date 20.02.2013 17.02.2013 04.02.2013 29.01.2013 21.01.2013 17.01.2013 10.01.2013 04.01.2013 13.12.2012 29.08.2012 03.08.2012 17.05.2012
21.02.2013
Hyundai Heavy Industries Co Ltd Hyundai Heavy Industries Co., Ltd. builds ships for commercial, and military purposes. The Company manufactures oil tankers, cargo and passenger vessels, and warships. Hyundai Heavy Industries also produces heavy industrial machineries, wind turbines, solar panels, electrical components for engines and power trains, and industrial vehicles, such as cranes and bulldozers.
Price/Volume 400000 350000 300000 250000 200000
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (02.03.2012) 52-Week Low (23.11.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 009540 KP EQUITY YTD Change 009540 KP EQUITY YTD % CHANGE
12/2012 12/yy 346'500.00 193'500.00 271'803.00 222500 -35.79% 14.99% 17.97% 76.0 16'910'000.00 3'962'673.00 0.0 0.0 627'317.75 21'668'128.31
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
100000 50000 0 f-12 m-12 a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12 d-12
j-13
Market Data
Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 19'957'080.9 0.48x 2'596'964.1 3.66x 2'256'664.8 5.34x
150000
31.12.2009 31.12.2010 21'142'196.7 22'408'120.0 0.50x 1.34x 2'666'205.3 4'031'444.7 4.00x 7.43x 2'146'488.8 2'835'399.0 4.86x 9.51x Profitability
LTM-4Q 31.12.2011 25'019'604.0 0.76x 3'116'212.7 6.12x 1'945'941.6 8.09x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
FY+1
1.80 1.34 40.00 -30.40% -8.06% 1.335 40 4.450 349'995 239'365 239'011 FY+2
FQ+1
FQ+2
31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 25'086'000.0 ######### ######### ######### ######### 4.12x 2.57x - ######### ######### 6.13x 0.00x - ######### ######### ######### ######### 8.09x 0.00x 7.06x S&P Issuer Ratings 3'116'212.68 Long-Term Rating Date 2'612'841.90 Long-Term Rating 10.44% Long-Term Outlook 10.12% Short-Term Rating Date 6.65% Short-Term Rating 14.00% Credit Ratios 11.67% EBITDA/Interest Exp. 0.86% (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA 15.4% Total Debt/EBITDA 12.5% Reference 10.4% Total Debt/Equity 7.8% Total Debt/Capital Asset Turnover 0.83 Net Fixed Asset Turnover 0.44 Accounts receivable turnover-days 13.24% Inventory Days 26.92% Accounts Payable Turnover Day 4.23 Cash Conversion Cycle 8.05
Price/ Cash Flow
1.0 M .9 M .8 M .7 M .6 M .5 M .4 M .3 M .2 M .1 M .0 M f-13
22.29 17.20 1.07 1.27 26.9% 21.2% 0.86 3.13 86.37 45.33 130.22 1.47
Sales/Revenue/Turnover
50.00
30'000'000.0
45.00
25'000'000.0
40.00 35.00
20'000'000.0
30.00
15'000'000.0
25.00 20.00
10'000'000.0
15.00 10.00
5'000'000.0
5.00 0.00 03.01.2010
0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Hyundai Heavy Industries Co Ltd Holdings By:
All
Holder Name HYUNDAI HEAVY INDUST MONG-JOON CHUNG HYUNDAI MIPO DOCKYAR NATIONAL PENSION SER MIRAE ASSET GLOBAL I KCC CORP VANGUARD GROUP INC EMPLOYEE STOCK OWNER BLACKROCK SAMSUNG INVESTMENT T KB ASSET MANAGEMENT JF ASSET MANAGEMENT KOREA INVESTMENT TRU UBS HANA ASSET MANAG KYOBO AXA INVESTMENT DIMENSIONAL FUND ADV FMR LLC SHINHAN BNP PARIBAS JP MORGAN NH-CA ASSET MANAGEME
Firm Name
Portfolio Name n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios
Analyst
Credit Suisse HENRY KWON Hanwha Securities Co., Ltd DONG-IK JEONG CIMB KJ HWANG Mirae Asset Securities CHUNG WOO CHANG LIG Investment Securities CHOI GWANG-SHIK Deutsche Bank SANJEEV RANA Daewoo Securities SUNG KI-JONG Daishin Securities Co., Ltd. JEON JAE-CHEON NH Investment & Securities LEE YOONSANG HMC Investment Securities Co Ltd DONG-EUN YEOM Shinhan Investment Corp KIM HYUN Tong Yang Investment Bank LEE JAE-WON JPMorgan LEE SOKJE KTB Securities LEE KANG-ROK KB Investment & Securities Co., Ltd LEE SANG-WON E*Trade Securities Korea PARK MOO-HYUN Morgan Stanley PARK SANG-KYOO Daiwa Securities Co. Ltd. CHUNG SUNG-YOP Nomura ANGELA HONG BNP Paribas Equity Research JAMES HIE SUK YOON Meritz Securities Co., Ltd KIM SEUNG CHURL KIWOOM Securities Co Ltd CHOI WON-KYUNG HSBC PAUL CHOI EVA Dimensions CRAIG STERLING Hana Daetoo Securities SANG-WOO LEE Hyundai Securities LEE SANG-HWA IBK Securities Co Ltd SHIM WON-SUP HI Investment Securities HUR SUNG DUCK Korea Investment & Securities RICHARD PARK Dongbu Securities Co Ltd KIM HONG-GYUN SK Securities Co Ltd LEE JI-HOON Eugene Investment & Securities Co., LtdMOON-SOO JANG Kyobo Securities OH SEAN Samsung Securities YOUNGSOO HAN Shinyoung Securities Co., Ltd. UM KYUNG-A Woori Investment & Securities JAE-HUN YU Macquarie LEE JUWON BS Securities Co Ltd KWAK MIN-JUNG Ji Asia TONY MOYER
Source Co File EXCH EXCH EXCH Co File EXCH MF-AGG Co File ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG ULT-AGG MF-AGG
Recommendation neutral buy outperform buy buy hold buy buy buy buy buy buy neutral buy buy buy Overwt/Attractive hold neutral buy buy outperform neutral underweight buy market perform buy buy neutral buy buy hold buy buy buy buy outperform buy sell
Amt Held 14'711'560 7'717'769 6'063'000 3'860'321 3'247'376 2'369'393 2'190'652 1'258'281 1'070'955 464'763 236'770 233'835 199'423 184'548 168'541 155'401 135'668 135'447 126'524 114'020
% Out 19.36 10.15 7.98 5.08 4.27 3.12 2.88 1.66 1.41 0.61 0.31 0.31 0.26 0.24 0.22 0.2 0.18 0.18 0.17 0.15
Weighting
Change 3 5 5 5 5 3 5 5 5 5 5 5 3 5 5 5 5 3 3 5 5 5 3 1 5 3 5 5 3 5 5 3 5 5 5 5 5 5 1
M M N U M D M M M M M M M M M M M M M M M M M M M D M M M M M N M M M M M M M
Latest Chg 618'458 (2'739'670) (7'482) 191 50'648 76'958 74'033 (186'863) 26'395 (6'937) (388'248) 12'241 16'784 14'006
Target Price 216'000 260'000 264'000 265'000 440'000 210'000 260'000 250'000 250'000 270'000 240'000 250'000 280'000 260'000 396'000 270'000 281'000 200'000 260'000 290'000 265'000 250'000 240'000 #N/A N/A 317'000 220'000 290'000 310'000 #N/A N/A 390'000 290'000 251'000 300'000 290'000 300'000 330'000 290'000 400'000 209'500
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 31.12.2011 24.02.2012 24.02.2012 09.08.2011 31.12.2011 13.01.2012 31.12.2012 31.12.2011 19.02.2013 28.09.2012 28.09.2012 30.09.2011 28.09.2012 28.09.2012 28.09.2012 31.07.2012 31.12.2012 28.09.2012 31.10.2012 28.09.2012
Date Not Provided 6 month 12 month 12 month 12 month 12 month 12 month 6 month 6 month 6 month 12 month 12 month 3 month 12 month 12 month 12 month 12 month Not Provided Not Provided 12 month 6 month 6 month Not Provided Not Provided 12 month Not Provided 12 month 6 month Not Provided 12 month 6 month 12 month 6 month 12 month 12 month 12 month 12 month 6 month 12 month
Inst Type Corporation n/a Corporation Investment Advisor Investment Advisor Corporation Investment Advisor n/a Investment Advisor Investment Advisor Mutual Fund Manager Mutual Fund Manager Investment Advisor Mutual Fund Manager Mutual Fund Manager Investment Advisor Investment Advisor Investment Advisor Unclassified Mutual Fund Manager
Date 18.02.2013 18.02.2013 14.02.2013 12.02.2013 12.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 07.02.2013 07.02.2013 07.02.2013 06.02.2013 31.01.2013 23.01.2013 22.01.2013 17.01.2013 13.01.2013 09.01.2013 03.01.2013 22.12.2012 30.11.2012 27.11.2012 07.11.2012 29.10.2012 26.10.2012 24.09.2012 17.09.2012 17.09.2012 14.08.2012 07.05.2012 29.11.2011
21.02.2013
Hyundai Mobis Hyundai Mobis manufactures and markets automotive parts and equipment, such as automotive service components, modules, and systems. The Company also contracts environmental projects, including sewage treatment plant and industrial waste water treatment plant construction.
Price/Volume 350000
1.2 M
300000
1.0 M
250000
.8 M
200000
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (17.09.2012) 52-Week Low (14.01.2013) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 012330 KP EQUITY YTD Change 012330 KP EQUITY YTD % CHANGE
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
.4 M
100000
.2 M
50000 0 f-12 m-12 a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12 d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 9'373'390.0 0.49x 1'325'678.0 3.45x 1'089'995.0 4.96x
.6 M
150000
12/2012 12/yy 325'000.00 250'500.00 182'312.00 307500 -5.38% 22.75% 73.83% 97.3 29'933'238.00 1'810'896.00 127.0 0.0 2'396'260.00 28'136'652.87
31.12.2009 31.12.2010 10'633'020.0 13'695'717.0 1.50x 1.92x 1'652'601.0 2'160'724.0 9.62x 12.15x 1'615'220.0 1'628'807.0 9.60x 16.66x Profitability
LTM-4Q 31.12.2011 15'886'201.0 1.72x 2'316'807.0 11.79x 1'742'742.0 15.99x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
FY+1
.0 M f-13
0.57 1.03 59.97 11.01% 6.77% 1.026 44 4.955 165'896 287'282 272'764 FY+2
FQ+1
FQ+2
31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 16'865'693.7 ######### ######### ######### 8.00x 4.71x 1.08x - ######### ######### ######### 11.79x 0.00x 8.40x 2'251'251.8 ######### ######### ######### 15.99x 0.00x 8.66x 9.46x 15.16x S&P Issuer Ratings 2'316'807.00 Long-Term Rating Date 20.03.2012 2'312'365.94 Long-Term Rating BBB+ 13.71% Long-Term Outlook STABLE 14.42% Short-Term Rating Date 11.30% Short-Term Rating 16.60% Credit Ratios 14.63% EBITDA/Interest Exp. 59.08 1.03% (EBITDA-Capex)/Interest Exp. 51.18 Net Debt/EBITDA -0.25 19.9% Total Debt/EBITDA 0.78 14.6% Reference 13.7% Total Debt/Equity 16.1% 13.3% Total Debt/Capital 13.8% Asset Turnover 1.03 1.62 Net Fixed Asset Turnover 9.00 1.42 Accounts receivable turnover-days 82.42 10.96% Inventory Days 21.55 16.06% Accounts Payable Turnover Day 54.16 4.43 Cash Conversion Cycle 49.82 16.94
Price/ Cash Flow
Sales/Revenue/Turnover
25.00
18'000'000.0 16'000'000.0
20.00
14'000'000.0 12'000'000.0
15.00
10'000'000.0 8'000'000.0
10.00
6'000'000.0 4'000'000.0
5.00
2'000'000.0 0.00 03.01.2010
0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Hyundai Mobis Holdings By:
All
Holder Name KIA MOTORS CORP ALLIANCE BERNSTEIN NATIONAL PENSION SER MONG-KOO CHUNG CAPITAL GROUP COMPAN HYUNDAI STEEL CO VANGUARD GROUP INC HYUNDAI MOBIS BLACKROCK T ROWE PRICE ASSOCIA LAZARD ASSET MANAGEM INVESCO LTD KOREA INVESTMENT TRU SAMSUNG INVESTMENT T FMR LLC SCHRODER INVESTMENT JP MORGAN MIRAE ASSET GLOBAL I MATTHEWS INTERNATION KB ASSET MANAGEMENT
Firm Name
Portfolio Name n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst
Woori Investment & Securities CHO SOO-HONG Credit Suisse HENRY KWON Dongbu Securities Co Ltd YIM EUN-YOUNG KTB Securities NAM KYEONG MOON Taurus Investment Securities Co Ltd YANG HEE-JOON Goldman Sachs SEUNG SHIN Hanwha Securities Co., Ltd KIM YEON-CHAN Shinhan Investment Corp CHOI JUNGHYUK HSBC PAUL CHOI Standard Chartered DAVID KIM Daewoo Securities PARK YOUNG HO NH Investment & Securities LEE SANG-HYUN HMC Investment Securities Co Ltd LEE MYUNG-HOON Tong Yang Investment Bank AHN SANG JUN Macquarie MICHAEL SOHN KB Investment & Securities Co., Ltd SHIN CHUNG-KWAN Kyobo Securities DONG-HA KIM KIWOOM Securities Co Ltd LEE HYUN-SOO Mirae Asset Securities YOON-KI KIM E*Trade Securities Korea KANG SANG-MIN IBK Securities Co Ltd SAE-HWAN AHN LIG Investment Securities IN-WOO PARK Morgan Stanley PARK SANG-KYOO Samsung Securities YOON PIL JOONG JPMorgan PARK WAN SUN Daiwa Securities Co. Ltd. CHUNG SUNG-YOP HI Investment Securities KOH TAE-BONG Nomura ANGELA HONG Hana Daetoo Securities SONG SUN-JAE Barclays PAUL HWANG EVA Dimensions CRAIG STERLING Hyundai Securities CHAE HEE-GUEN Shinyoung Securities Co., Ltd. HYUNG-SIL LEE Deutsche Bank SANJEEV RANA BNP Paribas Equity Research JAMES HIE SUK YOON Korea Investment & Securities SUH SUNGMOON SK Securities Co Ltd KIM YONG-SOO Golden Bridge Investment & Securities KIM SEUNG-HWAN BS Securities Co Ltd CHOI DAE-SIK Daishin Securities Co., Ltd. CHUNG TAEOH DBS Vickers JAY KIM Hanyang Securities KIM YEON-WOO
Source EXCH ULT-AGG EXCH EXCH ULT-AGG EXCH MF-AGG EXCH ULT-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG
Recommendation buy outperform buy buy buy neutral/neutral buy buy overweight outperform buy buy buy buy outperform buy buy buy buy buy buy buy Overwt/Attractive buy overweight buy buy buy buy overweight overweight buy buy buy buy buy buy buy buy buy buy buy
Amt Held 16'427'074 6'903'539 6'827'430 6'778'966 6'434'194 5'504'846 3'993'909 1'806'615 1'754'137 1'258'180 1'123'492 632'223 631'795 592'952 533'348 450'007 363'022 336'731 331'697 318'883
% Out 16.88 7.09 7.01 6.96 6.61 5.66 4.1 1.86 1.8 1.29 1.15 0.65 0.65 0.61 0.55 0.46 0.37 0.35 0.34 0.33
Weighting
Change 5 5 5 5 5 3 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5
M M M M M D N M M U M M M M M M M M M M M M M M M U M M M M M M M M M M M M N M M M
Latest Chg 989'681 11'853 (10'144) 1'157 159'775 678 (88'397) 77'045 68'597 (679'947) 44'162 (75'228) 62'450 (12'548) 10'242
Target Price 370'000 405'000 400'000 370'000 370'000 291'000 400'000 365'000 350'000 364'000 355'000 380'000 400'000 360'000 390'000 420'000 390'000 390'000 410'000 360'000 400'000 390'000 391'000 370'000 320'000 340'000 400'000 390'000 360'000 348'000 #N/A N/A 320'000 400'000 345'000 410'000 400'000 380'000 393'000 370'000 370'000 370'000 450'000
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 24.08.2012 Corporation 31.12.2011 Investment Advisor 30.11.2012 Investment Advisor 24.08.2012 n/a 31.12.2012 Investment Advisor 24.08.2012 Corporation 31.12.2012 Investment Advisor 27.04.2012 Corporation 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Unclassified 20.02.2013 Investment Advisor 28.09.2012 Investment Advisor 28.09.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Unclassified 28.09.2012 Investment Advisor 28.09.2012 Investment Advisor 28.09.2012 Mutual Fund Manager
Date 12 month Not Provided 12 month 12 month 6 month 12 month 6 month 12 month Not Provided 12 month 12 month 6 month 6 month 12 month 12 month 12 month 6 month 6 month 12 month 12 month Not Provided 12 month 12 month 12 month 9 month Not Provided 6 month Not Provided 12 month Not Provided Not Provided Not Provided 12 month 12 month 12 month 12 month 6 month 6 month 6 month 6 month 12 month 6 month
Date 18.02.2013 18.02.2013 12.02.2013 12.02.2013 12.02.2013 07.02.2013 07.02.2013 06.02.2013 03.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 17.01.2013 16.01.2013 14.01.2013 05.01.2013 26.10.2012 11.10.2012 30.07.2012 25.06.2012 02.05.2012 16.03.2012 30.01.2012 31.10.2011
21.02.2013
Hyundai Motor Co Hyundai Motor Company manufactures, sells, and exports passenger cars, trucks, and commercial vehicles. The Company also sells various auto parts and operates auto repair service centers throughout South Korea. Hyundai Motor provides financial services through its subsidiaries.
Price/Volume 300000 250000 200000 150000
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (02.05.2012) 52-Week Low (28.01.2013) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 005380 KP EQUITY YTD Change 005380 KP EQUITY YTD % CHANGE
12/2012 09/yy 272'500.00 195'000.00 411'442.00 216000 -20.73% 10.77% 28.39% 220.3 47'579'720.00 3'945'391.00 331'011.0 0.0 10'087'560.00 38'253'674.46
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
50000 0 f-12 m-12 a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12 d-12
j-13
Market Data
Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 32'189'786.0 0.20x 3'221'449.0 2.05x 1'447'904.0 7.42x
100000
31.12.2009 31.12.2010 31'859'327.0 36'761'115.0 0.64x 0.86x 3'649'386.0 4'833'935.0 5.60x 6.54x 2'961'509.0 3'476'238.0 11.11x 13.55x Profitability
LTM-4Q 31.12.2011 42'774'077.0 0.91x 6'242'388.0 6.21x 4'740'886.0 12.20x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2012 6'242'388.00 4'684'413.00 10.95% 13.72% 10.01% 15.35% 14.50% 0.90% 25.3% 14.6% 11.0% 11.1% 1.45 1.22 7.85% 12.26% 10.61 18.40
Price/ Cash Flow
5.0 M 4.5 M 4.0 M 3.5 M 3.0 M 2.5 M 2.0 M 1.5 M 1.0 M .5 M .0 M f-13
LTM
FY+1
0.81 1.10 136.94 -3.82% -1.14% 1.100 48 4.833 463'301 693'511 663'254 FY+2
FQ+1
FQ+2
09/yy 09/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 ######### ######### ######### ######### ######### ######### 3.74x 3.76x 0.61x 0.67x ######### ######### ######### ######### 7.04x 6.63x 5.53x 5.18x ######### ######### ######### ######### ######### ######### 12.32x 12.78x 5.87x 5.47x S&P Issuer Ratings Long-Term Rating Date 20.03.2012 Long-Term Rating BBB+ Long-Term Outlook STABLE Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. 21.78 (EBITDA-Capex)/Interest Exp. 16.80 Net Debt/EBITDA -0.98 Total Debt/EBITDA 0.63 Reference Total Debt/Equity 12.3% Total Debt/Capital 10.8% Asset Turnover 0.90 Net Fixed Asset Turnover 3.50 Accounts receivable turnover-days 34.39 Inventory Days 19.83 Accounts Payable Turnover Day 41.89 Cash Conversion Cycle 12.34 Sales/Revenue/Turnover
14.00
45'000'000.0
12.00
40'000'000.0 35'000'000.0
10.00
30'000'000.0
8.00
25'000'000.0
6.00
20'000'000.0 15'000'000.0
4.00
10'000'000.0
2.00 0.00 04.01.2009
5'000'000.0 0.0 04.07.2009
04.01.2010
04.07.2010
04.01.2011
04.07.2011
04.01.2012
04.07.2012
04.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Hyundai Motor Co Holdings By:
All
Holder Name HYUNDAI MOBIS NATIONAL PENSION SER MIRAE ASSET GLOBAL I MONG-KOO CHUNG HYUNDAI MOTOR CO VANGUARD GROUP INC BLACKROCK CAPITAL GROUP COMPAN FMR LLC WADDELL & REED FINAN SAMSUNG INVESTMENT T MAPS INVESTMENT MANA SCHRODER INVESTMENT T ROWE PRICE ASSOCIA WILLIAM BLAIR & COMP THORNBURG INVESTMENT KOREA INVESTMENT TRU HARTFORD INVESTMENT UBS HANA ASSET MANAG DIMENSIONAL FUND ADV
Firm Name
Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios WILLIAM BLAIR & COMP Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst
Hyundai Securities CHAE HEE-GUEN Eugene Investment & Securities Co., LtdMOON-SOO JANG Shinyoung Securities Co., Ltd. HYUNG-SIL LEE KB Investment & Securities Co., Ltd SHIN CHUNG-KWAN Woori Investment & Securities CHO SOO-HONG Credit Suisse HENRY KWON HMC Investment Securities Co Ltd LEE MYUNG-HOON E*Trade Securities Korea KANG SANG-MIN Dongbu Securities Co Ltd YIM EUN-YOUNG KTB Securities NAM KYEONG MOON Kyobo Securities DONG-HA KIM HSBC PAUL CHOI Samsung Securities YOON PIL JOONG Ji Asia STEPHEN USHER IBK Securities Co Ltd SAE-HWAN AHN Goldman Sachs SEUNG SHIN Standard Chartered DAVID KIM Deutsche Bank SANJEEV RANA Daewoo Securities PARK YOUNG HO Daishin Securities Co., Ltd. CHUNG TAEOH NH Investment & Securities LEE SANG-HYUN Shinhan Investment Corp CHOI JUNGHYUK Tong Yang Investment Bank AHN SANG JUN Macquarie MICHAEL SOHN Hanwha Securities Co., Ltd KIM YEON-CHAN KIWOOM Securities Co Ltd LEE HYUN-SOO Mirae Asset Securities YOON-KI KIM Barclays PAUL HWANG LIG Investment Securities IN-WOO PARK Morgan Stanley PARK SANG-KYOO Korea Investment & Securities SUH SUNGMOON JPMorgan PARK WAN SUN BNP Paribas Equity Research JAMES HIE SUK YOON HI Investment Securities KOH TAE-BONG Nomura ANGELA HONG Hana Daetoo Securities SONG SUN-JAE EVA Dimensions CRAIG STERLING Daiwa Securities Co. Ltd. CHUNG SUNG-YOP Taurus Investment Securities Co Ltd YANG HEE-JOON SK Securities Co Ltd KIM YONG-SOO Riedel Research Group Inc DAVID R RIEDEL Golden Bridge Investment & Securities KIM SEUNG-HWAN Hanyang Securities KIM YEON-WOO
Source EXCH Co File EXCH EXCH Co File MF-AGG ULT-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG 13F MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation buy buy buy buy buy outperform buy buy buy buy buy neutral buy buy buy Buy/Neutral in-line buy buy buy buy buy buy outperform buy buy buy equalweight buy Overwt/Attractive buy overweight buy buy buy buy hold buy buy buy buy buy buy
Amt Held 45'782'023 14'873'261 13'054'486 11'408'874 11'006'710 8'296'224 4'671'849 4'588'802 3'847'881 3'643'100 2'076'357 1'797'719 1'550'511 1'364'038 1'232'719 1'083'402 951'365 847'050 709'750 663'568
% Out 20.78 6.75 5.93 5.18 5 3.77 2.12 2.08 1.75 1.65 0.94 0.82 0.7 0.62 0.56 0.49 0.43 0.38 0.32 0.3
Weighting
Change 5 5 5 5 5 5 5 5 5 5 5 3 5 5 5 5 3 5 5 5 5 5 5 5 5 5 5 3 5 5 5 5 5 5 5 5 3 5 5 5 5 5 5
M M M M M M M M M M M M M U M M M M M M M M M M M M M M M M N M M M M M M M M M N M M
Latest Chg (2'548'444) 150'272 76'244 (225'800) (246'285) 941'000 137'993 (35'886) 33'508 215'747 124'875 (395'900) 244'748 239'318 (20'486) -
Target Price 245'000 300'000 300'000 330'000 270'000 254'500 350'500 330'000 280'000 250'000 300'000 230'000 265'000 250'000 270'000 232'000 227'000 275'000 271'000 270'000 290'000 310'000 300'000 260'000 265'000 310'000 290'000 270'000 290'000 295'000 320'000 290'000 280'000 350'000 290'000 290'000 #N/A N/A 290'000 257'000 320'000 330'000 300'000 320'000
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 20.03.2012 Corporation 31.12.2011 Investment Advisor 29.01.2010 Investment Advisor 20.03.2012 n/a 31.12.2011 Corporation 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 28.09.2012 Investment Advisor 28.09.2012 Mutual Fund Manager 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 28.09.2012 Investment Advisor 31.12.2012 Investment Advisor 28.09.2012 Mutual Fund Manager 31.07.2012 Investment Advisor
Date Not Provided 12 month 12 month 12 month 12 month Not Provided 6 month 12 month 12 month 12 month 12 month Not Provided 12 month 12 month 12 month 12 month 12 month 12 month 12 month 6 month 6 month 12 month 12 month 12 month 6 month 6 month 12 month Not Provided 12 month 12 month 12 month 9 month 12 month 6 month Not Provided 12 month Not Provided Not Provided 6 month 6 month Not Provided 6 month 6 month
Date 20.02.2013 20.02.2013 20.02.2013 19.02.2013 18.02.2013 18.02.2013 15.02.2013 15.02.2013 12.02.2013 12.02.2013 04.02.2013 03.02.2013 01.02.2013 01.02.2013 28.01.2013 27.01.2013 26.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 24.01.2013 24.01.2013 24.01.2013 24.01.2013 24.01.2013 24.01.2013 24.01.2013 17.01.2013 14.01.2013 07.01.2013 02.11.2012 29.10.2012 01.08.2012 15.05.2012
21.02.2013
Industrial & Commercial Bank of China Ltd Industrial and Commercial Bank of China Ltd provides a broad range of personal and corporate commercial banking services all over China. The Bank's businesses include deposit, loan, credit card, fund underwriting and trust, and foreign currency settlement and trading.
Price/Volume 7
4500.0 M
6
4000.0 M 3500.0 M
5
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (23.01.2013) 52-Week Low (12.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1398 HK EQUITY YTD Change 1398 HK EQUITY YTD % CHANGE
12/2011 09/yy 6.00 3.97 316'927'498.00 5.55 -7.50% 39.80% 83.74% 86'794.1 1'846'996.25 1'923'778.00 0.0 1'081.0 3'589'595.00 -
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
2500.0 M
3
2000.0 M 1500.0 M
2
1000.0 M
1
500.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 391'906.0 81'520.0 33.88x
3000.0 M
4
31.12.2008 31.12.2009 469'928.0 470'638.0 110'841.0 128'645.0 10.73x 13.95x Profitability
LTM-4Q 31.12.2010 544'045.0 165'156.0 8.83x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 704'382.0 208'265.0 7.07x 56.24% 57.02% 1.39% 23.68% 7.52% 0.05% 43.6% 12.43% 201.08% -
Price/ Cash Flow
LTM
FY+1
.0 M f-13
4.55 1.32 71'813.63 4.41% 0.91% 1.318 38 4.632 ######### ######### ######### FY+2
FQ+1
FQ+2
09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 659'566.0 818'407.0 531'827.5 581'124.6 0.00x 0.00x 0.0 0.0 0.00x 0.00x 201'780.0 230'027.0 230'020.0 242'593.3 49'742.0 6.92x 5.71x 6.78x 6.48x S&P Issuer Ratings Long-Term Rating Date 09.12.2010 Long-Term Rating A Long-Term Outlook STABLE Short-Term Rating Date 09.12.2010 Short-Term Rating A-1 Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity 201.1% Total Debt/Capital 66.8% Asset Turnover 0.05 Net Fixed Asset Turnover 5.91 Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle Sales/Revenue/Turnover
35.00
800'000.0
30.00
700'000.0 600'000.0
25.00
500'000.0 20.00
400'000.0 15.00
300'000.0
10.00
200'000.0
5.00
100'000.0
0.00 02.01.2009
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Industrial & Commercial Bank of China Ltd Holdings By:
All
Holder Name SOCIAL SECURITY FUND BLACKROCK JP MORGAN CAPITAL GROUP COMPAN TEMASEK HOLDINGS PRI VANGUARD GROUP INC GOLDMAN SACHS GROUP NOMURA FMR LLC THORNBURG INVESTMENT SCHRODER INVESTMENT STATE STREET GLOBAL INVESCO LTD HANG SENG INVESTMENT BARING ASSET MANAGEM PICTET & CIE SHINHAN BNP PARIBAS BANK OF NEW YORK MEL ALLIANZ ASSET MANAGE MAPS INVESTMENT MANA
Firm Name Jefferies Sanford C. Bernstein & Co JPMorgan Credit Suisse UOB Kay Hian BOCOM International Holdings Core Pacific Kim Eng Securities CCB International Securities Ltd Daiwa Securities Co. Ltd. Mizuho Securities Nomura CIMB EVA Dimensions Religare Capital Markets Deutsche Bank Barclays Macquarie Standard Chartered ABC International HSBC China International Capital Corp Mirae Asset Securities BNP Paribas Equity Research Bank of China International DBS Vickers Morgan Stanley SWS Research Co Ltd AMTD Financial Planning Limited Goldman Sachs Masterlink Securities Citic Securities Co., Ltd Guotai Junan Capital Securities Corp Phillip Securities ICBC International Securities KGI Securities
Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios
Analyst TAN MING MICHAEL WERNER KATHERINE LEI SANJAY JAIN EDMOND LAW LI SHANSHAN TIMOTHY LI IVAN LI SHENG NAN GRACE WU JIM ANTOS LUCY FENG TREVOR KALCIC AUSTIN BURKETT SOPHIE JIANG TRACY YU MAY YAN VICTOR WANG JOHN CAPARUSSO JOHANNES AU TODD DUNIVANT MAO JUNHUA NAN LI DORRIS CHEN SUN PENG ALEXANDER LEE RICHARD XU ROBERT HU KENNY TANG SING HING NING MA RAINY YUAN ZHU YAN WILSON LI TEAM COVERAGE CHEN XINGYU IVAN LIN MICHELLE CHEN
Source EXCH ULT-AGG ULT-AGG ULT-AGG ULT-AGG MF-AGG Research ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG
Recommendation buy outperform overweight outperform buy neutral buy buy outperform buy buy buy outperform buy buy buy overweight outperform outperform buy overweight buy buy buy hold buy Overwt/In-Line neutral buy Buy/Neutral hold overweight buy buy buy buy outperform
Amt Held % Out 10'405'376'524 11.99 7'257'415'496 8.36 5'944'681'181 6.85 5'548'480'670 6.39 4'575'047'470 5.27 3'467'139'127 3.99 2'977'315'246 3.43 (1'409'631'606) -1.62 1'364'049'165 1.57 698'369'797 0.8 572'437'010 0.66 542'210'582 0.62 411'549'901 0.47 382'117'592 0.44 367'197'655 0.42 306'761'935 0.35 268'458'776 0.31 261'121'965 0.3 243'574'280 0.28 208'952'472 0.24
Weighting
Change 5 5 5 5 5 3 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 3 5 5 3 5 5 3 5 5 5 5 5 5
M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M U M M M M
Latest Chg (33'976'000) 3'691'000 (5'376'000) (24'709'000) (1'350'000'000) 160'000 (171'348'148) 49'190'408 (89'434'000) (30'176'185) (31'878'504) (309'000) 3'666'000 78'371'000 (2'675'008) 33'545'000 17'488'000
Target Price 6 7 7 7 7 6 7 6 7 7 7 7 7 #N/A N/A 6 7 6 7 6 6 7 6 6 6 5 6 6 6 5 6 6 #N/A N/A 6 6 6 7 6
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 13.12.2012 Government 19.02.2013 Investment Advisor 12.11.2012 Unclassified 31.12.2012 Investment Advisor 30.05.2012 Government 31.12.2012 Investment Advisor 28.01.2013 Investment Advisor 15.10.2012 Unclassified 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 20.02.2013 Investment Advisor 30.06.2012 Investment Advisor 31.10.2012 Unclassified 31.10.2012 Mutual Fund Manager 28.09.2012 Investment Advisor 19.02.2013 Investment Advisor 31.01.2013 Investment Advisor 28.09.2012 Mutual Fund Manager
Date 12 month 12 month 9 month Not Provided Not Provided 12 month Not Provided 12 month Not Provided Not Provided 12 month Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided 33 month 12 month Not Provided Not Provided 12 month 6 month Not Provided Not Provided Not Provided 12 month Not Provided 12 month
Date 20.02.2013 20.02.2013 19.02.2013 14.02.2013 08.02.2013 06.02.2013 05.02.2013 29.01.2013 24.01.2013 22.01.2013 21.01.2013 21.01.2013 18.01.2013 17.01.2013 11.01.2013 07.01.2013 18.12.2012 17.12.2012 13.12.2012 07.12.2012 26.11.2012 20.11.2012 20.11.2012 07.11.2012 31.10.2012 31.10.2012 30.10.2012 29.10.2012 12.10.2012 11.10.2012 06.07.2012 29.06.2012 11.05.2012 30.03.2012 09.10.2011 23.04.2010 30.03.2010
21.02.2013
Jardine Matheson Holdings Ltd Jardine Matheson Holdings Limited is a multinational enterprise with a portfolio of businesses focused on the Asia-Pacific region. The Group's activities include financial services, supermarkets, consumer marketing, engineering and construction, automobile trading, insurance broking, property investment, and hotels.
Price/Volume 70
1.2 M
60
1.0 M
50
.8 M
40
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (28.01.2013) 52-Week Low (05.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 21.02.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance JM SP EQUITY YTD Change JM SP EQUITY YTD % CHANGE
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
.4 M
20
.2 M
10 0 f-12
m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
.0 M f-13
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 19'445.0 0.78x 2'246.0 6.73x 1'828.0 5.37x
.6 M
30
12/2011 01/yy 66.25 47.40 346'400.00 62.6 -5.51% 32.07% 82.76% 670.6 41'977.36 10'067.00 0.0 22'906.0 4'190.00 72'611.36
31.12.2008 31.12.2009 22'362.0 22'501.0 0.56x 1.29x 2'227.0 2'923.0 5.59x 9.95x 666.0 1'731.0 9.79x 6.20x Profitability
31.12.2010 30'053.0 1.29x 4'430.0 8.78x 3'084.0 5.13x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 37'967.0 1.21x 4'690.0 9.77x 3'449.0 4.94x 4'690.00 3'776.00 9.95% 24.99% 3.49% 12.45% 11.31% 0.69% 22.6% 22.7% 20.3% 9.1% 1.40 0.94 17.27% 61.55% 6.59 6.76
Price/ Cash Flow
LTM-4Q
LTM
01/yy
01/yy -
FY+1 -
0.96 245.81 23.27% 0.97% 0.956 10 3.600 354'640 343'173 287'721 FY+2
12/12 Y 12/13 Y 40'862.9 46'047.8 1.71x 1.49x 5'137.5 5'767.6 14.13x 12.59x 1'556.6 1'761.9 14.71x 13.09x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
FQ+1
FQ+2
-
-
20.94 14.83 0.80 1.24 61.5% 20.4% 0.69 1.39 55.52 54.11 81.23 22.51
Sales/Revenue/Turnover
12.00
40'000.0 35'000.0
10.00
30'000.0 8.00
25'000.0 20'000.0
6.00
15'000.0
4.00
10'000.0 2.00 0.00 02.01.2009
5'000.0 0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Jardine Matheson Holdings Ltd Holdings By:
All
Holder Name JARDINE STRATEGIC HO 1947 TRUST CAPITAL GROUP COMPAN KESWICK HENRY SCHRODER INVESTMENT FRANKLIN RESOURCES VANGUARD GROUP INC FIRST EAGLE INVESTME WEATHERALL PERCY FMR LLC KESWICK SIMON L COMMONWEALTH BANK OF CHARLES KESWICK PHIL WINTERGREEN ADVISERS T ROWE PRICE ASSOCIA KESWICK BENJAMIN WIL SARASIN JP MORGAN NIGHTINGALE ANTHONY LEACH CHARLES GUY RO
Firm Name HSBC EVA Dimensions Credit Suisse Nomura Goldman Sachs JPMorgan Morgan Stanley
Portfolio Name n/a n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a n/a n/a n/a n/a
Analyst MARK CARMERON ROSS WEBB CRAIG STERLING GERALD WONG BENJAMIN LO SIMON CHEUNG ADITYA SRINATH XIN JIN LING
Source Co File Co File ULT-AGG Co File MF-AGG ULT-AGG MF-AGG MF-AGG Co File ULT-AGG Co File MF-AGG Co File MF-AGG MF-AGG Co File ULT-AGG ULT-AGG Co File Co File
Recommendation neutral sell outperform buy neutral/neutral overweight Equalwt/In-Line
Amt Held 363'682'341 35'915'991 16'522'000 10'294'325 6'526'176 4'592'426 4'565'506 4'170'650 4'131'388 3'480'078 2'830'998 2'796'080 2'764'142 2'522'195 2'432'800 2'376'841 1'653'760 1'587'885 1'099'060 1'087'325
% Out 54.24 5.36 2.46 1.54 0.97 0.68 0.68 0.62 0.62 0.52 0.42 0.42 0.41 0.38 0.36 0.35 0.25 0.24 0.16 0.16
Weighting
Change 3 1 5 5 3 5 3
D M M M M M M
Latest Chg 332'000 595'402 (48'000) (54'020) 23'200 182'621 28'800 167'200 11'730 34'400 -
Target Price 68 #N/A N/A 73 70 60 67 52
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 22.03.2012 Holding Company 22.03.2012 n/a 31.12.2012 Investment Advisor 22.03.2012 n/a 31.10.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.09.2012 Hedge Fund Manager 22.03.2012 n/a 31.12.2012 Investment Advisor 22.03.2012 n/a 31.10.2012 Bank 22.03.2012 n/a 30.09.2012 Hedge Fund Manager 31.12.2012 Investment Advisor 22.03.2012 n/a 28.12.2012 Unclassified 31.12.2012 Unclassified 22.03.2012 n/a 22.03.2012 n/a
Date Not Provided Not Provided Not Provided Not Provided 12 month 3 month 12 month
Date 24.01.2013 15.01.2013 14.01.2013 14.01.2013 04.01.2013 13.11.2012 29.07.2012
21.02.2013
KB Financial Group Inc KB Financial Group Inc. (the "Company"), in accordance with Financial Holding Companies Act, was established on September 29, 2008, through stock transfer with the former shareholders of its subsidiaries including Kookmin Bank in order to provide management services and financing to associated companies. The headquarters are located at Seoul, Korea
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (22.03.2012) 52-Week Low (25.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 105560 KP EQUITY YTD Change 105560 KP EQUITY YTD % CHANGE
12/2012 12/yy 44'500.00 32'500.00 1'600'853.00 38500 -13.48% 18.46% 51.67% 386.4 14'874'540.00 179'988.00 0.0 14'775'573.18
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
31.12.2009 31.12.2010 696'562.0 131'459.0 34.26x 599'907.0 95'109.0 39.78x 539'818.0 41'575.0 35.99x 495.87x Profitability
LTM-4Q 31.12.2011 26'999.0 (19'210.0) (63'678.0) -
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2012 646'235.5 -19'210.00 -241.58% -0.34% -0.36% -0.35% 0.00% -71.2% -235.9% 0.97% 1.02% -
Price/ Cash Flow
LTM
12/yy 12/yy 26'999.0 692'650.0 2183.95x 22.00x (19'210.0) 660'843.0 0.00x 0.00x (63'678.0) 646'235.0 0.00x 0.00x
20.0 M 15.0 M 10.0 M 5.0 M
j-12
j-12
a-12
s-12
o-12
n-12 d-12
.0 M f-13
j-13
1.87 1.21 351.07 -5.41% 1.58% 1.214 43 4.581 6'106'942 1'930'182 1'578'548
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
-
-9.37 1.0% 1.0% 0.00 28.91 -
Sales/Revenue/Turnover
800.00
800'000.0
700.00
700'000.0
600.00
600'000.0
500.00
500'000.0
400.00
400'000.0
300.00
300'000.0
200.00
200'000.0
100.00
100'000.0
0.00 03.01.2010
25.0 M
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 635'268.0 20.05x 616'576.0 20.66x 611'927.0 15.79x
50000 45000 40000 35000 30000 25000 20000 15000 10000 5000 0 f-12 m-12 a-12 m-12
0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
KB Financial Group Inc Holdings By:
All
Holder Name CITIBANK NA NATIONAL PENSION SER FRANKLIN RESOURCES BLACKROCK VANGUARD GROUP INC LAZARD ASSET MANAGEM SAMSUNG INVESTMENT T DIMENSIONAL FUND ADV EMPLOYEE STOCK OWNER FMR LLC KOREA INVESTMENT TRU JF ASSET MANAGEMENT KB ASSET MANAGEMENT CAPITAL GROUP COMPAN KYOBO AXA INVESTMENT MIRAE ASSET GLOBAL I BANK OF NEW YORK MEL ALLIANCE BERNSTEIN ROBECO INVESTOR SERV JP MORGAN
Firm Name
Portfolio Name n/a n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a
Analyst
Woori Investment & Securities JASON CHOI KTB Securities OH JIN-WON BNP Paribas Equity Research MICHELLE CHO Daishin Securities Co., Ltd. CHOI JUNG-WOOK Credit Suisse GIL HYUNG KIM Mirae Asset Securities HEATHER KANG HI Investment Securities YOO SANG-HO Daewoo Securities TAYE SHIM NH Investment & Securities KIM EUN-GAB Dongbu Securities Co Ltd LEE BYUNG-GUN Korea Investment & Securities LEE JOANNE Samsung Securities JAEWOO KIM Shinhan Investment Corp KIM SOO-HYUN SEAN JPMorgan SCOTT YH SEO Hanwha Securities Co., Ltd KYU-SUN SHIM IBK Securities Co Ltd PARK JIN-HYOENG HSBC SINYOUNG PARK Nomura MICHAEL NA Standard Chartered JUSTIN KIM KIWOOM Securities Co Ltd SEO YOUNG-SOO Macquarie CHAN HWANG Shinyoung Securities Co., Ltd. IM IL-SUNG LIG Investment Securities SOHN JOON-BEUM EVA Dimensions AUSTIN BURKETT Hana Daetoo Securities HAN JEONG-TAE Barclays HA SUN MOK Eugene Investment & Securities Co., LtdKIM IN Deutsche Bank JEE HOON PARK Taurus Investment Securities Co Ltd LEE CHANG-WOOK E*Trade Securities Korea HA HAKSOO Daiwa Securities Co. Ltd. ANDERSON CHA Tong Yang Investment Bank SUNG BYUNG-SOO Morgan Stanley JOON SEOK Meritz Securities Co., Ltd JUN JAE-GON Hyundai Securities KOO KYUNG-HWE HMC Investment Securities Co Ltd SEUNG-JOON LEE SK Securities Co Ltd BAE JUNG-HYUN Goldman Sachs STAN LEE Kyobo Securities HWANG SEOK-KYU
Source Co File EXCH ULT-AGG ULT-AGG MF-AGG ULT-AGG MF-AGG MF-AGG Co File ULT-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG ULT-AGG
Recommendation buy buy hold buy outperform buy buy buy market perform hold buy hold buy overweight buy buy overweight buy outperform outperform outperform buy buy buy buy overweight hold hold buy market perform buy buy Equalwt/In-Line buy buy buy buy Buy/Neutral buy
Amt Held 33'653'277 31'817'770 28'260'026 9'276'476 8'612'133 8'449'020 3'955'573 3'780'711 3'404'834 3'086'115 2'738'559 2'323'200 2'253'679 1'870'000 1'209'031 1'154'167 1'111'300 1'100'295 1'018'262 872'935
% Out 8.71 8.24 7.31 2.4 2.23 2.19 1.02 0.98 0.88 0.8 0.71 0.6 0.58 0.48 0.31 0.3 0.29 0.28 0.26 0.23
Weighting
Change 5 5 3 5 5 5 5 5 3 3 5 3 5 5 5 5 5 5 5 5 5 5 5 5 5 5 3 3 5 3 5 5 3 5 5 5 5 5 5
M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M N M M M M M
Latest Chg 3'922'890 (81'170) 4'040 (293'682) 20'600 (340'194) 917'902 369'849 315'047 315'064 26'883 (892'451) 3'090 (108'123) 906 44'280
Target Price 48'000 47'000 39'400 49'000 48'000 46'000 49'000 53'000 #N/A N/A 44'200 57'000 46'000 50'000 48'000 50'700 48'000 43'000 47'000 48'000 44'000 47'000 49'000 51'000 #N/A N/A 50'000 47'000 40'000 41'000 44'500 39'000 50'000 45'000 39'000 52'000 55'000 52'000 55'000 50'000 57'500
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2011 Bank 01.08.2012 Investment Advisor 15.01.2013 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Unclassified 28.09.2012 Investment Advisor 31.07.2012 Investment Advisor 31.12.2011 n/a 31.12.2012 Investment Advisor 28.09.2012 Investment Advisor 30.09.2011 Mutual Fund Manager 28.09.2012 Mutual Fund Manager 31.12.2012 Investment Advisor 28.09.2012 Mutual Fund Manager 28.09.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Unclassified
Date 12 month 12 month 12 month 6 month Not Provided 12 month 6 month 12 month Not Provided 12 month 12 month 12 month 12 month 9 month 6 month Not Provided Not Provided Not Provided 12 month 6 month 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month 6 month 12 month Not Provided 12 month 12 month 6 month 6 month 6 month 6 month 12 month 6 month
Date 18.02.2013 18.02.2013 18.02.2013 15.02.2013 15.02.2013 15.02.2013 12.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 07.02.2013 07.02.2013 23.01.2013 22.01.2013 21.01.2013 16.01.2013 16.01.2013 15.01.2013 14.01.2013 11.01.2013 10.01.2013 08.01.2013 24.12.2012 21.12.2012 06.12.2012 28.11.2012 18.11.2012 29.10.2012 29.10.2012 29.10.2012 29.10.2012 26.10.2012 02.04.2012
21.02.2013
Keppel Corp Ltd Keppel Corporation Limited's core businesses are offshore and marine, infrastructure, property investment and development, telecommunications and transportation, energy, and engineering.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (20.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 21.02.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance KEP SP EQUITY YTD Change KEP SP EQUITY YTD % CHANGE
12/2012 12/yy 11.74 9.57 5'602'000.00 11.66 -0.68% 21.84% 98.62% 1'798.4 20'969.16 7'207.90 0.0 4'332.2 4'472.28 28'036.95
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
14.0 M
12
12.0 M
10
10.0 M
8
8.0 M
6
6.0 M
4
4.0 M
2
2.0 M
0 f-12 m-12
31.12.2009 31.12.2010 12'240.6 9'133.4 1.17x 2.40x 1'723.4 1'716.1 8.31x 12.80x 1'625.1 1'511.1 8.07x 15.24x Profitability
LTM-4Q 31.12.2011 10'041.5 2.34x 2'064.5 11.40x 1'840.5 11.10x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2012 13'964.8 1.92x 2'526.2 10.63x 2'237.3 8.81x 2'526.19 2'315.68 16.58% 23.32% 8.34% 26.90% 14.82% 0.52% 18.1% 16.6% 16.0% 1.61 0.71 24.71% 77.96% 8.71 -
Price/ Cash Flow
j-12
LTM
12/yy 9'951.9 8.68x 2'016.1 11.67x 1'805.8 9.63x
j-12
12/yy 13'964.8 7.48x 2'526.2 10.63x 2'237.3 8.81x
a-12
s-12
o-12
n-12
d-12
j-13
FY+1
.0 M f-13
1.27 1'405.65 10.46% 6.00% 1.270 24 4.458 2'911'600 3'258'600 3'388'302 FY+2
FQ+1
FQ+2
12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 13'317.8 13'969.3 3'127.0 3'550.5 2.04x 1.91x 2'208.3 2'320.0 12.70x 12.08x 1'594.7 1'659.9 316.0 421.0 13.16x 12.62x 13.40x 12.67x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
18.72 12.53 1.08 2.85 78.0% 34.7% 0.52 1.74 42.00 -
Sales/Revenue/Turnover
90.00
16'000.0
80.00
14'000.0
70.00
12'000.0
60.00
10'000.0
50.00
8'000.0
40.00
6'000.0
30.00
4'000.0
20.00
2'000.0
10.00 0.00 01.01.2010
a-12 m-12
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 11'798.9 0.72x 1'531.4 5.58x 1'098.0 6.28x
14
0.0 01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Keppel Corp Ltd Holdings By:
All
Holder Name TEMASEK HOLDINGS PRI ABERDEEN BLACKROCK FMR LLC VANGUARD GROUP INC WILLIAM BLAIR & COMP BANK OF NEW YORK MEL CAPITAL GROUP COMPAN INVESCO LTD SCHRODER INVESTMENT JF ASSET MANAGEMENT MATTHEWS INTERNATION ALLIANZ ASSET MANAGE SOON HOE TEO SANFORD C BERNSTEIN MASSACHUSETTS FINANC FRANKLIN RESOURCES CHIAU BENG CHOO IG INVESTMENT MANAGE NOMURA
Firm Name Credit Suisse DBS Vickers Religare Capital Markets Nomura EVA Dimensions Standard Chartered JPMorgan Kim Eng Securities OCBC Investment Research OSK (Asia) Securities Phillip Securities UOB Kay Hian Morgan Stanley Macquarie CIMB Barclays Deutsche Bank Goldman Sachs HSBC Daiwa Securities Co. Ltd. IIFL
Portfolio Name n/a n/a n/a n/a Multiple Portfolios WILLIAM BLAIR & COMP Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios n/a
Analyst GERALD WONG JANICE CHUA VINCENT FERNANDO LISA LEE CRAIG STERLING LEONG WAI MUN AJAY NARAYAN MIRCHANDANI CHEE KEONG YEAK LOW PEI HAN JASON SAW NICHOLAS HUAI GIM ONG NANCY WEI XIN JIN LING SOMESH KUMAR AGARWAL SIEW KHEE LIM CLEMENT CHEN KEVIN CHONG MIANG CHUEN KOH NEEL SINHA ADRIAN LOH ZUO LI
Source ULT-AGG ULT-AGG ULT-AGG ULT-AGG MF-AGG 13F MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG EXCH MF-AGG MF-AGG ULT-AGG EXCH MF-AGG ULT-AGG
Recommendation outperform buy hold buy overweight outperform overweight buy buy neutral accumulate buy Overwt/Attractive neutral outperform equalweight buy neutral/neutral neutral outperform buy
Amt Held 381'439'386 93'439'600 89'917'757 25'420'635 24'290'234 18'172'200 17'504'035 16'386'500 16'264'374 11'151'400 9'627'600 8'415'900 7'288'874 4'853'480 4'846'000 4'439'000 4'254'050 4'030'532 3'767'391 3'717'200
% Out 21.21 5.2 5 1.41 1.35 1.01 0.97 0.91 0.9 0.62 0.54 0.47 0.41 0.27 0.27 0.25 0.24 0.22 0.21 0.21
Weighting
Change 5 5 3 5 5 5 5 5 5 3 4 5 5 3 5 3 5 3 3 5 5
M M M M U M M M M M M M M M M M M M D M M
Latest Chg 40'000 (150'851) 167'995 (20'500) (25'500) (88'235) (3'241'200) (3'458'000) (1'243'100) (1'273'000) 72'000 (130'850) 341'000 (91'000) (8'000)
Target Price 14 13 12 13 #N/A N/A 13 13 13 13 11 12 13 13 12 13 14 14 12 13 12 12
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 02.03.2012 Government 18.01.2013 Unclassified 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 20.02.2013 Investment Advisor 31.12.2012 Investment Advisor 30.09.2011 Mutual Fund Manager 28.09.2012 Investment Advisor 31.01.2013 Investment Advisor 29.06.2012 n/a 30.11.2012 Investment Advisor 31.12.2012 Investment Advisor 31.10.2012 Investment Advisor 15.08.2012 n/a 28.09.2012 Investment Advisor 12.09.2012 Unclassified
Date Not Provided 12 month 12 month Not Provided Not Provided 12 month 9 month 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month
Date 18.02.2013 18.02.2013 01.02.2013 31.01.2013 29.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 24.01.2013 24.01.2013 24.01.2013 21.01.2013 18.10.2012 18.10.2012 18.10.2012 18.10.2012 12.01.2012
21.02.2013
Kia Motors Corp Kia Motors Corporation manufactures, sells, and exports passenger cars, mini-buses, trucks, and commercial vehicles. The Company also produces various auto parts.
Price/Volume 90000
6.0 M
80000
5.0 M
70000 60000
4.0 M
50000
12/2012 12/yy 84'800.00 47'850.00 1'976'434.00 55100 -35.02% 15.15% 18.54% 405.4 22'335'520.00 3'701'693.00 0.0 0.0 2'646'377.00 21'772'000.42
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
30000
2.0 M
20000
1.0 M
10000 0 f-12 m-12 a-12 m-12
31.12.2009 31.12.2010 18'415'739.0 23'222'969.0 0.57x 0.95x 1'827'909.0 2'402'792.0 5.70x 9.21x 1'450'260.0 1'420'636.0 5.08x 13.96x Profitability
LTM-4Q 31.12.2011 27'742'277.0 1.01x 2'597'837.0 10.77x 1'804'842.0 14.72x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
j-12
a-12
s-12
o-12
n-12
d-12
j-13
LTM
FY+1
.0 M f-13
1.09 0.96 235.00 -23.14% -2.48% 0.960 44 4.591 1'360'761 2'050'983 2'029'296 FY+2
FQ+1
FQ+2
31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 28'007'913.0 ######### ######### ######### ######### ######### ######### 4.20x 3.13x 0.58x 0.63x - ######### ######### ######### ######### 10.77x 0.00x 7.25x 7.25x 2'136'797.0 ######### ######### ######### ######### 956'300.0 ######### 14.72x 0.00x 5.26x 4.83x S&P Issuer Ratings 2'597'837.00 Long-Term Rating Date 20.03.2012 1'645'332.00 Long-Term Rating BBB+ 5.87% Long-Term Outlook STABLE 8.51% Short-Term Rating Date 8.09% Short-Term Rating 14.92% Credit Ratios 11.82% EBITDA/Interest Exp. 17.61 1.24% (EBITDA-Capex)/Interest Exp. 11.69 Net Debt/EBITDA 0.41 21.0% Total Debt/EBITDA 1.42 9.4% Reference 5.9% Total Debt/Equity 28.4% 7.6% Total Debt/Capital 22.1% Asset Turnover 1.24 0.90 Net Fixed Asset Turnover 4.22 0.71 Accounts receivable turnover-days 32.71 15.83% Inventory Days 17.83 28.36% Accounts Payable Turnover Day 52.83 11.16 Cash Conversion Cycle -2.30 20.47
Price/ Cash Flow
Sales/Revenue/Turnover
12.00
30'000'000.0
10.00
25'000'000.0
8.00
20'000'000.0
6.00
15'000'000.0
4.00
10'000'000.0
2.00
5'000'000.0
0.00 03.01.2010
j-12
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 16'382'231.0 0.43x 1'023'733.0 6.85x 113'784.0 19.97x
3.0 M
40000
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (02.05.2012) 52-Week Low (28.01.2013) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 000270 KP EQUITY YTD Change 000270 KP EQUITY YTD % CHANGE
0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Kia Motors Corp Holdings By:
All
Holder Name HYUNDAI MOTOR CO NATIONAL PENSION SER CAPITAL GROUP COMPAN VANGUARD GROUP INC BLACKROCK EUI SUN CHUNG FMR LLC SAMSUNG INVESTMENT T MIRAE ASSET GLOBAL I MAPS INVESTMENT MANA KOREA INVESTMENT TRU KB ASSET MANAGEMENT ALLIANZ ASSET MANAGE UBS HANA ASSET MANAG EMPLOYEE STOCK OWNER KYOBO AXA INVESTMENT INVESTEC ASSET MANAG SHINHAN BNP PARIBAS ALLIANZ GLOBAL INVES PCA INVESTMENT TRUST
Firm Name
Portfolio Name n/a n/a n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst
HMC Investment Securities Co Ltd LEE MYUNG-HOON Hyundai Securities CHAE HEE-GUEN Eugene Investment & Securities Co., LtdMOON-SOO JANG Shinyoung Securities Co., Ltd. HYUNG-SIL LEE KB Investment & Securities Co., Ltd SHIN CHUNG-KWAN Hana Daetoo Securities SONG SUN-JAE Woori Investment & Securities CHO SOO-HONG Credit Suisse HENRY KWON KTB Securities NAM KYEONG MOON HSBC PAUL CHOI Samsung Securities YOON PIL JOONG Daishin Securities Co., Ltd. CHUNG TAEOH Deutsche Bank SANJEEV RANA Morgan Stanley PARK SANG-KYOO Daewoo Securities PARK YOUNG HO NH Investment & Securities LEE SANG-HYUN Dongbu Securities Co Ltd YIM EUN-YOUNG Shinhan Investment Corp CHOI JUNGHYUK Tong Yang Investment Bank AHN SANG JUN Hanwha Securities Co., Ltd KIM YEON-CHAN HI Investment Securities KOH TAE-BONG Kyobo Securities DONG-HA KIM KIWOOM Securities Co Ltd LEE HYUN-SOO Mirae Asset Securities YOON-KI KIM IBK Securities Co Ltd SAE-HWAN AHN LIG Investment Securities IN-WOO PARK Goldman Sachs SEUNG SHIN Standard Chartered DAVID KIM Macquarie MICHAEL SOHN Korea Investment & Securities SUH SUNGMOON JPMorgan PARK WAN SUN BNP Paribas Equity Research JAMES HIE SUK YOON Nomura ANGELA HONG Barclays PAUL HWANG EVA Dimensions CRAIG STERLING Daiwa Securities Co. Ltd. CHUNG SUNG-YOP SK Securities Co Ltd KIM YONG-SOO Taurus Investment Securities Co Ltd YANG HEE-JOON E*Trade Securities Korea KANG SANG-MIN Hanyang Securities KIM YEON-WOO Daniel Stewart & Co AMRIT SINGH DBS Vickers JAY KIM
Source Co File EXCH ULT-AGG MF-AGG ULT-AGG Co File ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation buy buy buy buy buy buy buy outperform buy neutral buy buy buy Overwt/Attractive buy buy hold buy buy buy buy buy buy buy buy buy neutral/neutral in-line outperform buy neutral buy neutral overweight buy hold buy buy buy buy outperform buy
Amt Held 137'318'251 24'374'709 16'395'287 13'674'113 7'288'654 7'061'331 5'151'282 3'356'040 2'001'644 1'773'507 1'722'251 1'410'985 1'391'632 1'229'277 1'168'532 823'411 686'652 633'920 575'710 533'583
% Out 33.88 6.01 4.04 3.37 1.8 1.74 1.27 0.83 0.49 0.44 0.42 0.35 0.34 0.3 0.29 0.2 0.17 0.16 0.14 0.13
Weighting
Change 5 5 5 5 5 5 5 5 5 3 5 5 5 5 5 5 3 5 5 5 5 5 5 5 5 5 3 3 5 5 3 5 3 5 5 3 5 5 5 5 5 5
M M M M M M M M M D M M M M M M M M M M M M M M M M M M M M M M D M M M M M M M M M
Latest Chg (3'779'604) 2'847'100 (168'233) 9'110 (321'554) (91'306) (1'128'135) (1'372'669) 14'696 (321'282) 437'327 (759'020) (79'025) (2'378) (277'838) (388'326) (14'953)
Target Price 75'000 61'000 74'900 80'000 100'000 63'000 70'000 64'900 65'000 58'000 60'000 69'000 66'000 70'000 66'000 79'000 58'000 70'000 73'000 70'000 90'000 71'000 85'000 74'000 68'000 80'000 51'000 60'000 60'000 79'000 63'000 100'000 56'000 67'000 #N/A N/A 55'000 87'000 70'000 120'000 110'000 #N/A N/A 88'000
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 30.06.2012 01.11.2012 31.12.2012 31.12.2012 19.02.2013 30.06.2012 31.12.2012 28.09.2012 28.09.2012 28.09.2012 28.09.2012 28.09.2012 31.01.2013 28.09.2012 30.06.2012 28.09.2012 30.11.2012 28.09.2012 28.09.2012 28.09.2012
Date 6 month Not Provided 12 month 12 month 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month 6 month 12 month 12 month 12 month 6 month 12 month 12 month 12 month 6 month 6 month 6 month 6 month 12 month Not Provided 12 month 12 month 12 month 12 month 12 month 9 month 12 month Not Provided Not Provided Not Provided Not Provided 6 month 6 month 12 month 6 month Not Provided 12 month
Inst Type Corporation Investment Advisor Investment Advisor Investment Advisor Investment Advisor n/a Investment Advisor Investment Advisor Investment Advisor Mutual Fund Manager Investment Advisor Mutual Fund Manager Investment Advisor Mutual Fund Manager n/a Mutual Fund Manager Investment Advisor Investment Advisor Mutual Fund Manager Mutual Fund Manager
Date 21.02.2013 20.02.2013 20.02.2013 20.02.2013 19.02.2013 19.02.2013 18.02.2013 18.02.2013 12.02.2013 03.02.2013 01.02.2013 29.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 27.01.2013 26.01.2013 26.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 25.01.2013 15.01.2013 14.01.2013 09.01.2013 07.01.2013 31.10.2012 27.09.2012 01.02.2012 30.01.2012
21.02.2013
KT&G Corp KT&G Corporation processes, produces, and sells cigarettes and other tobacco products. The Company, through its subsidiaries, manufactures ginseng products such as red ginseng tea and herbal medicines. KT&G is also involved in real estate development of its former factory sites.
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (16.10.2012) 52-Week Low (12.03.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 033780 KP EQUITY YTD Change 033780 KP EQUITY YTD % CHANGE
Price/Volume
12/2012 12/yy 92'300.00 70'200.00 369'786.00 76300 -17.33% 8.69% 36.20% 137.3 10'475'418.00 5'477.00 0.0 0.0 887'720.55 9'593'173.97
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
1.2 M 1.0 M .8 M .6 M .4 M .2 M
j-12
j-12
a-12
s-12
o-12
n-12 d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 2'644'656.5 3.81x 1'110'025.9 9.09x 894'290.3 11.51x
100000 90000 80000 70000 60000 50000 40000 30000 20000 10000 0 f-12 m-12 a-12 m-12
31.12.2009 31.12.2010 2'776'403.2 2'499'931.4 2.86x 2.98x 1'126'532.9 984'860.1 7.05x 7.55x 744'942.1 931'127.1 11.10x 8.84x Profitability
LTM-4Q 31.12.2011 2'490'830.8 3.86x 1'012'627.1 9.48x 775'936.9 13.27x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
FY+1
.0 M f-13
0.31 119.58 3.16% -5.57% 0.310 33 4.394 210'258 350'831 356'396 FY+2
FQ+1
FQ+2
31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 2'637'612.2 ######### ######### ######### ######### 3.52x 12.94x 14.26x 1'089'515.0 ######### ######### 8.53x 9.48x 8.53x 768'437.9 775'938.9 768'438.9 783'300.0 850'800.0 13.22x 13.26x 13.22x 13.15x 12.18x S&P Issuer Ratings 1'089'515.01 Long-Term Rating Date 03.12.2004 972'680.01 Long-Term Rating NR 36.88% Long-Term Outlook 38.61% Short-Term Rating Date 13.56% Short-Term Rating 16.27% Credit Ratios 16.26% EBITDA/Interest Exp. 1213.27 0.47% (EBITDA-Capex)/Interest Exp. 1040.43 Net Debt/EBITDA -0.81 62.8% Total Debt/EBITDA 0.01 41.3% Reference 36.9% Total Debt/Equity 0.1% 29.1% Total Debt/Capital 0.1% Asset Turnover 0.47 3.31 Net Fixed Asset Turnover 2.27 1.81 Accounts receivable turnover-days 80.68 0.09% Inventory Days 331.11 0.11% Accounts Payable Turnover Day 7.63 4.54 Cash Conversion Cycle 404.16 1.11
Price/ Cash Flow
Sales/Revenue/Turnover
14.00
3'000'000.0
12.00
2'500'000.0
10.00
2'000'000.0
8.00
1'500'000.0 6.00
1'000'000.0 4.00
500'000.0
2.00 0.00 03.01.2010
0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
KT&G Corp Holdings By:
All
Holder Name KT&G CORP LAZARD ASSET MANAGEM INDUSTRIAL BANK OF K VANGUARD GROUP INC FIRST EAGLE INVESTME BLACKROCK DEUTSCHE BANK AG EMPLOYEE STOCK OWNER JAPAN TOBACCO INC FMR LLC MATTHEWS INTERNATION MIRAE ASSET GLOBAL I MAPS INVESTMENT MANA T ROWE PRICE ASSOCIA SAMSUNG INVESTMENT T EASTSPRING INVESTMEN DWS INVESTMENT SA CAUSEWAY CAPITAL MAN MONTGOMERY ASSET MAN JF ASSET MANAGEMENT
Firm Name
Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst
Woori Investment & Securities COOKIE HAN Credit Suisse SONIA KIM SEUNG-HYUN Kyobo Securities JEONG SEONG-HOON Korea Investment & Securities LEE KYUNG JOO Goldman Sachs CHRISTINE CHO Hana Daetoo Securities KANG HEE-YOUNG Nomura CARA EUN JUNG SONG Deutsche Bank JI-HYUN SONG Daewoo Securities BAEK WOON-MOK Daishin Securities Co., Ltd. LEE SUN-KYOUNG Samsung Securities ILWOO YANG HMC Investment Securities Co Ltd HYESEUNG CHUNG JPMorgan YOUNA KIM KTB Securities KIM MIN-JEONG KIWOOM Securities Co Ltd WOO WON-SUNG Morgan Stanley KELLY H KIM Shinyoung Securities Co., Ltd. KIM YUN-OH Barclays PAUL HWANG Hyundai Securities JI GI-CHANG IBK Securities Co Ltd PARK AE-RAN EVA Dimensions AUSTIN BURKETT Macquarie NA HONG-SUK HSBC KAREN CHOI Dongbu Securities Co Ltd CHA JAE-HEON Standard Chartered BOYOUNG KIM Daiwa Securities Co. Ltd. PARK SANG HEE Meritz Securities Co., Ltd SONG KWANG-SOO Ji Asia MIKIHIKO YAMATO Shinhan Investment Corp JUNG-YOON KIM E*Trade Securities Korea PARK JONG-ROK Eugene Investment & Securities Co., LtdKIM DENNY
Source Co File ULT-AGG Co File MF-AGG MF-AGG ULT-AGG MF-AGG Co File Co File ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation buy underperform buy buy neutral/neutral buy neutral buy buy buy buy buy neutral buy outperform Overwt/In-Line buy equalweight buy buy overweight outperform neutral hold outperform hold buy buy buy buy buy
Amt Held 11'534'697 10'666'804 9'510'485 5'920'171 4'873'112 4'038'267 3'326'652 3'105'042 2'864'904 2'421'850 1'612'831 1'598'875 1'392'661 1'191'995 1'012'217 998'081 753'253 644'756 640'491 601'890
% Out 8.4 7.77 6.93 4.31 3.55 2.94 2.42 2.26 2.09 1.76 1.17 1.16 1.01 0.87 0.74 0.73 0.55 0.47 0.47 0.44
Weighting
Change 5 1 5 5 3 5 3 5 5 5 5 5 3 5 5 5 5 3 5 5 5 5 3 3 5 3 5 5 5 5 5
M M M M D M M U M M M M M U M M M M M M M M M M M M M M M M N
Latest Chg (1'373'903) 35'634 2'000 (19'420) (400) (180'414) 735'015 445'025 363'903 336'969 188'735 126'303 3'686 (32'747) 50'000 189'062
Target Price 88'000 75'000 100'000 92'000 80'000 97'000 82'000 90'000 94'000 90'000 90'000 93'000 67'000 90'000 92'000 100'000 100'000 83'000 93'000 102'000 #N/A N/A 96'000 85'000 90'000 100'000 86'000 105'000 105'000 100'000 95'000 50'000
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 30.06.2012 04.02.2013 31.12.2011 31.12.2012 30.09.2012 19.02.2013 31.12.2012 31.03.2012 31.03.2012 31.12.2012 28.09.2012 28.09.2012 28.09.2012 31.12.2012 28.09.2012 14.09.2012 28.12.2012 31.12.2012 31.12.2012 19.12.2011
Date 12 month Not Provided 6 month 12 month 12 month 12 month Not Provided 12 month 12 month 6 month 12 month 6 month 3 month 12 month 6 month 12 month 12 month Not Provided Not Provided 12 month Not Provided 12 month Not Provided 12 month 12 month Not Provided 6 month 12 month 12 month 12 month 12 month
Inst Type Corporation Unclassified Government Investment Advisor Hedge Fund Manager Investment Advisor Investment Advisor n/a Government Investment Advisor Investment Advisor Investment Advisor Mutual Fund Manager Investment Advisor Investment Advisor Investment Advisor Mutual Fund Manager Investment Advisor Investment Advisor Mutual Fund Manager
Date 20.02.2013 15.02.2013 14.02.2013 12.02.2013 30.01.2013 30.01.2013 25.01.2013 18.01.2013 18.01.2013 18.01.2013 18.01.2013 18.01.2013 18.01.2013 18.01.2013 18.01.2013 17.01.2013 17.01.2013 17.01.2013 16.01.2013 16.01.2013 15.01.2013 14.01.2013 09.01.2013 06.11.2012 19.10.2012 18.10.2012 04.10.2012 18.09.2012 19.07.2012 22.05.2012 03.05.2011
21.02.2013
LG Electronics Inc LG Electronics Inc. manufactures and markets digital display equipment and home appliances including personal computers, CD-ROMs, televisions, washers, air conditioners, and microwaves. The Company also produces telecommunications equipment such as phones and mobile phones, networking systems, security solutions, and other communication products. Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (15.03.2012) 52-Week Low (25.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 066570 KP EQUITY YTD Change 066570 KP EQUITY YTD % CHANGE
Price/Volume
12/2012 12/yy 94'300.00 55'800.00 1'684'381.00 77400 -17.92% 38.71% 53.25% 163.6 12'666'341.00 5'825'846.00 85'930.0 0.0 1'464'211.00 16'559'385.80
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
31.12.2009 31.12.2010 30'513'436.0 29'238'503.0 0.66x 0.72x 2'351'992.0 (359'692.0) 8.54x 1'146'804.0 (635'874.0) 17.08x Profitability
LTM-4Q 31.12.2011 28'097'139.0 0.59x 458'280.0 36.15x (277'919.0) -
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
31.12.2012 12/yy 12/yy 25'427'205.2 ######### ######### 2.44x 1.84x - 458'280.0 862'521.0 36.15x 0.00x (354'760.0) (277'919.0) (354'760.0) 0.00x 0.00x 458'280.00 42'772.51 0.17% -1.43% 0.93% 3.24% 2.59% 1.05% 18.0% 3.5% 0.4% -1.4% 0.92 0.74 24.07% 55.97% 4.65 19.04
Price/ Cash Flow
j-12
a-12
s-12
o-12
n-12 d-12
j-13
1.10 92.16 -12.50% 5.16% 1.099 46 4.239 916'042 926'777 1'188'370
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
-
14.10.2011 BBBSTABLE 2.10 -2.70 4.19 6.01 56.0% 35.7% 1.05 5.05 78.69 19.22 78.63 19.13
Sales/Revenue/Turnover
45.00
35'000'000.0
40.00
30'000'000.0
35.00
25'000'000.0
30.00 25.00
20'000'000.0
20.00
15'000'000.0
15.00
10'000'000.0
10.00
5'000'000.0
5.00 0.00 03.01.2010
j-12
5.0 M 4.5 M 4.0 M 3.5 M 3.0 M 2.5 M 2.0 M 1.5 M 1.0 M .5 M .0 M f-13
Market Data
Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 27'638'515.0 0.44x 1'909'683.0 6.40x 482'786.0 25.00x
100000 90000 80000 70000 60000 50000 40000 30000 20000 10000 0 f-12 m-12 a-12 m-12
0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
LG Electronics Inc Holdings By:
All
Holder Name LG CORP NATIONAL PENSION SER VANGUARD GROUP INC BLACKROCK JP MORGAN DIMENSIONAL FUND ADV KB ASSET MANAGEMENT KOREA INVESTMENT TRU SAMSUNG INVESTMENT T FMR LLC LG ELECTRONICS INC COMMONWEALTH BANK OF IG INVESTMENT MANAGE BANK OF NEW YORK MEL SHINHAN BNP PARIBAS MACQUARIE GROUP LTD SHINYOUNG INVESTMENT KYOBO AXA INVESTMENT UBS HANA ASSET MANAG DAIWA SB INVESTMENTS
Firm Name Mirae Asset Securities Samsung Securities Shinhan Investment Corp IBK Securities Co Ltd HI Investment Securities Credit Suisse Shinyoung Securities Co., Ltd. Tong Yang Investment Bank Korea Investment & Securities Dongbu Securities Co Ltd Daishin Securities Co., Ltd. Goldman Sachs Deutsche Bank Daewoo Securities NH Investment & Securities HMC Investment Securities Co Ltd Woori Investment & Securities KTB Securities Mizuho Securities Hanwha Securities Co., Ltd KB Investment & Securities Co., Ltd KIWOOM Securities Co Ltd Hana Daetoo Securities LIG Investment Securities Morgan Stanley JPMorgan Sanford C. Bernstein & Co Nomura HSBC Hyundai Securities Barclays BNP Paribas Equity Research EVA Dimensions Daiwa Securities Co. Ltd. Macquarie Meritz Securities Co., Ltd SK Securities Co Ltd E*Trade Securities Korea Taurus Investment Securities Co Ltd Standard Chartered Kyobo Securities Ji Asia
Portfolio Name n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst JIN HO CHO CHO SUNG-EUN SOH HYUN-CHEOL SEUNG-WOO LEE HAN EUNMEE JOHN SUNG LIM DORI HYUN PARK KEVIN SUNG-HYUK LEE KWON SUNG-RYUL PARK KANG-HO MICHAEL BANG HANJOON KIM PARK WON-JAE LEE SUN-TAE GREG GEUN-CHANG ROH SOPHIA KIM PARK SANG-HYUN CHARLES PARK KIM WOON-HO BYUN HAN-JOON KIM JI-SAN CHUN SUNG-HOON KI-YOUNG KIM LEE KA KEUN JJ Park MARK C NEWMAN JAMES KIM BRIAN SOHN KIM JEFF BAE SEUNG-CHUL PETER YU CRAIG STERLING JAE H LEE DANIEL KIM JI MOK-HYUN HYUN-YONG KIM SONG EUN-JEONG YOO-JIN KIM SEAN KIM PARK SEONG-MIN STEVE MYERS
Source Co File EXCH MF-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG Co File MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation buy buy buy buy buy underperform buy buy buy buy buy neutral/attractive hold buy buy buy buy buy neutral buy buy buy buy buy Equalwt/In-Line overweight underperform buy overweight buy equalweight reduce buy hold outperform buy buy buy buy in-line buy buy
Amt Held 55'094'582 15'453'143 5'533'279 2'759'885 1'961'371 1'898'834 1'656'900 1'295'185 1'081'813 914'162 763'165 506'817 402'248 392'411 371'922 306'719 306'553 272'647 234'381 233'500
% Out 33.67 9.44 3.38 1.69 1.2 1.16 1.01 0.79 0.66 0.56 0.47 0.31 0.25 0.24 0.23 0.19 0.19 0.17 0.14 0.14
Weighting
Change 5 5 5 5 5 1 5 5 5 5 5 3 3 5 5 5 5 5 3 5 5 5 5 5 3 5 1 5 5 5 3 2 5 3 5 5 5 5 5 3 5 5
U M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M
Latest Chg 4'753'152 3'330'622 (27'209) (13'814) 1'647'957 716'360 58'895 47'900 905'988 378 171'194 (10'869) 31'142 37'888 64'933 (108'000)
Target Price 88'000 120'000 100'000 91'000 95'000 63'000 101'000 105'000 90'000 105'000 95'000 70'000 76'400 92'000 100'000 85'000 95'000 96'000 77'000 100'000 105'000 100'000 140'000 110'000 73'000 100'000 50'000 101'000 107'000 96'000 81'000 58'000 #N/A N/A 70'000 100'000 90'000 85'000 95'000 80'000 64'000 100'000 85'469
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 31.12.2011 13.11.2012 31.12.2012 19.02.2013 31.12.2012 31.07.2012 28.09.2012 28.09.2012 28.09.2012 31.12.2012 31.12.2011 31.10.2012 28.09.2012 19.02.2013 28.09.2012 31.12.2012 28.09.2012 28.09.2012 28.09.2012 09.07.2012
Date 12 month 12 month 12 month 12 month 6 month Not Provided 12 month 12 month 12 month 12 month 6 month 12 month 12 month 12 month 6 month 6 month 12 month 12 month 12 month 6 month 12 month 6 month 12 month 12 month 12 month 9 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month 6 month 6 month 12 month 6 month 12 month 12 month 12 month
Inst Type Holding Company Investment Advisor Investment Advisor Investment Advisor Unclassified Investment Advisor Mutual Fund Manager Investment Advisor Investment Advisor Investment Advisor Corporation Bank Investment Advisor Investment Advisor Investment Advisor Investment Advisor Mutual Fund Manager Mutual Fund Manager Mutual Fund Manager Investment Advisor
Date 21.02.2013 20.02.2013 20.02.2013 18.02.2013 17.02.2013 13.02.2013 12.02.2013 12.02.2013 08.02.2013 05.02.2013 04.02.2013 04.02.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 28.01.2013 25.01.2013 24.01.2013 23.01.2013 15.01.2013 11.01.2013 16.11.2012 25.10.2012 25.10.2012 25.10.2012 25.10.2012 08.10.2012 01.08.2012 14.05.2012
21.02.2013
Li & Fung Ltd Li & Fung Limited, through its subsidiaries, operates an export trading business. The Company exports consumer products such as garments, fashion accessories, toys, games, sporting goods, home furnishings, handicrafts, shoes, travel goods, and tableware. In addition, Li & Fung invests in properties.
Price/Volume 25
Price/ Cash Flow
250.0 M 200.0 M
12/2011 01/yy 20.15 9.93 22'711'471.00 10.4 -48.39% 4.73% 6.16% 8'359.9 86'943.23 1'865.66 0.0 4.8 426.24 12'984.54
150.0 M 100.0 M
5
50.0 M
0 f-12 m-12
31.12.2008 31.12.2009 14'220.3 13'478.2 0.46x 1.16x 444.8 562.1 14.56x 27.88x 311.1 434.6 19.16x 35.44x Profitability
31.12.2010 15'976.0 1.50x 868.8 27.50x 550.7 40.30x
31.12.2011 20'030.3 0.82x 1'053.0 15.62x 681.2 21.96x 1'052.98 826.44 4.13% 3.85% 7.09% 18.63% 14.85% 1.90% 14.9% 5.2% 3.9% 3.4% 1.08 0.66 17.08% 47.43% 9.88 16.79
LTM-4Q
LTM
01/yy
01/yy -
j-12
a-12
s-12
o-12
n-12
d-12
j-13
.0 M f-13
FY+1 -
4.70 1.19 5'520.35 -40.14% -23.98% 1.188 24 2.583 29'598'610 53'004'800 35'050'380 FY+2
FQ+1
FQ+2
12/12 Y 12/13 Y 09/11 Q3 12/11 Q4 20'886.1 22'825.9 0.63x 0.58x 806.0 1'160.0 16.11x 11.19x 476.9 678.7 21.63x 16.35x S&P Issuer Ratings 15.01.2013 A- *8.19 7.31 1.67 1.96 47.4% 32.1% 1.90 60.01 37.03 21.80 49.78 8.61
Sales/Revenue/Turnover
25'000.0
1.00
20'000.0
0.60
j-12
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
1.20
0.80
a-12 m-12
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
300.0 M
15 10
Latest Fiscal Year: LTM as of: 52-Week High (23.03.2012) 52-Week Low (08.02.2013) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 494 HK EQUITY YTD Change 494 HK EQUITY YTD % CHANGE
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
350.0 M
20
Valuation Analysis
31.12.2007 11'851.0 1.22x 431.3 33.55x 392.2 35.20x
400.0 M
15'000.0 10'000.0
0.40
5'000.0 0.20
0.0 0.00
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Li & Fung Ltd Holdings By:
All
Holder Name FUNG HOLDINGS (1937) CAPITAL GROUP COMPAN JANUS CAPITAL MANAGE MASSACHUSETTS FINANC COMMONWEALTH BANK OF JP MORGAN KWOK LUN FUNG ABERDEEN FIRST ISLANDS DEVELO FUNG DISTRIBUTION IN BLACKROCK DEUTSCHE BANK AG VANGUARD GROUP INC T ROWE PRICE ASSOCIA FMR LLC DEUTSCHE BANK AG MATTHEWS INTERNATION HURRICANE MILLENNIUM ALLIANCE BERNSTEIN STATE STREET GLOBAL
Firm Name Sun Hung Kai Securities Nomura Standard Chartered BNP Paribas Equity Research CIMB Citic Securities Co., Ltd Macquarie EVA Dimensions Deutsche Bank Morgan Stanley Credit Suisse DBS Vickers Mizuho Securities UOB Kay Hian Religare Capital Markets Barclays Goldman Sachs JPMorgan HSBC AMTD Financial Planning Limited
Portfolio Name n/a n/a n/a n/a #N/A N/A n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios
Analyst NICHOLAS STUDHOLME-WILSON TANUJ SHORI CHARLES YAN MICHELLE CHENG GLORIA K TSUEN MOHAN SINGH GARY PINGE CRAIG STERLING ANNE LING ANGELA MOH GABRIEL CHAN PATRICIA YEUNG PETER TANG KEN LEE PETER WILLIAMSON VINEET SHARMA JOSHUA LU KURUMLU EBRU SENER CHRIS ZEE KENNY TANG SING HING
Source EXCH ULT-AGG ULT-AGG EXCH EXCH ULT-AGG EXCH ULT-AGG EXCH EXCH ULT-AGG EXCH MF-AGG MF-AGG ULT-AGG Short MF-AGG EXCH ULT-AGG MF-AGG
Recommendation buy reduce outperform reduce neutral buy underperform sell hold Underwt/Attractive underperform sell underperform sell buy equalweight neutral/attractive neutral overweight buy
Amt Held % Out 2'195'727'908 26.26 1'250'099'101 14.95 566'265'325 6.77 509'012'484 6.09 419'446'385 5.02 395'815'103 4.73 220'860'060 2.64 186'133'490 2.23 166'856'708 2 153'225'964 1.83 119'345'094 1.43 106'691'668 1.28 102'858'257 1.23 87'383'200 1.05 85'060'486 1.02 (83'331'640) -1 57'572'400 0.69 53'823'020 0.64 49'433'520 0.59 47'420'155 0.57
Weighting
Change 5 2 5 2 3 5 1 1 3 1 1 1 1 1 5 3 3 3 5 5
N M M M M U M M D M M D M M M M M M M N
Latest Chg 4'422'000 (732'000) 4'378'000 4'593'820 5'000'000 264'000 1'463'370 9'620'000 37'809'268 (1'028'000) 1'000'000 (2'431'131) (2'448'564)
Target Price 14 12 14 9 13 13 9 #N/A N/A 13 11 8 10 11 9 16 14 13 12 16 20
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 28.09.2012 31.12.2012 19.01.2012 01.02.2013 14.02.2013 31.01.2013 28.09.2012 31.01.2013 27.09.2012 28.09.2012 19.02.2013 31.12.2012 31.12.2012 31.12.2012 31.12.2012 31.12.2012 28.09.2012 06.09.2012 31.12.2012 30.06.2012
Date 12 month Not Provided 12 month 12 month 12 month 6 month 12 month Not Provided 12 month 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 9 month Not Provided Not Provided
Inst Type Other Investment Advisor Investment Advisor Investment Advisor Bank Unclassified n/a Unclassified Other Other Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Other Investment Advisor Investment Advisor
Date 20.02.2013 15.02.2013 04.02.2013 21.01.2013 18.01.2013 16.01.2013 15.01.2013 15.01.2013 14.01.2013 14.01.2013 14.01.2013 14.01.2013 14.01.2013 14.01.2013 14.01.2013 14.01.2013 13.01.2013 13.01.2013 13.01.2013 19.05.2011
21.02.2013
MediaTek Inc MediaTek Inc. is a fabless semiconductor company for wireless communications and digital multimedia solutions. The company provides SOC system solutions for wireless communications, high-definition TV, optical storage, DVD and Blu-ray products.
Price/Volume 400
35.0 M
350
30.0 M
300
25.0 M
250
Latest Fiscal Year: LTM as of: 52-Week High (13.12.2012) 52-Week Low (30.04.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.11.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2454 TT EQUITY YTD Change 2454 TT EQUITY YTD % CHANGE
12/2011 12/yy 351.00 235.00 4'828'703.00 326 -7.12% 38.72% 78.45% 1'349.4 439'894.69 0.00 0.0 0.0 30'158.31 408'148.81
31.12.2007 74'778.6 5.21x 33'203.4 11.72x 33'592.7 12.92x
15.0 M
150 100
10.0 M
50
5.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
20.0 M
200
Valuation Analysis
31.12.2008 31.12.2009 68'015.5 77'310.8 2.89x 7.04x 19'806.1 23'857.8 9.91x 22.81x 19'190.0 36'705.6 12.24x 16.35x Profitability
LTM-4Q 31.12.2010 71'988.4 5.70x 19'364.5 21.20x 30'961.4 14.68x
31.12.2011 53'842.4 5.31x 6'633.9 43.13x 13'623.1 22.47x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
6'633.87 4'927.54 9.15% 25.92% 8.68% 10.04% 9.96% 0.37% 41.0% 11.7% 7.6% 25.3% 2.05 1.61 0.00% 0.00% 15.06 5.84
Price/ Cash Flow
LTM
12/yy 53'842.4 23.11x 6'633.9 43.13x 13'623.1 22.31x
12/yy 45'250.4 21.20x 5'540.9 0.00x 15'687.3 25.24x
FY+1
.0 M f-13
1.02 1'185.86 73.36 10.47% 0.77% 1.023 28 3.929 6'463'881 8'452'496 8'630'954 FY+2
FQ+1
FQ+2
12/12 Y
12/13 Y 03/13 Q1 06/13 Q2 - 131'654.0 23'940.0 29'500.0 - 29'523.0 13.82x 15'526.6 24'615.0 3'751.6 5'609.1 26.54x 18.55x 18.95x 16.94x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
1466.37 1365.92 -4.57 0.00 0.0% 0.0% 0.37 9.16 24.30 62.63 59.22 21.88
Sales/Revenue/Turnover
140.00
90'000.0
120.00
80'000.0 70'000.0
100.00
60'000.0
80.00
50'000.0
60.00
40'000.0 30'000.0
40.00
20'000.0
20.00 0.00 03.01.2009
10'000.0 0.0 03.07.2009
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
MediaTek Inc Holdings By:
All
Holder Name VANGUARD GROUP INC LI TSUI-HSIN MING TSAI KAI CAPITAL WORLD GROWTH CAPITAL INC FOUNDA F JYH-JER CHO BLACKROCK US GROWTH FUND LIU TING-JEN REICHARDT FUND EURO PACIFIC GROWTH VANGUARD EMS INDEX F FMR LLC FRANKLIN RESOURCES LAZARD ASSET MANAGEM POLARIS SEC INVESTME SCHRODER INVESTMENT HSIANG FA INVESTMENT HSIANG FA INVESTMENT CAPITAL GROUP COMPAN
Firm Name
Portfolio Name Multiple Portfolios n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a n/a
Analyst
Yuanta Securities Investment ConsultingGEORGE CHANG Jih Sun Securities WENWEN WANG Wedge Partners JUN ZHANG Capital Securities Corp CHEN WANZHEN Mega Securities HUNG CHIH-TING Morgan Stanley BILL LU JPMorgan ALVIN KWOCK Fubon Securities CARLOS PENG Macquarie JEFFREY SU IBT Securities Co Ltd HONG YI CHEN President Capital Management TIEN YAO RBS JACK LU Credit Suisse RANDY ABRAMS HSBC YOLANDA WANG KGI Securities MICHAEL LIU Kim Eng Securities WARREN LAU BNP Paribas Equity Research LAURA CHEN Nomura AARON JENG Barclays ANDREW LU E Sun Securities YANG SHENG-MIN Daiwa Securities Co. Ltd. ERIC CHEN Sanford C. Bernstein & Co MARK LI EVA Dimensions ANDREW S ZAMFOTIS Deutsche Bank JESSICA CHANG SinoPac STEFAN CHANG Berenberg Bank ADNAAN AHMAD Masterlink Securities CHELSEY SU Goldman Sachs DONALD LU Concord Securities Corp AARON HSIEH
Source MF-AGG Co File EXCH Co File Co File EXCH ULT-AGG Co File Co File Co File Co File Co File ULT-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG EXCH EXCH ULT-AGG
Recommendation buy neutral no rating system buy buy on weakness Overwt/In-Line overweight add underperform neutral neutral buy restricted overweight outperform buy reduce buy overweight buy on weakness buy market perform underweight buy buy sell buy not rated equalweight
Amt Held 57'816'982 48'674'145 41'006'187 40'600'426 31'425'774 30'325'222 29'792'424 22'709'996 21'011'763 20'276'421 15'402'625 15'159'975 15'046'541 13'878'485 12'271'109 10'925'000 8'712'000 7'794'085 7'794'085 6'929'000
% Out 4.28 3.61 3.04 3.01 2.33 2.25 2.21 1.68 1.56 1.5 1.14 1.12 1.12 1.03 0.91 0.81 0.65 0.58 0.58 0.51
Weighting
Change
5 3 #N/A N/A 5 5 5 5 4 1 3 3 5 #N/A N/A 5 5 5 2 5 5 5 5 3 1 5 5 1 5 #N/A N/A 3
M M M M M M M M M M D M M M M M M M M M M M M M M M M M M
Latest Chg (571'000) (72'000) (5'455'709) 53'000 (1'033'000) 6'576'000 (11'237'347)
Target Price 400 #N/A N/A #N/A N/A 360 390 380 420 370 245 #N/A N/A 325 365 #N/A N/A 382 370 500 275 375 395 #N/A N/A 373 329 #N/A N/A 431 375 210 329 #N/A N/A #N/A N/A
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2012 Investment Advisor 16.07.2011 n/a 30.11.2012 n/a 16.07.2011 n/a 16.07.2011 n/a 30.11.2012 n/a 19.02.2013 Investment Advisor 16.07.2011 n/a 16.07.2011 n/a 16.07.2011 n/a 16.07.2011 n/a 16.07.2011 n/a 31.12.2012 Investment Advisor 30.11.2012 Investment Advisor 31.12.2012 Unclassified 30.06.2012 Mutual Fund Manager 31.12.2012 Investment Advisor 30.11.2012 n/a 31.10.2012 Other 31.12.2012 Investment Advisor
Date Not Provided Not Provided Not Provided 3 month 6 month 12 month 9 month 6 month 12 month Not Provided 6 month 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided 12 month Not Provided Not Provided 12 month Not Provided Not Provided
Date 18.02.2013 18.02.2013 15.02.2013 06.02.2013 06.02.2013 05.02.2013 05.02.2013 05.02.2013 05.02.2013 05.02.2013 05.02.2013 04.02.2013 04.02.2013 04.02.2013 04.02.2013 04.02.2013 04.02.2013 04.02.2013 04.02.2013 04.02.2013 28.01.2013 24.01.2013 17.01.2013 10.01.2013 04.01.2013 30.10.2012 06.08.2012 27.06.2012 30.07.2010
21.02.2013
Nan Ya Plastics Corp Nan Ya Plastics Corporation manufactures and markets plastic and chemical fiber products. The Company's products include polyester filament yarns, flexible PVC (Polyvinyl Chloride) film products, plastic leather products, and rigid film products. Nan Ya also manufactures printed circuit boards.
Price/Volume 80
35.0 M
70
30.0 M
60
25.0 M
50
Latest Fiscal Year: LTM as of: 52-Week High (29.02.2012) 52-Week Low (15.11.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1303 TT EQUITY YTD Change 1303 TT EQUITY YTD % CHANGE
12/2011 09/yy 72.80 46.00 8'262'299.00 59.9 -17.72% 30.22% 52.24% 7'852.3 470'352.72 102'870.19 0.0 0.0 38'860.31 560'897.20
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
15.0 M
30 20
10.0 M
10
5.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 228'700.0 3.04x 44'165.0 15.76x 59'046.6 11.10x
20.0 M
40
Valuation Analysis
31.12.2008 31.12.2009 208'718.6 160'964.4 1.65x 3.20x 19'881.2 17'312.1 17.37x 29.75x 9'386.4 16'403.8 28.70x 27.89x Profitability
LTM-4Q 31.12.2010 212'248.6 2.82x 35'054.5 17.09x 40'973.8 13.93x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 194'021.8 2.76x 29'311.3 18.28x 23'143.0 20.37x 29'311.32 21'613.81 11.14% 14.53% 0.17% 0.28% 0.31% 0.44% 17.5% 9.1% 4.8% 11.9% 3.31 1.47 25.14% 38.87% 9.40 6.29
Price/ Cash Flow
LTM
FY+1
.0 M f-13
0.97 3'544.11 19.62 -12.17% 6.96% 0.971 21 2.524 7'618'873 6'510'536 6'444'796 FY+2
FQ+1
FQ+2
09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 201'118.8 181'865.3 183'405.5 190'419.7 45'421.4 46'005.7 12.55x 11.97x 3.05x 2.93x 34'015.3 16'497.2 15'714.6 20'454.4 3'903.0 4'690.0 17.16x 33.48x 35.69x 27.42x 29.69x 28.00x 33'866.5 715.5 3'884.0 16'590.1 1'453.8 3'777.6 15.39x 640.52x 127.45x 25.12x 33.39x 27.78x S&P Issuer Ratings Long-Term Rating Date 06.05.2009 Long-Term Rating BBB+ Long-Term Outlook NEG Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. 18.27 (EBITDA-Capex)/Interest Exp. 16.15 Net Debt/EBITDA 5.49 Total Debt/EBITDA 7.73 Reference Total Debt/Equity 38.9% Total Debt/Capital 28.0% Asset Turnover 0.44 Net Fixed Asset Turnover 2.72 Accounts receivable turnover-days 38.93 Inventory Days 58.22 Accounts Payable Turnover Day 23.35 Cash Conversion Cycle 60.15 Sales/Revenue/Turnover
18.00
250'000.0
16.00
200'000.0
14.00 12.00
150'000.0
10.00 8.00
100'000.0
6.00
50'000.0
4.00 2.00 0.00 03.01.2009
0.0 03.07.2009
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Nan Ya Plastics Corp Holdings By:
All
Holder Name CHANG GUNG MEDICAL F CHANG GUNG MEDICAL F FORMOSA PLASTICS COR YUNG-TSAI WANG FORMOSA CHEMICALS & CHANG GUNG UNIVERSIT VANGUARD GROUP INC WAN SHUN INTL INVEST FORMOSA PETROCHEMICA CHIN'S INTL INVESTME CATHAY LIFE INSURANC BLACKROCK YUANTA SYSTEM CO LTD POLARIS SEC INVESTME BANK OF NEW YORK MEL JUI-YU WANG WANG KUI-YUN DIMENSIONAL FUND ADV FMR LLC CREDIT SUISSE ASSET
Firm Name
Portfolio Name n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios n/a Multiple Portfolios
Analyst
Mega Securities YOU JIANHENG HSBC DENNIS HYUNCHUL YOO KGI Securities AARON LIU Jih Sun Securities STEPHEN WAN Barclays SIDNEY YEH Macquarie CORINNE JIAN Fubon Securities KERRY WU EVA Dimensions CRAIG STERLING Nomura DAVID WANG President Capital Management TOM HUNG Yuanta Securities Investment ConsultingYVONNE TSAI BNP Paribas Equity Research POR YONG LIANG Goldman Sachs TOMMY WONG Deutsche Bank ALDEN LIN Credit Suisse JEREMY CHEN SinoPac LILY HSIAO Morgan Stanley LILY CHEN JPMorgan SAMUEL SW LEE IBT Securities Co Ltd TITAN HORNG Grand Cathay Securities Co JUN LIAO
Source EXCH EXCH EXCH Co File EXCH Co File MF-AGG Co File EXCH Co File Co File ULT-AGG Co File MF-AGG MF-AGG EXCH EXCH MF-AGG ULT-AGG MF-AGG
Recommendation neutral underweight outperform neutral overweight outperform add sell neutral neutral hold reduce Sell/Cautious sell underperform sell Equalwt/In-Line Rating Suspended buy underperform
Amt Held 868'052'924 868'052'924 775'505'323 424'452'797 409'235'397 314'135'927 252'662'107 187'898'634 177'440'023 146'095'974 143'660'000 138'546'100 96'282'315 75'079'000 38'688'000 18'863'784 11'498'289 11'202'417 7'449'326 6'654'217
% Out 11.05 11.05 9.88 5.41 5.21 4 3.22 2.39 2.26 1.86 1.83 1.76 1.23 0.96 0.49 0.24 0.15 0.14 0.09 0.08
Weighting
Change
3 1 5 3 5 5 4 1 3 3 3 2 1 1 1 1 3 #N/A N/A 5 1
M M M M U U M M U M M M M M M M M M N D
Latest Chg 3'665'000 91'000 530'000 320'000 (12'088'941) (40'000)
Target Price 68 51 65 #N/A N/A 69 66 72 #N/A N/A 55 58 56 42 38 42 48 45 58 #N/A N/A #N/A N/A 60
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 30.11.2012 n/a 31.10.2012 Other 30.11.2012 Corporation 23.04.2012 n/a 30.11.2012 Corporation 23.04.2012 Other 31.12.2012 Investment Advisor 23.04.2012 n/a 30.11.2012 Corporation 23.04.2012 Other 23.04.2012 Insurance Company 19.02.2013 Investment Advisor 23.04.2012 n/a 30.06.2012 Mutual Fund Manager 19.02.2013 Investment Advisor 30.11.2012 n/a 30.11.2012 n/a 31.07.2012 Investment Advisor 31.12.2012 Investment Advisor 28.12.2012 Mutual Fund Manager
Date 6 month Not Provided 12 month Not Provided Not Provided 12 month 6 month Not Provided Not Provided 6 month Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided
Date 21.02.2013 20.02.2013 18.02.2013 18.02.2013 05.02.2013 31.01.2013 24.01.2013 17.01.2013 15.01.2013 15.01.2013 11.01.2013 03.01.2013 15.11.2012 31.10.2012 24.10.2012 09.10.2012 09.07.2012 10.05.2012 15.02.2011 16.11.2010
21.02.2013
Oversea-Chinese Banking Corp Ltd Oversea-Chinese Banking Corporation Limited offers a comprehensive range of financial services. The Company's services include deposit-taking, corporate, enterprise and personal lending, international trade financing, investment banking, private banking, treasury, stockbroking, insurance, credit cards, cash management, asset management and other financial and related services.
Price/Volume
12.0 M 10.0 M 8.0 M
6
Latest Fiscal Year: LTM as of: 52-Week High (21.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 21.02.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance OCBC SP EQUITY YTD Change OCBC SP EQUITY YTD % CHANGE
12/2012 12/yy 10.08 8.14 5'365'000.00 10 -0.79% 22.85% 98.95% 3'431.8 34'318.33 37'080.00 0.0 2'897.0 46'208.00 -
6.0 M
4
4.0 M
2
2.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
14.0 M
10 8
Valuation Analysis
31.12.2008 6'770.7 1'749.4 9.14x
12
31.12.2009 31.12.2010 6'003.9 6'696.3 1'962.4 2'253.5 15.32x 14.95x Profitability
LTM-4Q 31.12.2011 7'527.5 2'312.2 11.90x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2012 8'865.0 3'993.0 8.60x 54.46% 74.67% 1.39% 16.51% 6.77% 0.03% 60.1% 12.53% 143.70% -
Price/ Cash Flow
LTM
12/yy 7'608.0 0.00x 0.0 0.00x 2'312.0 11.88x
12/yy 8'938.0 0.00x 0.0 0.00x 3'993.0 8.60x
FY+1
.0 M f-13
0.98 2'716.58 15.17% 2.77% 0.977 26 3.500 3'654'600 3'323'400 3'206'921 FY+2
FQ+1
FQ+2
12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 6'766.6 7'315.3 1'606.3 1'639.3 2'700.5 2'902.7 597.0 635.0 12.89x 11.96x 13.89x 13.70x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
01.12.2011 AASTABLE 01.12.2011 A-1+ 143.7% 56.4% 0.03 5.31 -
Sales/Revenue/Turnover
60.00
10'000.0 9'000.0
50.00
8'000.0 7'000.0
40.00
6'000.0
30.00
5'000.0 4'000.0
20.00
3'000.0 2'000.0
10.00 0.00 01.01.2010
1'000.0 0.0 01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Oversea-Chinese Banking Corp Ltd Holdings By:
All
Holder Name SELAT PTE LTD ABERDEEN SINGAPORE INVESTMENT LEE FOUNDATION SINGA COMMONWEALTH BANK OF BLACKROCK VANGUARD GROUP INC LEE PINEAPPLE CO PTE FMR LLC ISLAND INVESTMENT CO SENG WEE LEE T ROWE PRICE ASSOCIA JF ASSET MANAGEMENT OVERSEA CHINESE BANK INVESTEC ASSET MANAG EDINBURGH FUND MANAG CREDIT SUISSE ASSET BANK OF NEW YORK MEL SKANDIA GLOBAL FUNDS MCIS ZURICH INSURANC
Firm Name China International Capital Corp Maybank Investment Bank Berhad OSK (Asia) Securities Phillip Securities UOB Kay Hian Morgan Stanley HSBC Credit Suisse DBS Vickers CIMB Nomura Barclays TA Securities Holdings Berhad Sanford C. Bernstein & Co Standard Chartered JPMorgan Mizuho Securities EVA Dimensions Macquarie Deutsche Bank Goldman Sachs Daiwa Securities Co. Ltd. BNP Paribas Equity Research IIFL
Portfolio Name n/a n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios #N/A N/A Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst SALLY NG DESMOND CHNG LENG SENG CHOON KEN ANG JONATHAN KOH NICK LORD LOO KAR WENG ANAND SWAMINATHAN SUE LIN LIM KENNETH NG JULIAN CHUA SHARNIE WONG TEAM COVERAGE KEVIN KWEK JAJ SINGH HARSH WARDHAN MODI JIM ANTOS AUSTIN BURKETT MATTHEW SMITH ANDREW HILL MELISSA KUANG SRIKANTH VADLAMANI TEAM COVERAGE SACHIN NIKHARE
Source Co File ULT-AGG Co File Co File MF-AGG ULT-AGG MF-AGG Co File ULT-AGG Co File EXCH MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation hold hold neutral reduce buy Equalwt/Cautious neutral underperform buy neutral neutral equalweight buy outperform in-line restricted buy hold neutral buy neutral/neutral outperform buy reduce
Amt Held 393'711'299 247'554'070 126'516'053 124'992'106 75'183'931 56'592'644 45'228'922 22'599'381 16'624'001 16'207'607 11'932'863 11'337'000 10'476'431 9'005'544 7'292'000 6'067'043 5'173'564 4'670'971 4'204'728 4'000'000
% Out 11.47 7.21 3.69 3.64 2.19 1.65 1.32 0.66 0.48 0.47 0.35 0.33 0.31 0.26 0.21 0.18 0.15 0.14 0.12 0.12
Weighting
Change
3 3 3 2 5 3 3 1 5 3 3 3 5 5 3 #N/A N/A 5 3 3 5 3 5 5 2
D M M M M M M M M M M M M M M M M M M U M M M U
Latest Chg 1'831'000 2'145'000 (1'659'980) 571'096 (4'277'187) 6'000 298'000 441'141 (260'773) (29'000) 520'000 39'000 (19'000) (824'000) -
Target Price 10 11 10 9 13 10 10 9 11 10 11 9 12 11 10 #N/A N/A 11 #N/A N/A 10 10 10 10 11 8
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 01.03.2012 09.02.2012 01.03.2012 01.03.2012 31.10.2012 19.02.2013 31.12.2012 01.03.2012 31.12.2012 01.03.2012 26.04.2012 31.12.2012 30.09.2011 21.02.2013 30.11.2012 31.01.2013 28.12.2012 19.02.2013 31.12.2012 30.06.2011
Date 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month
Inst Type Holding Company Unclassified Unclassified Endowment Bank Investment Advisor Investment Advisor Other Investment Advisor Other n/a Investment Advisor Mutual Fund Manager Bank Investment Advisor Investment Advisor Mutual Fund Manager Investment Advisor Mutual Fund Manager Mutual Fund Manager
Date 18.02.2013 18.02.2013 18.02.2013 18.02.2013 18.02.2013 17.02.2013 17.02.2013 15.02.2013 15.02.2013 15.02.2013 15.02.2013 15.02.2013 05.02.2013 04.02.2013 01.02.2013 30.01.2013 28.01.2013 17.01.2013 07.12.2012 20.11.2012 09.11.2012 09.11.2012 17.08.2012 21.02.2012
21.02.2013
PetroChina Co Ltd PetroChina Company Limited explores, develops, and produces crude oil and natural gas. The Company also refines, transports, and distributes crude oil and petroleum products, produces and sells chemicals, and transmits, markets and sells natural gas.
Price/Volume 12
160.0 M 140.0 M
10
120.0 M 8
Latest Fiscal Year: LTM as of: 52-Week High (29.02.2012) 52-Week Low (05.09.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 857 HK EQUITY YTD Change 857 HK EQUITY YTD % CHANGE
12/2011 09/yy 11.90 9.03 94'654'444.00 10.66 -10.42% 18.05% 59.58% 21'098.9 2'046'027.13 318'002.00 0.0 79'801.0 61'590.00 2'064'092.69
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
80.0 M 60.0 M
4
40.0 M 2
20.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
.0 M f-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 836'353.0 6.35x 269'727.0 19.70x 146'750.0 15.86x
100.0 M
6
Valuation Analysis
31.12.2008 31.12.2009 1'072'604.0 1'019'275.0 1.78x 2.57x 256'680.0 237'168.0 7.45x 11.04x 114'453.0 103'387.0 9.49x 14.65x Profitability
LTM-4Q 31.12.2010 1'465'415.0 1.54x 303'643.0 7.43x 139'992.0 11.33x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
FY+1
3.70 0.98 20'807.38 -2.97% -2.91% 0.976 34 3.471 61'952'800 67'120'940 65'580'840 FY+2
FQ+1
FQ+2
31.12.2011 09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 2'003'843.0 ######### ######### ######### ######### 554'837.7 586'637.0 1.04x 4.84x 3.95x 1.01x 0.96x 323'368.0 167'207.0 149'425.0 330'596.7 369'816.0 85'381.0 6.43x 0.00x 0.00x 6.24x 5.58x 132'961.0 143'399.0 116'511.0 121'063.3 138'323.3 28'249.3 30'297.0 10.74x 10.18x 12.84x 13.00x 11.24x 12.94x 12.43x S&P Issuer Ratings 323'368.00 Long-Term Rating Date 185'295.00 Long-Term Rating 9.25% Long-Term Outlook 9.19% Short-Term Rating Date 6.68% Short-Term Rating 12.80% Credit Ratios 10.29% EBITDA/Interest Exp. 1.09% (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA - Total Debt/EBITDA 15.5% Reference 8.5% Total Debt/Equity 6.6% Total Debt/Capital Asset Turnover 0.68 Net Fixed Asset Turnover 0.23 Accounts receivable turnover-days 16.58% Inventory Days 31.71% Accounts Payable Turnover Day 28.58 Cash Conversion Cycle -
Price/ Cash Flow
27.94 4.79 1.07 1.34 31.7% 22.7% 1.09 1.54 12.81 -
Sales/Revenue/Turnover
9.00
2'500'000.0
8.00
2'000'000.0
7.00 6.00
1'500'000.0
5.00 4.00
1'000'000.0
3.00
500'000.0
2.00 1.00 0.00 02.01.2009
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
PetroChina Co Ltd Holdings By:
All
Holder Name FRANKLIN RESOURCES BLACKROCK ABERDEEN JP MORGAN VANGUARD GROUP INC HARBOR CAPITAL ADVIS CHINA NATIONAL PETRO FMR LLC HANG SENG INVESTMENT STATE STREET GLOBAL PICTET & CIE TEMPLETON INVESTMENT SHINHAN BNP PARIBAS MANULIFE FUNDS DIREC BARING ASSET MANAGEM BANK OF NEW YORK MEL DANSKE INVEST A/S HARVEST FUND MANAGEM STATE STREET INVESCO ASSET MANAGE
Firm Name Sanford C. Bernstein & Co Nomura Mirae Asset Securities Standard Chartered UOB Kay Hian VTB Capital EVA Dimensions Jefferies Macquarie BOCOM International Holdings Bank of China International Daiwa Securities Co. Ltd. BNP Paribas Equity Research Renaissance Capital Masterlink Securities Ji Asia Deutsche Bank ICBC International Securities HSBC Capital Securities Corp DBS Vickers Mizuho Securities China International Capital Corp Morgan Stanley JPMorgan Goldman Sachs Credit Suisse Citic Securities Co., Ltd Barclays Guotai Junan Everbright Securities Co., Ltd GuoSen Securities Co Ltd SWS Research Co Ltd Industrial Securities
Portfolio Name n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios
Analyst NEIL BEVERIDGE SONIA SONG GORDON KWAN DUKE SUTTIKULPANICH YAN SHI COLIN SMITH CRAIG STERLING LABAN YU JAMES HUBBARD WU FEI LAWRENCE LAU ADRIAN LOH CHENG KHOO BRADLEY WAY LI XIN SAMUEL THAWLEY DAVID HURD ANNA YU THOMAS C HILBOLDT TEAM COVERAGE WEE KEAT LEE ANDREW S F CHAN BIN GUAN WEE KIAT TAN BRYNJAR EIRIK BUSTNES ARTHUR YAN DAVID HEWITT HUANG LILI SCOTT DARLING GRACE LIU VIVIAN CHEUNG STEVEN LU YE RONG FANG LEI
Source ULT-AGG ULT-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG 20F ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG
Recommendation market perform reduce buy outperform hold sell overweight buy neutral long-term buy buy outperform hold buy hold neutral hold hold underweight hold hold underperform hold Underwt/In-Line underweight neutral/neutral neutral overweight overweight accumulate not rated neutral neutral strong buy
Amt Held 2'386'933'770 2'089'627'304 1'720'031'963 1'475'541'067 1'078'263'034 350'420'000 291'518'000 233'615'559 175'819'770 175'742'108 80'054'000 79'104'272 69'053'243 66'938'000 64'762'000 63'578'000 61'756'335 59'934'000 56'296'608 47'938'000
% Out 11.31 9.9 8.15 6.99 5.11 1.66 1.38 1.11 0.83 0.83 0.38 0.37 0.33 0.32 0.31 0.3 0.29 0.28 0.27 0.23
Weighting
Change
3 2 5 5 3 1 5 5 3 5 5 5 3 5 3 3 3 3 1 3 3 1 3 1 1 3 3 5 5 4 #N/A N/A 3 3 5
M D M M M M M M D M M M M M D D M M D D M D D M M M M D M D M M M N
Latest Chg (12'092'000) 29'421'865 1'226'000 (16'333'200) 72'934'169 (9'780'632) 600'000 (64'000) 2'168'000 (29'080'000) (1'828'000) 996'000 (14'076'000) (1'296'000) 5'938'000
Target Price 12 10 13 14 12 9 #N/A N/A 16 11 13 13 12 10 13 12 10 11 10 10 #N/A N/A 9 9 10 9 8 11 11 11 13 11 #N/A N/A #N/A N/A 10 #N/A N/A
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 08.08.2012 Unclassified 13.12.2012 Unclassified 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.03.2012 Government 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 30.06.2012 Investment Advisor 31.10.2012 Mutual Fund Manager 30.09.2012 Investment Advisor 28.09.2012 Investment Advisor 30.06.2012 Unclassified 31.10.2012 Unclassified 19.02.2013 Investment Advisor 31.01.2013 Investment Advisor 30.06.2012 Investment Advisor 20.02.2013 Investment Advisor 31.05.2012 Mutual Fund Manager
Date 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided 35 month 12 month 12 month 12 month 9 month 12 month Not Provided 6 month Not Provided Not Provided Not Provided Not Provided Not Provided Not Provided
Date 21.02.2013 20.02.2013 20.02.2013 30.01.2013 24.01.2013 16.01.2013 15.01.2013 10.01.2013 09.01.2013 19.12.2012 17.12.2012 11.12.2012 04.12.2012 30.11.2012 28.11.2012 08.11.2012 01.11.2012 01.11.2012 31.10.2012 31.10.2012 31.10.2012 31.10.2012 31.10.2012 30.10.2012 30.10.2012 17.10.2012 15.10.2012 24.08.2012 23.08.2012 14.08.2012 31.05.2012 22.11.2011 28.10.2011 20.07.2009
21.02.2013
Ping An Insurance Group Co of China Ltd Ping An Insurance (Group) Company of China Limited provides a variety of insurance service in China. The Company writes property, casualty, and life insurance. Ping An Insurance also offers financial services.
Price/Volume 80
1200.0 M
70
1000.0 M
60 800.0 M
50 40
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.10.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2318 HK EQUITY YTD Change 2318 HK EQUITY YTD % CHANGE
12/2011 09/yy 72.70 53.00 19'307'952.00 64.95 -10.66% 22.55% 66.50% 3'129.7 481'299.16 322'062.00 0.0 40'475.0 94'582.00 651'372.99
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
400.0 M
20 200.0 M
10 0 f-12 m-12 a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
.0 M f-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 139'137.0 5.10x 18'688.0 30.00x
600.0 M
30
31.12.2008 31.12.2009 87'666.0 152'961.0 3.19x 3.24x 1'418.0 13'883.0 173.82x 31.68x Profitability
LTM-4Q 31.12.2010 195'052.0 3.37x 17'311.0 32.03x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 272'683.0 2.06x 19'475.0 16.61x 19.28% 11.01% 1.05% 14.71% 9.85% 0.16% 7.1% 14.09% 246.10% -
Price/ Cash Flow
LTM
FY+1
0.77 1.48 1'564.20 -2.49% 0.08% 1.477 30 4.233 10'902'580 47'140'420 35'102'580 FY+2
FQ+1
FQ+2
09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 244'495.0 313'844.0 321'397.7 380'716.5 9.11x 7.64x 1.80x 1.53x 0.0 0.0 0.00x 0.00x 19'074.0 21'041.0 21'888.3 28'722.5 14.56x 17.85x 18.20x 14.14x S&P Issuer Ratings Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
246.1% 65.3% 0.16 -
Sales/Revenue/Turnover
20.00
300'000.0
18.00
250'000.0
16.00 14.00
200'000.0
12.00
150'000.0
10.00 8.00
100'000.0
6.00 4.00
50'000.0
2.00 0.00 02.01.2009
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Ping An Insurance Group Co of China Ltd Holdings By:
All
Holder Name CHAROEN POKPHAND GRO JP MORGAN DIAMOND EPOCH LTD BLACKROCK VANGUARD GROUP INC JINJUN CO LTD FMR LLC UBS MATTHEWS INTERNATION T ROWE PRICE ASSOCIA MAPS INVESTMENT MANA HANG SENG INVESTMENT STATE STREET GLOBAL CAPITAL GROUP COMPAN BARING ASSET MANAGEM SHINHAN BNP PARIBAS ALLIANZ ASSET MANAGE GAM INTERNATIONAL MA SCHRODER INVESTMENT MIRAE ASSET GLOBAL I
Firm Name Core Pacific Credit Suisse Nomura JF Apex Securities Bhd Capital Securities Corp BOCOM International Holdings Morgan Stanley Jefferies Standard Chartered UOB Kay Hian JPMorgan DBS Vickers EVA Dimensions ABC International SWS Research Co Ltd Deutsche Bank CCB International Securities Ltd ICBC International Securities Bank of China International Goldman Sachs Kim Eng Securities Macquarie Guotai Junan HSBC AMTD Financial Planning Limited BNP Paribas Equity Research Phillip Securities China International Capital Corp Mirae Asset Securities China Merchants Securities
Portfolio Name n/a n/a #N/A N/A n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst OLIVE XIA ARJAN VAN VEEN DAVID CHUNG TEAM COVERAGE TEAM COVERAGE LI WENBING BEN LIN BARON NIE JENNIFER LAW EDMOND LAW CHAN BAO LING PING CHENG AUSTIN BURKETT FRANCIS CHAN ROBERT HU ESTHER CHWEI KENNETH YUE PIUS CHENG SUN PENG MANCY SUN IVAN LI SCOTT G RUSSELL FELIX LUO JAMES GARNER KENNY TANG SING HING DORRIS CHEN CHEN XINGYU TANG SHENGBO IVAN CHEUNG LUO JINMING
Source ULT-AGG ULT-AGG EXCH ULT-AGG MF-AGG EXCH ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG
Recommendation buy outperform neutral hold buy buy Overwt/In-Line buy outperform buy overweight buy sell sell neutral buy outperform buy hold Buy/Neutral buy neutral accumulate restricted buy hold buy buy hold buy
Amt Held 1'232'815'614 279'150'433 256'694'218 229'704'872 96'820'967 76'000'000 45'370'339 40'846'297 25'632'500 20'890'300 17'892'689 17'379'914 16'944'635 13'215'000 12'302'000 11'165'702 7'906'500 7'906'000 6'775'500 6'448'500
% Out 39.39 8.92 8.2 7.34 3.09 2.43 1.45 1.31 0.82 0.67 0.57 0.56 0.54 0.42 0.39 0.36 0.25 0.25 0.22 0.21
Latest Chg
Weighting
Change
Target Price
5 5 3 3 5 5 5 5 5 5 5 5 1 1 3 5 5 5 3 5 5 3 4 #N/A N/A 5 3 5 5 3 5
M M M M M M M M M M M M M M M U M M M M M M M M M M M M D M
1 2'131'000 (2'930'930) (2'885'500) (120'000'000) 5'262'045 (83'300) (668'000) 1'798'500 1'311'300 (894'024) (82'443'000) 3'583'000 509'500 1'634'000 (2'213'000) 1'641'500
80 80 67 74 70 83 80 83 72 84 76 79 #N/A N/A 68 62 86 77 75 66 79 70 67 73 #N/A N/A 64 67 80 77 58 60
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 06.02.2013 Holding Company 14.02.2013 Unclassified 01.02.2013 Other 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 24.08.2011 Corporation 31.12.2012 Investment Advisor 08.02.2013 Unclassified 28.09.2012 Investment Advisor 31.12.2012 Investment Advisor 28.09.2012 Mutual Fund Manager 30.06.2012 Investment Advisor 30.06.2012 Investment Advisor 31.12.2012 Investment Advisor 31.10.2012 Unclassified 28.09.2012 Investment Advisor 31.01.2013 Investment Advisor 31.10.2012 Investment Advisor 30.06.2012 Investment Advisor 28.09.2012 Investment Advisor
Date 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month 12 month 12 month Not Provided 9 month 12 month Not Provided 12 month Not Provided 12 month Not Provided Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided Not Provided 12 month Not Provided 12 month 12 month Not Provided
Date 21.02.2013 20.02.2013 20.02.2013 05.02.2013 04.02.2013 04.02.2013 03.02.2013 03.02.2013 31.01.2013 21.01.2013 16.01.2013 16.01.2013 15.01.2013 14.01.2013 11.01.2013 07.01.2013 07.01.2013 14.12.2012 12.12.2012 13.11.2012 06.11.2012 02.11.2012 31.10.2012 18.10.2012 16.10.2012 21.08.2012 02.03.2012 27.10.2011 18.10.2011 12.02.2009
21.02.2013
POSCO POSCO manufactures various types of steel products. The Company produces hot rolled steel, cold rolled steel, stainless steel, and other forms of steel. The products are mainly used for automobile, construction, and shipbuilding industries.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (02.03.2012) 52-Week Low (21.11.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 005490 KP EQUITY YTD Change 005490 KP EQUITY YTD % CHANGE
12/2012 12/yy 426'500.00 304'500.00 196'922.00 364500 -14.54% 19.70% 54.51% 87.2 31'779'602.00 11'641'328.00 0.0 0.0 2'187'300.00 40'186'656.53
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
1.8 M
400000
1.6 M
350000
1.4 M
300000
1.2 M
250000
1.0 M
200000
.8 M
150000
.6 M
100000
.4 M
50000
.2 M
0 f-12 m-12 a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12 d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 30'642'410.0 1.00x 8'448'098.8 3.61x 4'446'933.0 6.45x
450000
31.12.2009 31.12.2010 26'953'944.9 32'582'037.0 1.74x 1.34x 5'207'546.3 7'503'502.7 9.02x 5.82x 3'172'263.5 3'784'361.1 14.93x 9.91x Profitability
LTM-4Q 31.12.2011 39'171'703.0 0.99x 6'103'603.2 6.36x 3'188'844.8 9.21x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
FY+1
2.74 1.02 68.68 -9.72% 4.44% 1.016 47 4.617 130'527 143'018 180'214 FY+2
FQ+1
31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 35'664'933.1 ######### ######### ######### ######### ######### 4.26x 3.14x 1.19x 1.17x 5.07x - ######### ######### ######### ######### ######### 6.36x 0.00x 8.06x 7.35x 7.63x 2'499'522.9 ######### ######### ######### ######### 628'754.5 9.21x 0.00x 10.71x 11.03x 10.56x S&P Issuer Ratings 6'103'603.23 Long-Term Rating Date 2'789'597.26 Long-Term Rating 7.82% Long-Term Outlook 10.38% Short-Term Rating Date 6.26% Short-Term Rating 8.66% Credit Ratios 7.43% EBITDA/Interest Exp. 0.77% (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA 15.6% Total Debt/EBITDA 15.6% Reference 7.8% Total Debt/Equity 7.0% Total Debt/Capital Asset Turnover 2.78 Net Fixed Asset Turnover 1.28 Accounts receivable turnover-days 22.08% Inventory Days 30.96% Accounts Payable Turnover Day 10.08 Cash Conversion Cycle 5.03
Price/ Cash Flow
.0 M f-13
FQ+2 06/13 Q2 ######### 4.84x ######### 723'690.9 10.54x 22.10.2012 BBB+ STABLE 13.80 6.30 1.55 1.91 31.0% 23.6% 0.77 1.89 36.19 72.52 14.43 94.28
Sales/Revenue/Turnover
12.00
45'000'000.0 40'000'000.0
10.00
35'000'000.0 30'000'000.0
8.00
25'000'000.0 6.00
20'000'000.0 15'000'000.0
4.00
10'000'000.0 2.00 0.00 03.01.2010
5'000'000.0 0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
POSCO Holdings By:
All
Holder Name BANK OF NEW YORK POSCO NATIONAL PENSION SER EMPLOYEE STOCK OWNER BLACKROCK VANGUARD GROUP INC CAPITAL GROUP COMPAN MITSUBISHI CORP DIMENSIONAL FUND ADV SAMSUNG INVESTMENT T MITSUI & CO LTD GRANTHAM MAYO VAN OT KYOBO AXA INVESTMENT KOREA INVESTMENT TRU MATTHEWS INTERNATION MIRAE ASSET GLOBAL I FMR LLC UBS HANA ASSET MANAG FRANKLIN RESOURCES JF ASSET MANAGEMENT
Firm Name
Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios
Analyst
Daewoo Securities JEON SEUNG-HUN Woori Investment & Securities WILL BYUN Hanwha Securities Co., Ltd KIM KANG-OH Standard Chartered JAMES KP HONG Credit Suisse SINN MIN-SEOK Nomura CINDY PARK KIWOOM Securities Co Ltd CHANG-HO KIM Morgan Stanley YOUNG SUK SHIN Hyundai Securities KIM JI-HWAN Shinyoung Securities Co., Ltd. KANG-UN CHO IBK Securities Co Ltd PARK BYUNGCHIL Daishin Securities Co., Ltd. MOON JEONG-UP Korea Investment & Securities MOON SUN CHOI Samsung Securities CHRIS KIM Eugene Investment & Securities Co., LtdGYUNG-JUNG KIM HMC Investment Securities Co Ltd PARK HYUN-WOOK Shinhan Investment Corp JINJOO HONG SK Securities Co Ltd LEE WON JAE Tong Yang Investment Bank KEE-HYUN PARK KTB Securities SHIM HYE-SUN KB Investment & Securities Co., Ltd KIM HYUN-TAE HI Investment Securities BANG MINJIN Kyobo Securities UM JIN-SEOK Mirae Asset Securities KWON HAE-SOON Hana Daetoo Securities KIM JUNG-WOOK E*Trade Securities Korea KANG TAE-HYUN Taurus Investment Securities Co Ltd JI-WOONG YOO LIG Investment Securities YOON-SANG KIM JPMorgan AKIRA KISHIMOTO Daiwa Securities Co. Ltd. CHUNG SUNG-YOP BNP Paribas Equity Research TOSHIYUKI JOHNO Barclays EPHREM RAVI DBS Vickers LEE EUN YOUNG EVA Dimensions CRAIG STERLING Deutsche Bank CHANWOOK PARK Ji Asia SAMUEL THAWLEY Meritz Securities Co., Ltd LEE JONG-HYOUNG HSBC BRIAN CHO Goldman Sachs SEUNG SHIN VTB Capital WIKTOR BIELSKI Sanford C. Bernstein & Co VANESSA LAU Dongbu Securities Co Ltd CHAEHO RHEE Leading Investment & Securities PARK JOON-MO
Source Co File Co File EXCH Co File ULT-AGG MF-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG ULT-AGG MF-AGG
Recommendation buy buy buy in-line outperform buy buy Equalwt/In-Line buy buy buy buy buy buy buy buy buy neutral buy buy buy buy buy buy buy buy buy buy overweight hold buy overweight buy hold buy buy buy overweight neutral/neutral buy outperform hold hold
Amt Held 13'243'566 9'942'391 5'176'927 1'953'871 1'853'673 1'227'200 894'900 880'587 694'069 587'964 482'000 281'906 242'428 233'848 195'584 175'337 170'736 153'471 149'373 128'001
% Out 15.19 11.4 5.94 2.24 2.13 1.41 1.03 1.01 0.8 0.67 0.55 0.32 0.28 0.27 0.22 0.2 0.2 0.18 0.17 0.15
Weighting
Change 5 5 5 3 5 5 5 3 5 5 5 5 5 5 5 5 5 3 5 5 5 5 5 5 5 5 5 5 5 3 5 5 5 3 5 5 5 5 3 5 5 3 3
M M M D M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M M U N M M M N M N
Latest Chg (760'396) (4'720) 10'969 (252'230) 63'650 (953) (6'111) (110'355) (96'915) (41'488) 27'856 18'000
Target Price 460'000 420'000 450'000 380'000 400'000 470'000 436'000 380'000 430'000 480'000 440'000 420'000 420'000 420'000 450'000 450'000 450'000 350'000 437'000 430'000 360'000 420'000 465'000 420'000 450'000 430'000 450'000 440'000 428'000 320'000 420'000 420'000 440'000 #N/A N/A 412'000 470'000 420'000 410'000 368'000 457'647 460'000 435'000 420'000
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2011 Investment Advisor 31.12.2011 Corporation 30.06.2012 Investment Advisor 31.12.2011 n/a 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.03.2012 Corporation 31.07.2012 Investment Advisor 28.09.2012 Investment Advisor 31.03.2012 Corporation 31.05.2012 Investment Advisor 28.09.2012 Mutual Fund Manager 28.09.2012 Investment Advisor 28.09.2012 Investment Advisor 28.09.2012 Investment Advisor 31.12.2012 Investment Advisor 28.09.2012 Mutual Fund Manager 31.12.2012 Investment Advisor 30.09.2011 Mutual Fund Manager
Date 12 month 12 month 6 month 12 month Not Provided 12 month 6 month 12 month 12 month 12 month Not Provided 6 month 12 month 12 month 12 month 6 month 12 month 6 month 12 month 12 month 12 month 6 month 6 month 12 month 12 month 12 month 6 month 12 month 9 month Not Provided 12 month Not Provided 12 month Not Provided 12 month 12 month 6 month Not Provided 12 month 12 month Not Provided 12 month 12 month
Date 21.02.2013 18.02.2013 18.02.2013 16.02.2013 15.02.2013 15.02.2013 15.02.2013 13.02.2013 31.01.2013 31.01.2013 31.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 30.01.2013 29.01.2013 29.01.2013 29.01.2013 29.01.2013 25.01.2013 17.01.2013 15.01.2013 07.01.2013 10.12.2012 21.11.2012 24.10.2012 23.10.2012 18.09.2012 17.09.2012 27.08.2012
21.02.2013
Power Assets Holdings Ltd Power Assets Holdings Limited generates and supplies electricity and provides engineering consultancy and project management services.
Price/Volume 80
9.0 M
70
8.0 M
60
7.0 M 6.0 M
50
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (19.02.2013) 52-Week Low (31.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 6 HK EQUITY YTD Change 6 HK EQUITY YTD % CHANGE
12/2011 01/yy 71.80 53.40 2'330'407.00 69.9 -2.65% 30.90% 97.01% 2'134.3 149'184.89 23'626.00 0.0 0.0 6'121.00 167'796.89
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
4.0 M
30
3.0 M
20
2.0 M
10
1.0 M
0 f-12
m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
.0 M f-13
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 12'524.0 7.75x 9'437.0 10.28x 7'448.0 12.85x
5.0 M
40
31.12.2008 31.12.2009 12'773.0 10'395.0 7.40x 9.35x 9'633.0 7'428.0 9.81x 13.09x 8'029.0 6'697.0 11.57x 13.44x Profitability
31.12.2010 10'371.0 12.01x 7'449.0 16.72x 7'194.0 14.54x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 10'201.0 13.74x 6'628.0 21.14x 9'075.0 13.52x 6'628.00 4'793.00 46.99% 97.37% 9.87% 16.18% 12.04% 0.11% 60.5% 64.0% 46.2% 89.0% 2.19 1.58 24.94% 40.82% 11.78 4.46
Price/ Cash Flow
LTM-4Q
LTM
01/yy
01/yy -
FY+1 -
3.32 0.44 1'304.41 30.78% 5.59% 0.437 19 3.737 2'926'380 2'421'079 2'495'902 FY+2
12/12 Y 12/13 Y 10'586.5 10'825.3 15.70x 15.21x 8'425.5 8'659.3 19.92x 19.38x 9'583.4 10'010.4 15.54x 14.85x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
FQ+1
FQ+2
-
-
09.11.2010 A+ STABLE 9.94 6.22 2.79 3.78 40.8% 29.0% 0.11 0.22 31.07 82.00 202.29 -106.49
Sales/Revenue/Turnover
16.00
14'000.0
14.00
12'000.0
12.00
10'000.0
10.00
8'000.0
8.00
6'000.0
6.00
4'000.0
4.00
2'000.0
2.00 0.00 02.01.2009
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Power Assets Holdings Ltd Holdings By:
All
Holder Name CAPITAL GROUP COMPAN UNIVEST EQUITY SA VENNITON DEVELOPMENT INTERMAN DEVELOPMENT LIPTON FINANCES SA HESTONVILLE RESOURCE BLACKROCK ASIA EQUITIES INC HARRIS TRUST & SAVIN VANGUARD GROUP INC VONTOBEL ASSET MANAG PICTET ASSET MANAGEM STATE STREET GLOBAL INVESCO LTD MONITOR EQUITIES SA FMR LLC SEB SUMITOMO MITSUI ASSE CREDIT SUISSE ASSET DAIWA SB INVESTMENTS
Firm Name Credit Suisse EVA Dimensions Sanford C. Bernstein & Co Deutsche Bank JPMorgan HSBC Goldman Sachs Standard Chartered Nomura Morgan Stanley Citic Securities Co., Ltd DBS Vickers Mirae Asset Securities Bank of China International Daiwa Securities Co. Ltd. Macquarie AMTD Financial Planning Limited
Portfolio Name n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst EDWIN PANG AUSTIN BURKETT MICHAEL W PARKER ERIC CHENG ELAINE WU JENNY COSGROVE FRANKLIN CHOW DENNIS IP DANIEL RAATS SIMON H Y LEE SIMON YEUNG JUNE NG RICKY NG PETER YAO DAVE DAI IVAN LEE KENNY TANG SING HING
Source ULT-AGG EXCH EXCH EXCH EXCH EXCH ULT-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG
Recommendation neutral overweight market perform hold overweight neutral neutral/neutral outperform buy Overwt/In-Line buy hold hold hold outperform neutral buy
Amt Held 393'408'000 279'011'102 197'597'511 186'736'842 82'100'934 47'886'810 35'892'606 28'065'841 25'483'038 24'704'873 19'077'558 17'035'309 11'555'011 8'852'238 8'200'572 5'409'049 3'311'136 2'679'500 2'248'220 2'048'000
% Out 18.43 13.07 9.26 8.75 3.85 2.24 1.68 1.32 1.19 1.16 0.89 0.8 0.54 0.41 0.38 0.25 0.16 0.13 0.11 0.1
Weighting
Change 3 5 3 3 5 3 3 5 5 5 5 3 3 3 5 3 5
M M M M M M M M M U M M M M M M M
Latest Chg 23'640'500 598'000 5'283'482 395'388 1'718'684 (257'079) (643'480) (70'000) (480'902) 194'000 (27'000) 21'500 (800'000)
Target Price 70 #N/A N/A 60 63 70 70 68 74 57 71 70 61 61 62 69 57 60
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2012 Investment Advisor 16.07.2012 Other 16.07.2012 Other 16.07.2012 Other 16.07.2012 Other 16.07.2012 Other 19.02.2013 Investment Advisor 16.07.2012 Other 31.12.2012 Unclassified 31.12.2012 Investment Advisor 31.10.2012 Investment Advisor 31.10.2012 Investment Advisor 30.06.2012 Investment Advisor 20.02.2013 Investment Advisor 16.07.2012 Other 31.12.2012 Investment Advisor 31.12.2012 Unclassified 14.08.2012 Investment Advisor 28.12.2012 Mutual Fund Manager 24.07.2012 Investment Advisor
Date Not Provided Not Provided 12 month 12 month 3 month Not Provided 12 month 12 month Not Provided 12 month 6 month 12 month 12 month Not Provided Not Provided 12 month Not Provided
Date 06.02.2013 17.01.2013 09.01.2013 08.01.2013 02.01.2013 22.11.2012 07.11.2012 19.10.2012 14.10.2012 24.09.2012 13.09.2012 26.07.2012 26.07.2012 19.07.2012 19.07.2012 19.01.2012 14.12.2011
21.02.2013
Quanta Computer Inc Quanta Computer Inc. manufactures and markets notebook computers and related peripheral equipment.
Price/Volume 90
35.0 M
80
30.0 M
70
25.0 M
60
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.05.2012) 52-Week Low (08.01.2013) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2382 TT EQUITY YTD Change 2382 TT EQUITY YTD % CHANGE
12/2011 09/yy 86.40 61.40 7'156'531.00 66.4 -23.15% 8.14% 23.20% 3'845.6 255'345.34 78'104.03 0.0 0.0 66'234.31 256'988.60
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
20.0 M
40
15.0 M
30
10.0 M
20
5.0 M
10 0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 732'370.4 0.16x 12'733.8 9.32x 18'446.5 8.64x
50
31.12.2008 31.12.2009 763'064.2 750'034.7 0.12x 0.31x 15'329.5 16'540.6 5.75x 13.92x 20'219.5 22'313.0 6.20x 11.43x Profitability
LTM-4Q 31.12.2010 1'063'453.6 0.20x 12'301.1 17.09x 18'592.1 12.52x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
FY+1
.0 M f-13
1.22 1'741.01 64.65 2.50% -2.78% 1.218 29 3.069 10'408'900 11'331'430 10'607'200 FY+2
FQ+1
FQ+2
31.12.2011 09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 1'060'512.6 ######### ######### ######### ######### 293'030.1 241'768.8 0.24x 0.82x 1.12x 0.24x 0.23x 15'454.5 11'962.5 16'669.0 23'475.4 29'373.6 5'106.0 4'169.0 16.57x 18.38x 18.04x 10.95x 8.75x 23'052.5 18'844.4 24'095.3 23'327.4 24'122.4 5'871.6 5'258.4 10.58x 12.08x 12.40x 10.82x 10.34x 10.89x 10.42x S&P Issuer Ratings 15'454.53 Long-Term Rating Date 28.07.2005 14'927.62 Long-Term Rating NR 1.41% Long-Term Outlook 2.59% Short-Term Rating Date 6.92% Short-Term Rating 21.18% Credit Ratios 14.43% EBITDA/Interest Exp. 32.95 2.87% (EBITDA-Capex)/Interest Exp. 31.41 Net Debt/EBITDA 0.10 3.1% Total Debt/EBITDA 3.88 1.7% Reference 1.6% Total Debt/Equity 67.1% 2.2% Total Debt/Capital 40.2% Asset Turnover 2.87 1.39 Net Fixed Asset Turnover 107.36 1.17 Accounts receivable turnover-days 65.72 21.16% Inventory Days 20.54 67.13% Accounts Payable Turnover Day 52.59 5.57 Cash Conversion Cycle 36.03 17.82
Price/ Cash Flow
Sales/Revenue/Turnover
70.00
1'200'000.0
60.00
1'000'000.0
50.00
800'000.0
40.00
600'000.0 30.00
400'000.0 20.00
200'000.0
10.00 0.00 03.01.2009
0.0 03.07.2009
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Quanta Computer Inc Holdings By:
All
Holder Name CHIEN YU INVESTMENT CHIEN YU INVESTMENT PAI-LEE LAM CAPITAL GROUP COMPAN HE SA TRUST ACC VANGUARD GROUP INC TZU-CHEN LIANG C CAPITAL INC FOUNDA F EURO PACIFIC GROWTH YI CHIA HSIN INVEST HSIN MIN INVESTMENT BLACKROCK CAPITAL WORLD GROWTH T ROWE PRICE ASSOCIA VANGUARD EMS INDEX F HSIU-CHING LIANG POLARIS SEC INVESTME GRANTHAM MAYO VAN OT EASTSPRING INVESTMEN PICTET & CIE
Firm Name
Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst
KGI Securities ANGELA HSIANG Jih Sun Securities ALVIN KUO RBS WANG WANLI Mega Securities LU CALVIN JPMorgan GOKUL HARIHARAN Sanford C. Bernstein & Co ALBERTO MOEL President Capital Management YING-CHANG KUO Goldman Sachs ROBERT YEN Credit Suisse THOMPSON WU Fubon Securities ARTHUR LIAO EVA Dimensions ANDREW S ZAMFOTIS Daiwa Securities Co. Ltd. CHRISTINE WANG Wedge Partners JUN ZHANG Mizuho Securities CHARLES PARK Yuanta Securities Investment ConsultingVINCENT CHEN E Sun Securities LIU KUAN-MING BNP Paribas Equity Research CHARLES HSU Nomura EVE JUNG HSBC CARRIE LIU Morgan Stanley GRACE CHEN Macquarie ANDREW CHANG Barclays KIRK YANG SinoPac MARK Y CHEN Capital Securities Corp SEAN CHEN Masterlink Securities JIMMY CHEN Deutsche Bank IVY LEE Concord Securities Corp HUANG CHIN-HUNG
Source EXCH EXCH EXCH ULT-AGG Co File MF-AGG EXCH Co File Co File Co File Co File ULT-AGG Co File MF-AGG Co File EXCH MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation underperform neutral hold neutral overweight market perform neutral Sell/Neutral neutral reduce underweight hold no rating system neutral hold buy on weakness reduce neutral overweight Overwt/In-Line underperform overweight neutral neutral hold hold overweight
Amt Held 572'401'374 572'401'374 445'738'138 372'284'115 160'000'000 128'383'071 115'645'736 112'572'190 99'894'000 91'927'804 88'350'414 66'542'282 63'919'850 56'633'000 45'627'685 40'157'707 28'909'000 23'985'290 21'028'400 18'016'700
% Out 14.88 14.88 11.59 9.68 4.16 3.34 3.01 2.93 2.6 2.39 2.3 1.73 1.66 1.47 1.19 1.04 0.75 0.62 0.55 0.47
Weighting
Change
1 3 3 3 5 3 3 1 3 2 1 3 #N/A N/A 3 3 5 2 3 5 5 1 5 3 3 3 3 5
D M M M M U M D M M M M M M M M M M M M M M M M M M U
Latest Chg (40'590'258) (162'000) (3'118'000) 6'882'000 (1'237'000) (6'954'000) 1'727'000
Target Price 59 #N/A N/A 63 73 85 63 72 54 73 55 #N/A N/A 66 #N/A N/A 67 58 #N/A N/A 54 76 80 80 61 85 71 #N/A N/A 70 70 #N/A N/A
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.10.2012 Corporation 30.11.2012 Corporation 30.11.2012 n/a 31.12.2012 Investment Advisor 02.05.2012 n/a 31.12.2012 Investment Advisor 30.11.2012 n/a 02.05.2012 n/a 02.05.2012 n/a 02.05.2012 n/a 02.05.2012 Other 19.02.2013 Investment Advisor 02.05.2012 n/a 31.12.2012 Investment Advisor 02.05.2012 n/a 30.11.2012 n/a 30.06.2012 Mutual Fund Manager 31.05.2012 Investment Advisor 14.09.2012 Investment Advisor 31.10.2012 Mutual Fund Manager
Date 12 month Not Provided 12 month 6 month 9 month 12 month 6 month 12 month Not Provided 6 month Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided Not Provided 12 month 12 month Not Provided
Date 21.02.2013 19.02.2013 06.02.2013 06.02.2013 30.01.2013 28.01.2013 25.01.2013 21.01.2013 17.01.2013 17.01.2013 15.01.2013 14.01.2013 14.01.2013 10.01.2013 08.01.2013 14.12.2012 30.11.2012 28.11.2012 01.11.2012 31.10.2012 31.10.2012 31.10.2012 09.10.2012 05.10.2012 30.07.2012 02.04.2012 30.11.2009
21.02.2013
Samsung C&T Corp Samsung C&T Corporation is a general trading company that imports and exports electronics, chemicals, metals, and semiconductors. The Company also operates heavy construction and home building businesses in domestic and overseas markets.
Price/Volume 90000
2.5 M
80000 2.0 M
70000 60000
1.5 M
50000 40000
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (28.03.2012) 52-Week Low (16.11.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 000830 KP EQUITY YTD Change 000830 KP EQUITY YTD % CHANGE
12/2012 12/yy 82'700.00 54'900.00 377'777.00 66200 -19.95% 20.58% 42.81% 156.2 10'341'616.00 3'053'011.72 23'243.3 0.0 727'897.04 13'374'364.19
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
20000
.5 M
10000 0 f-12 m-12 a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 11'811'591.9 0.55x 400'552.5 16.15x 345'142.5 16.97x
1.0 M
30000
31.12.2009 31.12.2010 10'875'929.4 13'023'702.0 0.80x 0.99x 319'411.4 349'624.9 27.32x 36.91x 307'542.4 358'689.2 26.87x 32.44x Profitability
LTM-4Q 31.12.2011 15'696'693.0 0.79x 365'603.0 33.80x 297'722.4 33.85x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
FY+1
0.76 1.25 117.48 -12.99% 5.75% 1.250 35 4.714 483'587 609'275 582'435 FY+2
FQ+1
FQ+2
31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 17'241'095.1 ######### ######### ######### - ######### ######### 3.21x 2.31x - 365'017.5 255'003.7 33.86x 0.00x 416'125.3 297'721.2 416'125.0 474'000.0 806'000.0 127'200.0 114'100.0 33.85x 0.00x 13.21x S&P Issuer Ratings 365'603.01 Long-Term Rating Date 413'920.67 Long-Term Rating 2.40% Long-Term Outlook 2.72% Short-Term Rating Date 1.71% Short-Term Rating 3.35% Credit Ratios 3.36% EBITDA/Interest Exp. 0.90% (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA 8.6% Total Debt/EBITDA 2.3% Reference 2.4% Total Debt/Equity 2.4% Total Debt/Capital Asset Turnover 1.08 Net Fixed Asset Turnover 0.74 Accounts receivable turnover-days 16.45% Inventory Days 33.42% Accounts Payable Turnover Day 4.93 Cash Conversion Cycle 64.83
Price/ Cash Flow
.0 M f-13
3.04 2.44 6.36 8.35 33.4% 25.0% 0.90 22.58 73.98 5.63 38.25 41.35
Sales/Revenue/Turnover
25.00
40'000'000.0 35'000'000.0
20.00
30'000'000.0 25'000'000.0
15.00
20'000'000.0 10.00
15'000'000.0 10'000'000.0
5.00
0.00 03.01.2010
5'000'000.0 0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Samsung C&T Corp Holdings By:
All
Holder Name NATIONAL PENSION SER SAMSUNG SDI CO LTD SAMSUNG C&T CORP SAMSUNG LIFE INSURAN MIRAE ASSET GLOBAL I VANGUARD GROUP INC KOREA INVESTMENT TRU BLACKROCK SAMSUNG INVESTMENT T KUN HEE LEE JP MORGAN DIMENSIONAL FUND ADV FMR LLC UBS HANA ASSET MANAG MAPS INVESTMENT MANA KB ASSET MANAGEMENT JF ASSET MANAGEMENT TRUSTON ASSET MANAGE KYOBO AXA INVESTMENT CHINA INTERNATIONAL
Firm Name Hana Daetoo Securities KTB Securities Shinyoung Securities Co., Ltd. Kyobo Securities Credit Suisse KIWOOM Securities Co Ltd LIG Investment Securities Woori Investment & Securities Daishin Securities Co., Ltd. NH Investment & Securities Dongbu Securities Co Ltd Hyundai Securities Samsung Securities Shinhan Investment Corp Hanwha Securities Co., Ltd KB Investment & Securities Co., Ltd HI Investment Securities Nomura Mirae Asset Securities E*Trade Securities Korea Morgan Stanley Goldman Sachs Standard Chartered Deutsche Bank Korea Investment & Securities EVA Dimensions Tong Yang Investment Bank HSBC Daewoo Securities SK Securities Co Ltd Taurus Investment Securities Co Ltd Daiwa Securities Co. Ltd.
Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst SEUNG-WOO SHIN SUN-MI KIM JONG-HYO HAN CHO JOO-HYUNG SINN MIN-SEOK WILLIAM PARK JOONG-SUN CHAE SANG-WOOK WAYNE WANG-SANG LEE CHO YOON-HO KANG SEUNG-MIN RYAN YOO DEOK-SANG EMILY KIM KS KANG LEE SUN-IL CHO DONG-PIL HEU MOON-WOOK KIYOUNG ROH KEITH NAM BYUN SUNG-JIN SANG-YEON PARK JOON SEOK JINMOOK KIM JAMES KP HONG HAN SANG-HI LEE KYUNG-JA CRAIG STERLING SANG-HYUP CHONG BRIAN CHO SONG HEUNG-IK PARK HYUNG-RYUL PARK YONG-HEE MIKE OH
Source Co File EXCH EXCH EXCH EXCH MF-AGG MF-AGG ULT-AGG MF-AGG EXCH ULT-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation not rated buy buy buy outperform outperform buy buy buy buy buy buy buy buy buy buy buy buy hold buy Equalwt/In-Line neutral/neutral outperform buy buy sell buy overweight buy buy buy outperform
Amt Held 15'121'632 11'547'819 9'084'557 7'986'611 6'612'295 6'504'938 5'181'477 3'555'741 3'528'111 2'206'110 2'076'952 1'191'739 1'024'563 945'174 907'338 855'240 566'499 485'852 426'508 360'839
% Out 9.68 7.39 5.82 5.11 4.23 4.16 3.32 2.28 2.26 1.41 1.33 0.76 0.66 0.61 0.58 0.55 0.36 0.31 0.27 0.23
Weighting
Change
#N/A N/A 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 3 5 3 3 5 5 5 1 5 5 5 5 5 5
M M M M M M M M U M M M M M M M M M M M M M M M M M M U M M M M
Latest Chg (5'200) (21'109) (6'821'478) (31'563) (352'776) 7'014 159'093 (372'015) 332'507 60'272 (827'531) (79'519) 106'405 230'813 17'761 83'711
Target Price #N/A N/A 80'000 92'000 76'000 72'000 72'300 85'000 86'200 82'000 80'000 75'000 78'000 70'000 76'000 85'000 76'100 88'000 88'000 65'000 75'000 63'000 66'000 80'000 85'400 97'000 #N/A N/A 83'000 80'000 77'000 80'000 85'000 73'000
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 31.12.2011 30.04.2012 30.04.2012 21.09.2012 27.04.2010 31.12.2012 28.09.2012 19.02.2013 28.09.2012 30.04.2012 31.10.2012 31.07.2012 31.12.2012 28.09.2012 28.09.2012 28.09.2012 30.09.2011 28.09.2012 28.09.2012 30.06.2012
Date Not Provided 12 month 12 month 6 month Not Provided 6 month 12 month 12 month 6 month 6 month 12 month 12 month 12 month 12 month 6 month 12 month 6 month Not Provided 12 month 12 month 12 month 12 month 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month 6 month 6 month Not Provided
Inst Type Investment Advisor Corporation Corporation Insurance Company Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor n/a Unclassified Investment Advisor Investment Advisor Mutual Fund Manager Mutual Fund Manager Mutual Fund Manager Mutual Fund Manager Mutual Fund Manager Mutual Fund Manager Investment Advisor
Date 20.02.2013 19.02.2013 18.02.2013 18.02.2013 14.02.2013 14.02.2013 12.02.2013 04.02.2013 29.01.2013 29.01.2013 29.01.2013 29.01.2013 29.01.2013 29.01.2013 29.01.2013 29.01.2013 29.01.2013 29.01.2013 29.01.2013 29.01.2013 28.01.2013 28.01.2013 23.01.2013 22.01.2013 17.01.2013 17.01.2013 09.01.2013 06.12.2012 19.11.2012 23.07.2012 28.06.2012 12.06.2012
21.02.2013
Samsung Electronics Co Ltd Samsung Electronics Co., Ltd. manufactures a wide range of consumer and industrial electronic equipment and products such as semiconductors, personal computers, peripherals, monitors, televisions, and home appliances including air conditioners and microwave ovens. The Company also produces Internet access network systems and telecommunications equipment including mobile phones.
Price/Volume
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
1.2 M 1.0 M
1200000
12/2012 12/yy 1'584'000.00 1'091'000.00 262'473.00 1550000 -2.15% 42.07% 92.09% 147.3 228'313'968.00 4'796'865.00 119'467.0 0.0 14'630'145.00 218'688'339.35
1000000
.8 M
800000
.6 M
600000
.4 M
400000
.2 M
200000 0 f-12 m-12 a-12 m-12
j-12
j-12
a-12
s-12 o-12
n-12 d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 72'952'991.0 0.70x 11'753'254.0 4.32x 5'525'904.0 11.97x
1.4 M
1600000 1400000
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (03.01.2013) 52-Week Low (12.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 005930 KP EQUITY YTD Change 005930 KP EQUITY YTD % CHANGE
1800000
LTM-4Q
31.12.2009 31.12.2010 31.12.2011 31.12.2012 89'772'834.0 112'249'475.0 120'815'977.0 141'206'400.0 1.05x 1.02x 1.06x 14'207'387.0 20'345'636.0 18'987'465.0 6.61x 5.60x 6.75x 6'208'140.0 13'236'461.0 10'029'152.0 17'398'500.0 18.96x 10.69x 15.82x Profitability 18'987'465.00 18'510'400.00 13.11% 9.51% 12.82% 16.55% 16.09% 1.14% 25.2% 18.0% 13.1% 12.3% 1.46 1.11 4.08% 5.40% 7.93 18.47
Price/ Cash Flow
LTM
FY+1
.0 M f-13
1.11 106.63 32.07% 1.84% 1.113 51 4.863 185'662 263'669 277'963 FY+2
FQ+1
FQ+2
12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 ######### ######### ######### ######### 3.69x 3.37x 0.87x 0.75x ######### ######### ######### ######### 6.75x 0.00x 3.90x 3.69x ######### ######### ######### ######### 15.90x 0.00x 7.38x 6.97x S&P Issuer Ratings Long-Term Rating Date 25.01.2006 Long-Term Rating A Long-Term Outlook POS Short-Term Rating Date 25.01.2006 Short-Term Rating A-1 Credit Ratios EBITDA/Interest Exp. 75.22 (EBITDA-Capex)/Interest Exp. 23.73 Net Debt/EBITDA -0.40 Total Debt/EBITDA 0.11 Reference Total Debt/Equity 5.4% Total Debt/Capital 5.1% Asset Turnover 1.14 Net Fixed Asset Turnover 3.39 Accounts receivable turnover-days 46.18 Inventory Days 19.82 Accounts Payable Turnover Day 29.23 Cash Conversion Cycle 37.74 Sales/Revenue/Turnover
12.00
160'000'000.0 140'000'000.0
10.00
120'000'000.0 8.00
100'000'000.0 80'000'000.0
6.00
60'000'000.0
4.00
40'000'000.0 2.00 0.00 03.01.2010
20'000'000.0 0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Samsung Electronics Co Ltd Holdings By:
All
Holder Name SAMSUNG ELECTRONICS SAMSUNG LIFE INSURAN NATIONAL PENSION SER CITIBANK NA SAMSUNG C&T CORP KUN HEE LEE CAPITAL GROUP COMPAN KOREA INVESTMENT TRU BLACKROCK VANGUARD GROUP INC FMR LLC SAMSUNG FIRE & MARIN SAMSUNG INVESTMENT T T ROWE PRICE ASSOCIA MIRAE ASSET GLOBAL I JAE-YONG LEE MAPS INVESTMENT MANA CARMIGNAC GESTION KB ASSET MANAGEMENT SCHRODER INVESTMENT
Firm Name
Portfolio Name n/a n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst
HMC Investment Securities Co Ltd GREG GEUN-CHANG ROH Samsung Securities MINSEONG HWANG HSBC RICKY JUIL SEO Sanford C. Bernstein & Co MARK C NEWMAN Nomura CHANG-WON CHUNG Woori Investment & Securities YOUNG PARK BNP Paribas Equity Research PETER YU KIWOOM Securities Co Ltd KIM SUNG-IN Barclays BAE SEUNG-CHUL IBK Securities Co Ltd SEUNG-WOO LEE Daewoo Securities JAMES SONG Shinyoung Securities Co., Ltd. LIM DORI Tong Yang Investment Bank HYUN PARK Leading Investment & Securities SANG-WOO OH E*Trade Securities Korea JI-WOONG KIM Ji Asia STEVE MYERS NH Investment & Securities LEE SUN-TAE Credit Suisse KEON HAN JPMorgan JJ Park Dongbu Securities Co Ltd KWON SUNG-RYUL Daishin Securities Co., Ltd. KANG JEONG-WON JEFF KTB Securities JIN SUNG-HAE Daiwa Securities Co. Ltd. JAE H LEE Korea Investment & Securities SEO WON-SEOK Eugene Investment & Securities Co., LtdLEE JEONG Shinhan Investment Corp KIM YOUNG-CHAN Kim Eng Securities WARREN LAU Hanwha Securities Co., Ltd AHN SEONG-HO KB Investment & Securities Co., Ltd BYUN HAN-JOON Kyobo Securities KOO JA-WOO Mirae Asset Securities DOH HYUN-WOO Hana Daetoo Securities CHUN SUNG-HOON Taurus Investment Securities Co Ltd KIM HYUNG-SIK LIG Investment Securities CHOI DO-YEON Morgan Stanley SHAWN KIM Standard Chartered SEAN KIM Macquarie DANIEL KIM Mizuho Securities CHARLES PARK Susquehanna Financial Group MEHDI HOSSEINI EVA Dimensions ANDREW S ZAMFOTIS Wedge Partners BRIAN BLAIR HI Investment Securities SONG MYUNG-SUP SK Securities Co Ltd SUNG-JAE DAVID CHOI
Source Co File Co File EXCH Research Research EXCH ULT-AGG EXCH ULT-AGG MF-AGG ULT-AGG Research MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation buy buy overweight outperform buy buy buy buy overweight buy buy buy buy buy market perform sell buy outperform overweight buy buy buy buy buy buy buy buy buy buy buy buy buy buy buy Overwt/Attractive outperform outperform buy Positive buy no rating system buy buy
Amt Held 16'513'149 11'071'751 10'316'789 7'316'976 5'976'362 4'985'464 4'257'980 3'989'329 3'159'406 3'019'125 2'794'677 1'856'370 1'434'993 950'933 902'957 840'403 744'031 526'619 517'807 514'731
% Out 11.21 7.52 7 4.97 4.06 3.38 2.89 2.71 2.14 2.05 1.9 1.26 0.97 0.65 0.61 0.57 0.51 0.36 0.35 0.35
Weighting
Change
5 5 5 5 5 5 5 5 5 5 5 5 5 5 3 1 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 4 5 #N/A N/A 5 5
M M M M M M M M M M M M M M D M M M M M M M M M M M M M M M M N M M M M M M M M M M M
Latest Chg (399'465) 1'473'927 (739'645) 82'213 (83'124) (83'433) 90'082 106'644 (9'546) (27'405) 4'418 (58'661) 40'626
Target Price 1'850'000 1'900'000 2'000'000 2'300'000 2'000'000 1'800'000 2'300'000 2'100'000 2'000'000 1'800'000 1'900'000 1'650'000 2'000'000 1'920'000 1'520'000 1'162'000 1'900'000 1'900'000 1'900'000 1'800'000 2'000'000 1'900'000 2'000'000 2'000'000 1'900'000 1'900'000 2'300'000 1'850'000 1'900'000 1'850'000 1'900'000 1'750'000 1'850'000 1'900'000 1'700'000 2'100'000 2'300'000 1'800'000 2'000'000 #N/A N/A #N/A N/A 1'800'000 1'900'000
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 30.09.2012 Corporation 30.09.2012 Insurance Company 20.11.2012 Investment Advisor 31.12.2011 Bank 31.12.2011 Corporation 17.04.2012 n/a 31.12.2012 Investment Advisor 30.11.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2011 Insurance Company 28.09.2012 Investment Advisor 31.12.2012 Investment Advisor 28.09.2012 Investment Advisor 23.12.2011 n/a 28.09.2012 Mutual Fund Manager 31.12.2012 Investment Advisor 28.09.2012 Mutual Fund Manager 31.12.2012 Investment Advisor
Date 6 month 12 month Not Provided 12 month Not Provided 12 month 12 month 6 month Not Provided 12 month 12 month 12 month 12 month 12 month 12 month 12 month 6 month Not Provided 9 month 12 month 6 month 12 month Not Provided 12 month 12 month 12 month 12 month 6 month 12 month 12 month 12 month 12 month 6 month 12 month 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided 6 month 6 month
Date 21.02.2013 20.02.2013 20.02.2013 19.02.2013 19.02.2013 18.02.2013 18.02.2013 18.02.2013 18.02.2013 18.02.2013 13.02.2013 12.02.2013 12.02.2013 12.02.2013 12.02.2013 08.02.2013 07.02.2013 07.02.2013 06.02.2013 05.02.2013 04.02.2013 31.01.2013 31.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 28.01.2013 27.01.2013 26.01.2013 25.01.2013 25.01.2013 22.01.2013 17.01.2013 08.01.2013 06.01.2013 04.01.2013
21.02.2013
Sands China Ltd Sands China Ltd. develops, owns, and operates integrated resorts and casinos in Macau. The Company also owns convention and exhibition halls in Macau and retail malls.
Price/Volume 45 40 35 30 25 20
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (01.02.2013) 52-Week Low (26.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1928 HK EQUITY YTD Change 1928 HK EQUITY YTD % CHANGE
12/2012 12/yy 39.95 20.65 11'676'853.00 35.3 -11.64% 70.94% 79.53% 8'055.4 284'356.13 3'260.58 0.0 0.0 1'948.41 37'975.37
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
10 5 0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data
Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 3'053.3 571.8 175.7 -
15
100.0 M 90.0 M 80.0 M 70.0 M 60.0 M 50.0 M 40.0 M 30.0 M 20.0 M 10.0 M .0 M f-13
31.12.2009 31.12.2010 3'301.1 4'142.3 3.63x 4.77x 753.5 1'200.7 15.92x 16.47x 215.0 666.5 36.53x 26.54x Profitability
LTM-4Q 31.12.2011 4'880.8 4.85x 1'529.6 15.47x 1'133.1 20.07x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2012 6'511.4 5.62x 1'773.2 20.64x 1'235.7 28.54x 1'773.22 1'419.20 21.80% 19.01% 12.05% 22.26% 14.51% 0.63% 27.2% 21.8% 19.0% 1.77 1.73 31.39% 58.37% 10.41 -
Price/ Cash Flow
12/yy 4'880.8 4.77x 838.1 0.00x 1'133.1 0.00x
LTM 12/yy 6'511.4 9.82x 1'773.2 20.64x 1'235.7 28.55x
FY+1
1.89 1.31 2'397.27 23.29% 5.89% 1.312 29 4.517 18'118'920 13'353'610 11'682'800 FY+2
FQ+1
FQ+2
12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 8'413.4 9'647.4 1'990.3 2'053.0 4.55x 3.91x 19.99x 19.35x 2'558.2 3'049.4 604.7 629.3 14.84x 12.45x 14.31x 1'917.9 2'401.2 19.29x 15.22x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
17.07 4.45 0.74 1.84 58.4% 36.9% 0.63 0.89 35.14 -
Sales/Revenue/Turnover
25.00
7'000.0 6'000.0
20.00
5'000.0 15.00
4'000.0 3'000.0
10.00
2'000.0 5.00
0.00 01.01.2010
1'000.0 0.0 01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Sands China Ltd Holdings By:
All
Holder Name VENETIAN VENTURE DEV WADDELL & REED FINAN CAPITAL GROUP COMPAN FMR LLC BLACKROCK BANK OF NEW YORK MEL VANGUARD GROUP INC HARRIS TRUST & SAVIN VONTOBEL ASSET MANAG MASSACHUSETTS FINANC STATE STREET GLOBAL THORNBURG INVESTMENT ALLIANCE BERNSTEIN SANFORD C BERNSTEIN ARTISAN PARTNERS HOL HIRTLE CALLAGHAN & C DEUTSCHE BANK AG JF ASSET MANAGEMENT MATTHEWS INTERNATION TIAA CREF INVESTMENT
Firm Name Haitong International Securities Nomura Oppenheimer & Co Telsey Advisory Group Citic Securities Co., Ltd DBS Vickers Jefferies Morgan Stanley CIMB Kim Eng Securities China International Capital Corp UOB Kay Hian Credit Suisse JPMorgan Mizuho Securities China Galaxy Securities Union Gaming Research Goldman Sachs HSBC EVA Dimensions Deutsche Bank Macquarie Standard Chartered Daiwa Securities Co. Ltd. AMTD Financial Planning Limited Capital Securities Corp Barclays
Portfolio Name n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst DONALD CHENG CHARLENE LIU ELLA JI CHRISTOPHER E JONES MOHAN SINGH WEE KEAT LEE RONG LI PRAVEEN K CHOUDHARY MICHAEL TING JEREMY TAN ZIYING XIA VICTOR YIP GABRIEL CHAN KENNETH FONG ZENO TSE ANGELA HAN LEE GRANT GOVERTSEN SIMON CHEUNG SEAN MONAGHAN CRAIG STERLING KAREN TANG GARY PINGE JOHN Y F CHAN BING ZHOU KENNY TANG SING HING LANTIS LI FELICIA R KANTOR HENDRIX
Source Co File MF-AGG ULT-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation buy buy outperform no rating system hold buy hold Overwt/In-Line outperform buy buy buy outperform overweight buy buy buy Buy/Neutral neutral underweight buy neutral in-line outperform buy strong buy overweight
Amt Held 5'657'814'885 346'455'721 267'148'800 94'854'905 54'803'388 49'109'013 46'683'381 36'530'335 28'757'292 28'382'000 20'113'867 19'329'200 18'229'500 17'646'000 14'591'293 13'840'204 11'397'419 10'966'000 9'158'000 8'509'410
% Out 70.24 4.3 3.32 1.18 0.68 0.61 0.58 0.45 0.36 0.35 0.25 0.24 0.23 0.22 0.18 0.17 0.14 0.14 0.11 0.11
Weighting
Change
5 5 5 #N/A N/A 3 5 3 5 5 5 5 5 5 5 5 5 5 5 3 1 5 3 3 5 5 5 5
M M M M N U M M M M M M M M M U M M M M U M M M M M M
Latest Chg 6'316'800 (9'671'800) (261'350) 1'242'000 (5'600) 4'872'252 3'034'000 (1'388'637) 899'600 20'113'867 (41'200) (2'926'000) (890'800) (30'251'900) (12'800) 1'976'000 (1'171'600) (207'100)
Target Price 44 45 43 45 33 40 36 43 42 42 46 45 42 45 44 45 44 42 35 #N/A N/A 44 33 29 36 34 39 32
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2011 Unclassified 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Unclassified 31.10.2012 Investment Advisor 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.09.2011 Investment Advisor 31.12.2012 Investment Advisor 30.09.2011 Mutual Fund Manager 28.09.2012 Investment Advisor 31.12.2012 Investment Advisor
Date 12 month Not Provided 18 month Not Provided 6 month 12 month 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided 9 month 12 month 18 month 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided
Date 20.02.2013 18.02.2013 14.02.2013 10.02.2013 08.02.2013 07.02.2013 04.02.2013 03.02.2013 01.02.2013 01.02.2013 01.02.2013 01.02.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 31.01.2013 30.01.2013 20.01.2013 15.01.2013 04.01.2013 21.12.2012 04.12.2012 14.11.2012 05.11.2012 11.07.2012 03.02.2012
21.02.2013
Shinhan Financial Group Co Ltd Shinhan Financial Group Co., Ltd., a holding company, provides a full range of consumer and commercial banking-related financial services. The company's main businesses include banking, securities brokerage, trust banking, and assets management to individuals, businesses, and other financial institutions.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (19.03.2012) 52-Week Low (25.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 055550 KP EQUITY YTD Change 055550 KP EQUITY YTD % CHANGE
12/2012 12/yy 45'900.00 33'100.00 1'500'512.00 42100 -8.28% 27.19% 70.31% 474.2 19'963'802.00 7'039'393.00 274'055.0 0.0 2'220'166.00 27'149'563.61
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
4.0 M 3.5 M 3.0 M 2.5 M 2.0 M 1.5 M 1.0 M .5 M j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 2'455'904.0 8.07x 2'409'574.0 8.22x 2'020'398.0 6.64x
50000 45000 40000 35000 30000 25000 20000 15000 10000 5000 0 f-12 m-12 a-12 m-12
31.12.2009 31.12.2010 1'785'561.0 1'043'389.0 15.01x 29.98x 1'718'698.0 965'508.0 15.60x 32.40x 1'306'292.0 617'625.0 18.74x 64.83x Profitability
LTM-4Q 31.12.2011 2'124'112.0 11.27x 2'053'001.0 11.66x 1'672'908.0 13.50x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
31.12.2012 12/yy 12/yy 992'718.0 ######### 944'816.0 52.74x 83.80x - ######### 902'680.0 11.78x 0.00x 590'447.0 ######### 590'447.0 13.50x 0.00x 2'053'001.00 95.86% 79.09% 5.72% 7.04% 6.22% 0.07% 96.7% 59.5% 22.82% 36.75% -
Price/ Cash Flow
1.78 1.07 452.70 -2.69% 8.37% 1.071 43 4.628 1'117'991 1'022'497 1'080'739
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
.0 M f-13
-
2.35 3.43 36.7% 26.6% 0.07 1409.50 -
Sales/Revenue/Turnover
3'500.00
3'000'000.0
3'000.00
2'500'000.0
2'500.00
2'000'000.0
2'000.00
1'500'000.0 1'500.00
1'000'000.0 1'000.00
500'000.0
500.00 0.00 03.01.2010
0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Shinhan Financial Group Co Ltd Holdings By:
All
Holder Name NATIONAL PENSION SER BNP PARIBAS SA EMPLOYEE STOCK OWNER VANGUARD GROUP INC LAZARD ASSET MANAGEM BLACKROCK MIZUHO FINANCIAL GRO DIMENSIONAL FUND ADV ABU DHABI INVESTMENT FMR LLC SAMSUNG INVESTMENT T JAE-GEUN YOO KOREA INVESTMENT TRU COMMONWEALTH BANK OF ROBECO INVESTOR SERV KYOBO AXA INVESTMENT UBS HANA ASSET MANAG MIRAE ASSET GLOBAL I T ROWE PRICE ASSOCIA SWEDBANK ROBUR FONDE
Firm Name
Portfolio Name n/a n/a n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst
Barclays HA SUN MOK KTB Securities OH JIN-WON BNP Paribas Equity Research MICHELLE CHO HI Investment Securities YOO SANG-HO Credit Suisse GIL HYUNG KIM Daewoo Securities TAYE SHIM Daishin Securities Co., Ltd. CHOI JUNG-WOOK NH Investment & Securities KIM EUN-GAB Dongbu Securities Co Ltd LEE BYUNG-GUN Korea Investment & Securities LEE JOANNE Samsung Securities JAEWOO KIM Woori Investment & Securities JASON CHOI JPMorgan SCOTT YH SEO Hanwha Securities Co., Ltd KYU-SUN SHIM Mirae Asset Securities HEATHER KANG Hana Daetoo Securities HAN JEONG-TAE IBK Securities Co Ltd PARK JIN-HYOENG LIG Investment Securities SOHN JOON-BEUM HSBC SINYOUNG PARK Nomura MICHAEL NA Morgan Stanley JOON SEOK Standard Chartered JUSTIN KIM KIWOOM Securities Co Ltd SEO YOUNG-SOO Shinyoung Securities Co., Ltd. IM IL-SUNG Macquarie CHAN HWANG EVA Dimensions AUSTIN BURKETT Eugene Investment & Securities Co., LtdKIM IN Deutsche Bank JEE HOON PARK KB Investment & Securities Co., Ltd SHIM HYUN-SOO Taurus Investment Securities Co Ltd LEE CHANG-WOOK Tong Yang Investment Bank SUNG BYUNG-SOO E*Trade Securities Korea HA HAKSOO Meritz Securities Co., Ltd JUN JAE-GON HMC Investment Securities Co Ltd SEUNG-JOON LEE SK Securities Co Ltd BAE JUNG-HYUN Goldman Sachs STAN LEE Daiwa Securities Co. Ltd. ANDERSON CHA Hyundai Securities KOO KYUNG-HWE Kyobo Securities HWANG SEOK-KYU
Source EXCH Co File Co File MF-AGG ULT-AGG ULT-AGG ULT-AGG MF-AGG 20F ULT-AGG MF-AGG Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation overweight buy hold buy outperform buy buy buy buy buy buy buy overweight buy buy buy buy buy overweight buy Overwt/In-Line outperform market perform buy outperform overweight hold hold buy buy buy market perform buy buy buy neutral/neutral hold buy buy
Amt Held 34'829'793 30'106'275 16'974'245 12'768'672 11'793'011 8'764'663 5'979'550 5'891'780 5'626'182 4'332'165 4'126'372 3'043'256 2'927'860 2'289'300 1'399'233 1'358'974 1'258'761 1'067'566 1'007'973 849'963
% Out 7.34 6.35 3.58 2.69 2.49 1.85 1.26 1.24 1.19 0.91 0.87 0.64 0.62 0.48 0.3 0.29 0.27 0.23 0.21 0.18
Weighting
Change 5 5 3 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 3 5 5 5 3 3 5 5 5 3 5 5 5 3 3 5 5
M M M M M M M M M M M M M M M M M M M M U M D M M M M M M U M M N M M M M M M
Latest Chg 1'217'271 341'800 43'450 (232'275) (1'291'171) (276'351) (818'128) 80'870 (86) 6'866 (135'750) (2'189'925) (1'689'972) 198'810
Target Price 51'000 49'000 42'300 50'000 48'500 49'700 51'000 44'800 50'800 51'000 50'000 49'000 49'000 51'800 47'500 49'000 47'000 54'000 49'000 48'000 48'000 49'000 41'000 52'500 48'000 #N/A N/A 40'000 41'000 57'000 48'400 44'000 39'900 50'900 48'000 53'000 45'000 41'000 51'000 54'000
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2011 Investment Advisor 31.12.2011 Bank 31.12.2011 n/a 31.12.2012 Investment Advisor 31.12.2012 Unclassified 19.02.2013 Investment Advisor 20.06.2012 Bank 31.07.2012 Investment Advisor 31.12.2011 Government 31.12.2012 Investment Advisor 28.09.2012 Investment Advisor 30.03.2012 n/a 28.09.2012 Investment Advisor 31.10.2012 Bank 31.12.2012 Investment Advisor 28.09.2012 Mutual Fund Manager 28.09.2012 Mutual Fund Manager 28.09.2012 Investment Advisor 31.12.2012 Investment Advisor 30.09.2012 Investment Advisor
Date Not Provided 12 month 12 month 6 month Not Provided 12 month 6 month 6 month 12 month 12 month 12 month 12 month 9 month 6 month 12 month 12 month Not Provided 12 month Not Provided Not Provided 12 month 12 month 6 month 12 month 12 month Not Provided 12 month 12 month 12 month 6 month 12 month 12 month 6 month 6 month 6 month 12 month Not Provided 12 month 6 month
Date 19.02.2013 18.02.2013 18.02.2013 17.02.2013 15.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 08.02.2013 07.02.2013 07.02.2013 03.02.2013 23.01.2013 22.01.2013 21.01.2013 21.01.2013 17.01.2013 10.01.2013 08.01.2013 08.01.2013 24.12.2012 28.11.2012 21.11.2012 01.11.2012 01.11.2012 01.11.2012 31.10.2012 31.10.2012 21.09.2012 12.03.2012
21.02.2013
Singapore Telecommunications Ltd Singapore Telecommunications Limited is a communications group. The Group provides a diverse range of communication services and solutions, including fixed, mobile, data, Internet, info-communications technology, satellite and pay television. Singapore Telecom has a network of offices in multiple countries and territories throughout Asia Pacific, in Europe and the United States.
Price/Volume 4
400.0 M
3 2
03/2012 12/yy 3.62 3.02 11'470'000.00 3.53 -2.49% 16.89% 95.00% 15'943.6 56'280.83 8'793.80 0.0 20.4 1'346.40 63'439.93
300.0 M
2
200.0 M
1 100.0 M
1 0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
.0 M f-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
500.0 M
3
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (31.07.2012) 52-Week Low (31.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 21.02.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance ST SP EQUITY YTD Change ST SP EQUITY YTD % CHANGE
31.03.2008 14'844.4 4.61x 4'419.2 15.48x 3'960.2 15.70x
600.0 M
4
31.03.2009 31.03.2010 14'934.4 16'870.9 3.13x 3.31x 4'461.5 4'906.0 10.47x 11.37x 3'448.4 3'907.3 11.68x 12.91x Profitability
LTM-4Q 31.03.2011 18'070.6 2.92x 5'080.5 10.37x 3'825.3 12.57x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.03.2012 18'825.3 3.06x 5'186.3 11.11x 3'988.7 12.58x 5'186.30 3'184.70 16.92% 22.92% 9.90% 17.54% 13.81% 0.47% 83.3% 28.3% 17.0% 21.2% 1.05 0.76 21.76% 37.54% 5.14 11.39
Price/ Cash Flow
LTM
12/yy 18'687.6 11.81x 5'033.2 11.27x 3'691.4 13.34x
12/yy 18'481.8 12.78x 5'225.0 11.44x 3'929.1 13.38x
FY+1
0.69 7'619.59 20.40% 6.97% 0.693 25 3.400 22'360'600 23'788'970 22'724'140 FY+2
FQ+1
FQ+2
03/13 Y 03/14 Y 03/13 Q4 06/13 Q1 18'475.5 18'720.1 4'556.0 3.42x 3.36x 5'645.4 5'774.1 1'393.0 11.24x 10.99x 3'626.0 3'865.7 785.0 15.55x 14.53x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
05.08.2003 A+ STABLE 05.08.2003 A-1 13.14 7.44 1.37 1.52 37.5% 27.3% 0.47 1.62 71.18 32.14 527.30 -274.64
Sales/Revenue/Turnover
12.00
20'000.0 18'000.0
10.00
16'000.0 14'000.0
8.00
12'000.0
6.00
10'000.0 8'000.0
4.00
6'000.0 4'000.0
2.00 0.00 03.04.2009
2'000.0 0.0 03.10.2009
03.04.2010
03.10.2010
03.04.2011
03.10.2011
03.04.2012
03.10.2012
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Singapore Telecommunications Ltd Holdings By:
All
Holder Name TEMASEK HOLDINGS PRI CAPITAL GROUP COMPAN BLACKROCK ABERDEEN VANGUARD GROUP INC THORNBURG INVESTMENT FMR LLC DEUTSCHE BANK AG FRANKLIN RESOURCES TEMPLETON INVESTMENT JF ASSET MANAGEMENT T ROWE PRICE ASSOCIA EASTSPRING INVESTMEN INVESCO LTD BANQUE DE LUXEMBOURG SINGTEL PERF SHARE P NEUBERGER BERMAN LLC MORGAN STANLEY ING INVESTMENT MANAG DUFF & PHELPS INVEST
Firm Name UOB Kay Hian Credit Suisse OCBC Investment Research Nomura DBS Vickers OSK (Asia) Securities Phillip Securities Morgan Stanley HSBC Macquarie CIMB New Street Research Barclays Kim Eng Securities BNP Paribas Equity Research Goldman Sachs EVA Dimensions Standard Chartered JPMorgan Daiwa Securities Co. Ltd. Deutsche Bank
Portfolio Name n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios
Analyst JONATHAN KOH CHATE BENCHAVITVILAI CAREY WONG SACHIN GUPTA SACHIN MITTAL JEFFREY TAN KEN ANG NAVIN KILLA LUIS HILADO PREM JEARAJASINGAM KELVIN GOH BRIAN RUSLING ANAND RAMACHANDRAN GREGORY YAP FOONG CHOONG CHEN PIYUSH MUBAYI ANDREW S ZAMFOTIS DON SEE JAMES R SULLIVAN RAMAKRISHNA MARUVADA ALAN HELLAWELL
Source ULT-AGG ULT-AGG ULT-AGG ULT-AGG MF-AGG MF-AGG ULT-AGG MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG ULT-AGG MF-AGG MF-AGG
Recommendation sell outperform buy buy hold neutral neutral Overwt/In-Line neutral outperform underperform buy overweight sell buy neutral/neutral hold outperform neutral hold hold
Amt Held 8'283'957'568 486'605'310 206'933'877 197'335'755 154'719'673 81'195'000 80'141'134 47'763'601 47'021'684 39'548'475 35'336'000 34'325'250 29'283'000 26'974'424 20'425'000 20'297'692 19'960'000 18'375'096 17'356'200 17'145'400
% Out 51.96 3.05 1.3 1.24 0.97 0.51 0.5 0.3 0.29 0.25 0.22 0.22 0.18 0.17 0.13 0.13 0.13 0.12 0.11 0.11
Weighting
Change 1 5 5 5 3 3 3 5 3 5 1 5 5 1 5 3 3 5 3 3 3
M M M M M M M M M M M M M M M M M M M M M
Latest Chg (468'438'955) (33'078'000) (3'108'260) (595'900) (1'475'675) 4'285'000 13'186'332 (73'000) (9'221'717) (731'533) 3'660'000 893'000 15'677'000 1'145'000 607'000 150'000 458'630 3'332'000 13'000
Target Price 3 4 4 4 3 3 3 4 3 4 3 4 4 3 4 3 #N/A N/A 3 3 3 3
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 28.09.2012 Government 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.01.2013 Unclassified 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 30.11.2012 Investment Advisor 19.12.2011 Mutual Fund Manager 31.12.2012 Investment Advisor 14.09.2012 Investment Advisor 20.02.2013 Investment Advisor 31.12.2012 Investment Advisor 11.04.2012 Other 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor
Date Not Provided Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided 12 month
Date 21.02.2013 19.02.2013 19.02.2013 18.02.2013 15.02.2013 15.02.2013 15.02.2013 14.02.2013 14.02.2013 14.02.2013 14.02.2013 14.02.2013 14.02.2013 05.02.2013 01.02.2013 30.01.2013 17.01.2013 20.11.2012 14.11.2012 13.11.2012 04.10.2012
21.02.2013
SK Innovation Co Ltd SK Innovation Co., Ltd. refines, markets, and distributes oil. The Company produces a variety of petroleum products, such as gasoline, kerosene, liquefied petroleumgas (LPG), and diesel oil. SK Energy also manufactures petrochemical p roducts, including paraxylene, synthetic resins, styrene monomer, and ethylene.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (24.02.2012) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 096770 KP EQUITY YTD Change 096770 KP EQUITY YTD % CHANGE
12/2012 12/yy 195'500.00 124'000.00 377'027.00 176500 -9.72% 42.34% 76.92% 92.5 16'320'172.00 1'407'800.78 0.0 1'516'926.20 15'924'348.40
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
1.4 M 1.2 M 1.0 M .8 M .6 M .4 M .2 M j-12
j-12
a-12
s-12
o-12
n-12 d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2008 45'737'325.8 0.29x 2'434'368.4 5.37x 888'084.9 7.80x
200000 180000 160000 140000 120000 100000 80000 60000 40000 20000 0 f-12 m-12 a-12 m-12
31.12.2009 31.12.2010 35'827'543.8 43'863'585.0 0.46x 0.57x 1'521'006.6 2'231'677.0 10.74x 11.24x 679'761.8 881'923.6 16.07x 20.46x Profitability
LTM-4Q 31.12.2011 1'526'207.0 8.48x 623'643.0 20.76x 1'703'394.4 7.77x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
LTM
FY+1
.0 M f-13
1.59 1.30 52.56 -4.89% 1.44% 1.300 38 4.474 319'757 336'429 314'132 FY+2
FQ+1
FQ+2
31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 2'349'804.7 ######### ######### ######### - 346'300.0 365'000.0 43.99x 18.33x - 617'521.0 ######### 20.97x 0.00x 950'870.8 ######### 950'870.5 7.77x 0.00x 9.56x S&P Issuer Ratings 623'643.00 Long-Term Rating Date 12.03.2008 1'209'465.81 Long-Term Rating BBB 51.47% Long-Term Outlook STABLE 144.36% Short-Term Rating Date 8.02% Short-Term Rating 14.38% Credit Ratios 10.15% EBITDA/Interest Exp. 7.77 0.07% (EBITDA-Capex)/Interest Exp. 0.44 Net Debt/EBITDA -0.17 54.5% Total Debt/EBITDA 2.26 40.9% Reference 51.5% Total Debt/Equity 11.2% 40.5% Total Debt/Capital 10.1% Asset Turnover 0.07 4.48 Net Fixed Asset Turnover 0.26 3.84 Accounts receivable turnover-days 469.74 9.46% Inventory Days 1402.65 11.20% Accounts Payable Turnover Day -167.33 0.78 Cash Conversion Cycle 2039.72 0.26
Price/ Cash Flow
Sales/Revenue/Turnover
140.00
50'000'000.0 45'000'000.0
120.00
40'000'000.0
100.00
35'000'000.0 30'000'000.0
80.00
25'000'000.0 20'000'000.0
60.00
15'000'000.0
40.00
10'000'000.0 20.00 0.00 03.01.2010
5'000'000.0 0.0 03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
SK Innovation Co Ltd Holdings By:
All
Holder Name SK HOLDINGS CO LTD FRANKLIN RESOURCES NATIONAL PENSION SER VANGUARD GROUP INC BLACKROCK JX HOLDINGS INC KOREA INVESTMENT TRU SAMSUNG INVESTMENT T TEMPLETON INVESTMENT DIMENSIONAL FUND ADV SCHRODER INVESTMENT UBS HANA ASSET MANAG KB ASSET MANAGEMENT MIRAE ASSET GLOBAL I MAPS INVESTMENT MANA INVESTEC ASSET MANAG SHINHAN BNP PARIBAS KYOBO AXA INVESTMENT FMR LLC JF ASSET MANAGEMENT
Firm Name
Portfolio Name n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios
Analyst
Shinhan Investment Corp YI EUNG-JU KTB Securities YOO YOUNG KOOK KB Investment & Securities Co., Ltd PARK JAE-CHUL HI Investment Securities LEE HEE-CHEOL Woori Investment & Securities KIM SUN-WOO Nomura CINDY PARK Hanwha Securities Co., Ltd LEE DA-SOL Credit Suisse CHO A-HYUNG Eugene Investment & Securities Co., LtdKWAK JIN-HEE Tong Yang Investment Bank HWANG KYU-WON Daewoo Securities PARK YEON-JU NH Investment & Securities CHOI JI-HWAN Korea Investment & Securities PARK KIYONG Hyundai Securities BAEK YOUNG-CHAN KIWOOM Securities Co Ltd KYUNG-HYUK MIN Mirae Asset Securities YOUNG-BAE KWON Taurus Investment Securities Co Ltd JAESUNG YOON Morgan Stanley HARRISON H HWANG JPMorgan SAMUEL SW LEE Samsung Securities SEUNGWOO KIM BNP Paribas Equity Research POR YONG LIANG Standard Chartered DUKE SUTTIKULPANICH Shinyoung Securities Co., Ltd. OH JUNG-IL HSBC DENNIS HYUNCHUL YOO Macquarie BRANDON I LEE IBK Securities Co Ltd CHOONG-JAE LEE EVA Dimensions CRAIG STERLING SK Securities Co Ltd SOHN JI-WOO Daishin Securities Co., Ltd. AHN SANG-HEE Kyobo Securities YOUNG-JOO SON E*Trade Securities Korea WON YONG-JIN Deutsche Bank SHAWN PARK LIG Investment Securities PARK YOUNG-HOON Mizuho Securities ANDREW S F CHAN Bookook Securities Co Ltd CHOI SANG-DO
Source Co File ULT-AGG EXCH MF-AGG ULT-AGG Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG ULT-AGG MF-AGG
Recommendation buy buy buy buy buy buy buy outperform buy buy buy buy buy buy buy buy buy Equalwt/Cautious neutral buy buy in-line buy underweight neutral buy hold buy buy strong buy buy buy buy neutral buy
Amt Held 30'883'788 10'332'304 7'946'224 3'224'635 1'569'539 913'642 719'733 650'995 626'896 618'679 427'389 402'313 386'254 378'148 361'945 294'869 289'658 272'345 209'789 170'500
% Out 33.4 11.17 8.59 3.49 1.7 0.99 0.78 0.7 0.68 0.67 0.46 0.44 0.42 0.41 0.39 0.32 0.31 0.29 0.23 0.18
Weighting
Change 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 5 3 3 5 5 3 5 1 3 5 3 5 5 5 5 5 5 3 5
M M M M M M M M M M M M M M M M M M M M M M M D D M M M M U M M M N M
Latest Chg (55'966) 930'221 (26'918) 1'209 38'833 1'366 50'598 45'192 (65'191) 123'511 136'322 (1'935) (4'103) 4'316 (424'485) 170'500
Target Price 210'000 240'000 210'000 230'000 220'000 230'000 210'000 206'000 203'000 220'000 220'000 200'000 210'000 220'000 208'000 200'000 220'000 159'000 150'000 200'000 225'000 170'000 210'000 150'000 150'000 185'000 #N/A N/A 200'000 200'000 216'000 220'000 200'000 218'000 140'000 240'000
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 31.12.2011 30.09.2012 27.12.2012 31.12.2012 19.02.2013 31.03.2012 28.09.2012 28.09.2012 30.09.2012 31.07.2012 31.12.2012 28.09.2012 28.09.2012 28.09.2012 28.09.2012 30.11.2012 28.09.2012 28.09.2012 31.12.2012 30.09.2011
Date 12 month 12 month 12 month 6 month 12 month Not Provided 6 month Not Provided 12 month 12 month 12 month 6 month 12 month 12 month 6 month 12 month 6 month 12 month 9 month 12 month 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided 6 month 6 month 6 month 12 month 12 month 12 month 12 month 6 month
Inst Type Corporation Investment Advisor Investment Advisor Investment Advisor Investment Advisor Corporation Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Mutual Fund Manager Mutual Fund Manager Investment Advisor Mutual Fund Manager Investment Advisor Investment Advisor Mutual Fund Manager Investment Advisor Mutual Fund Manager
Date 21.02.2013 19.02.2013 19.02.2013 19.02.2013 18.02.2013 18.02.2013 13.02.2013 07.02.2013 06.02.2013 06.02.2013 04.02.2013 04.02.2013 04.02.2013 04.02.2013 04.02.2013 04.02.2013 04.02.2013 03.02.2013 03.02.2013 01.02.2013 01.02.2013 30.01.2013 29.01.2013 16.01.2013 16.01.2013 16.01.2013 15.01.2013 07.01.2013 05.12.2012 12.11.2012 17.10.2012 13.08.2012 19.07.2012 12.07.2012 14.11.2011
21.02.2013
Sun Hung Kai Properties Ltd Sun Hung Kai Properties Limited, through its subsidiaries, develops and invests in properties. The Company also operates hotels, manages properties, car parking and transportation infrastructure. In addition, Sun Hung Kai operates logistics business, construction, financial services, telecommunication Internet infrastructure and enabling services.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (24.01.2013) 52-Week Low (18.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 16 HK EQUITY YTD Change 16 HK EQUITY YTD % CHANGE
06/2012 01/yy 130.80 85.30 5'647'943.00 120.6 -7.80% 41.38% 81.54% 2'656.9 320'424.81 71'266.00 0.0 4'400.0 15'049.00 381'041.82
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
140.0 M
120
120.0 M
100
100.0 M
80
80.0 M
60
60.0 M
40
40.0 M
20
20.0 M
0 f-12 m-12 a-12 m-12
30.06.2009 30.06.2010 34'234.0 33'211.0 8.36x 9.55x 15'138.0 14'752.0 18.90x 21.50x 10'356.0 30'039.0 23.96x 9.17x Profitability
30.06.2011 62'553.0 5.56x 22'381.0 15.54x 48'097.0 6.06x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
30.06.2012 68'400.0 4.37x 26'339.0 11.35x 43'080.0 5.48x 26'339.00 24'801.00 36.26% 71.77% 9.78% 13.18% 11.37% 0.16% 42.8% 38.5% 36.3% 63.0% 3.74 0.67 15.24% 20.56% 5.15 0.36
Price/ Cash Flow
LTM-4Q
LTM
01/yy
01/yy -
j-12
a-12
s-12
o-12
n-12
d-12
j-13
.0 M f-13
FY+1 -
2.78 0.99 2'138.87 3.61% 3.79% 0.991 24 4.417 3'176'525 4'974'356 4'473'204 FY+2
06/13 Y 06/14 Y 63'181.2 68'743.1 5.96x 5.37x 26'723.4 28'602.5 14.26x 13.32x 22'407.3 23'071.3 14.49x 13.87x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
FQ+1
FQ+2
-
-
15.06.2012 A+ NEG 13.52 10.37 2.13 2.71 20.6% 16.9% 0.16 0.28 71.06 1013.07 14.12 1070.00
Sales/Revenue/Turnover
40.00
80'000.0
35.00
70'000.0
30.00
60'000.0
25.00
50'000.0
20.00
40'000.0
15.00
30'000.0
10.00
20'000.0
5.00
10'000.0
0.00 03.07.2009
j-12
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 30.06.2008 24'471.0 12.62x 11'640.0 26.54x 27'602.0 9.73x
140
0.0 03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Sun Hung Kai Properties Ltd Holdings By:
All
Holder Name KWOK KAI FAI ADAM ADOLFA LTD BERTANA LTD CYRIC LTD ASPORTO LTD ROSY RESULT LTD THRIVING TALENT LTD BLACKROCK VANGUARD GROUP INC FMR LLC SCHRODER INVESTMENT SIMBAWEST LTD CAPITAL GROUP COMPAN ARTISAN PARTNERS HOL CANNIA LTD STATE STREET GLOBAL MORGAN STANLEY ING INVESTMENT MANAG COHEN & STEERS CAPIT EUROPEAN INVESTORS I
Firm Name BOCOM International Holdings DBS Vickers Kim Eng Securities Sanford C. Bernstein & Co Credit Suisse Jefferies Nomura Standard Chartered EVA Dimensions Morgan Stanley JPMorgan BNP Paribas Equity Research UOB Kay Hian Goldman Sachs Daiwa Securities Co. Ltd. Macquarie HSBC Citic Securities Co., Ltd Deutsche Bank AMTD Financial Planning Limited
Portfolio Name n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios n/a n/a Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a
Analyst ALFRED LAU JEFF YAU IVAN CHEUNG KENNETH TSANG CUSSON LEUNG VENANT CHIANG PAUL LOUIE PAUL YAU AUSTIN BURKETT PRAVEEN K CHOUDHARY LUCIA KWONG LEE WEE LIAT SYLVIA WONG ANTHONY WU JONAS KAN DAVID NG PERVEEN WONG ADRIAN NGAN JASON CHING KENNY TANG SING HING
Source EXCH EXCH EXCH EXCH EXCH EXCH EXCH ULT-AGG MF-AGG ULT-AGG MF-AGG EXCH ULT-AGG MF-AGG EXCH MF-AGG ULT-AGG MF-AGG MF-AGG Research
Recommendation buy buy buy market perform outperform buy neutral outperform overweight Overwt/Attractive overweight buy hold buy/attractive buy neutral overweight overweight buy buy
Amt Held 109'999'291 68'200'032 68'200'032 68'200'032 55'800'026 55'800'026 55'800'026 44'349'662 31'135'748 20'749'748 19'981'331 16'818'330 14'690'958 13'615'670 12'562'449 11'978'606 9'585'738 7'153'290 6'508'900 5'939'184
% Out 4.14 2.57 2.57 2.57 2.1 2.1 2.1 1.67 1.17 0.78 0.75 0.63 0.55 0.51 0.47 0.45 0.36 0.27 0.24 0.22
Weighting
Change 5 5 5 3 5 5 3 5 5 5 5 5 3 5 5 3 5 5 5 5
M M M M M M M M D M M M M M U M M D M M
Latest Chg (2'324'588) 672'613 (5'038'992) 2'091'396 2'330'958 2'293'000 (450'532) (241'084) (286'380) (28'000) 12'575
Target Price 147 142 154 101 138 127 127 139 #N/A N/A 137 131 144 123 143 137 97 140 127 115 112
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 13.07.2012 20.12.2012 20.12.2012 20.12.2012 20.12.2012 20.12.2012 20.12.2012 19.02.2013 31.12.2012 31.12.2012 31.12.2012 20.12.2012 31.12.2012 31.12.2012 20.12.2012 30.06.2012 31.12.2012 31.12.2012 19.02.2013 31.12.2012
Date 12 month 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided 12 month 9 month 12 month Not Provided 12 month Not Provided 12 month Not Provided 6 month 12 month Not Provided
Inst Type n/a Other Unclassified Other Other Other Other Investment Advisor Investment Advisor Investment Advisor Investment Advisor Other Investment Advisor Investment Advisor Unclassified Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor
Date 18.02.2013 15.02.2013 14.02.2013 08.02.2013 06.02.2013 04.02.2013 25.01.2013 24.01.2013 23.01.2013 21.01.2013 17.01.2013 16.01.2013 15.01.2013 06.01.2013 10.12.2012 06.11.2012 19.10.2012 19.09.2012 14.09.2012 13.09.2012
21.02.2013
Swire Pacific Ltd Swire Pacific Limited, through its subsidiaries, operates in the real estate, aviation, beverage, industrial, marine services, trading, and industrial businesses.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (18.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.08.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 19 HK EQUITY YTD Change 19 HK EQUITY YTD % CHANGE
12/2011 01/yy 101.30 81.15 1'407'001.00 99.75 -1.53% 22.92% 97.02% 905.6 147'540.16 39'919.00 0.0 4'917.0 3'922.00 230'122.16
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
6.0 M
100
5.0 M
80
4.0 M
60
3.0 M
40
2.0 M
20
1.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
.0 M f-13
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 21'553.0 8.69x 6'565.0 28.54x 26'260.0 6.23x
120
31.12.2008 31.12.2009 24'670.0 24'909.0 4.04x 6.09x 7'933.0 8'387.0 12.57x 18.10x 5'853.0 21'893.0 13.79x 6.46x Profitability
31.12.2010 29'201.0 7.10x 9'051.0 22.90x 38'252.0 5.03x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 36'286.0 4.49x 10'102.0 16.12x 32'210.0 4.38x 10'102.00 8'435.00 23.25% 94.21% 5.48% 7.84% 7.03% 0.13% 41.1% 26.9% 22.3% 88.8% 0.81 0.26 13.64% 17.54% 14.29 2.41
Price/ Cash Flow
LTM-4Q
LTM
01/yy
01/yy -
FY+1 -
3.36 0.82 638.67 18.36% 4.07% 0.822 14 3.214 738'431 1'242'727 1'251'624 FY+2
12/12 Y 12/13 Y 42'212.7 44'683.1 4.53x 4.31x 13'458.6 12'862.6 17.10x 17.89x 8'831.6 9'661.9 15.76x 15.78x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
FQ+1
FQ+2
-
-
16.08.2005 ASTABLE 5.72 0.10 4.29 5.17 17.5% 14.7% 0.13 0.17 25.61 151.56 33.90 134.00
Sales/Revenue/Turnover
30.00
40'000.0 35'000.0
25.00
30'000.0 20.00
25'000.0 20'000.0
15.00
15'000.0
10.00
10'000.0 5.00 0.00 02.01.2009
5'000.0 0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Swire Pacific Ltd Holdings By:
All
Holder Name ELHAM LTD ABERDEEN JP MORGAN JOHN SWIRE & SONS HK VANGUARD GROUP INC SCHRODER INVESTMENT BLACKROCK TAIKOO LTD SHREWSBURY HOLDINGS WALTHAM LTD MATTHEWS INTERNATION T ROWE PRICE ASSOCIA STATE STREET GLOBAL INVESTEC ASSET MANAG COMMONWEALTH BANK OF FIDELITY INVESTMENTS TEMPLETON INVESTMENT NEW JERSEY DIVISION CREDIT SUISSE ASSET DANSKE INVEST MANAGE
Firm Name Credit Suisse Deutsche Bank Jefferies Morgan Stanley Standard Chartered EVA Dimensions Goldman Sachs Macquarie HSBC Nomura
Portfolio Name n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst CUSSON LEUNG TONY TSANG VENANT CHIANG LIN HE JOHN Y F CHAN AUSTIN BURKETT SIMON CHEUNG CALLUM BRAMAH MARK CARMERON ROSS WEBB BENJAMIN LO
Source EXCH ULT-AGG ULT-AGG EXCH MF-AGG MF-AGG ULT-AGG EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation neutral hold hold Equalwt/In-Line outperform underweight neutral/neutral neutral overweight reduce
Amt Held 196'290'500 118'712'051 45'703'401 39'580'357 22'864'204 20'910'364 15'203'580 12'632'302 9'140'000 8'152'500 8'148'000 7'282'500 5'657'371 3'434'000 3'202'500 3'159'000 2'518'078 1'611'006 1'582'802 1'463'000
% Out 21.68 13.11 5.05 4.37 2.52 2.31 1.68 1.39 1.01 0.9 0.9 0.8 0.62 0.38 0.35 0.35 0.28 0.18 0.17 0.16
Weighting
Change 3 3 3 3 5 1 3 3 5 2
M M M M U M M M M M
Latest Chg (933'092) 3'590'000 31'000 (651'500) (712'920) (27'500) 9'500 (8'000)
Target Price 91 80 96 101 111 #N/A N/A 99 99 102 82
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 31.12.2012 Other 19.12.2012 Unclassified 17.12.2012 Unclassified 31.12.2012 Corporation 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Other 31.12.2012 Holding Company 31.12.2012 Corporation 28.09.2012 Investment Advisor 31.12.2012 Investment Advisor 30.06.2012 Investment Advisor 30.11.2012 Investment Advisor 31.10.2012 Bank 31.12.2010 Mutual Fund Manager 30.09.2012 Investment Advisor 30.06.2012 Pension Fund (ERISA) 28.12.2012 Mutual Fund Manager 29.06.2012 Investment Advisor
Date Not Provided 12 month 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided
Date 20.02.2013 18.02.2013 04.02.2013 31.01.2013 17.01.2013 17.01.2013 04.01.2013 06.11.2012 14.08.2012 10.08.2012
21.02.2013
Taiwan Semiconductor Manufacturing Co Ltd Taiwan Semiconductor Manufacturing Company Ltd. manufactures and markets integrated circuits. The Company provides the following services: wafer manufacturing, wafer probing, assembly and testing, mask production, and design services. TSMC's ICs are used in computer, communication, consumer electronics, automotive, and industrial equipment industries.
Price/Volume
120.0 M 100.0 M 80.0 M
60
Latest Fiscal Year: LTM as of: 52-Week High (20.02.2013) 52-Week Low (23.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2330 TT EQUITY YTD Change 2330 TT EQUITY YTD % CHANGE
12/2012 12/yy 109.50 73.80 30'551'806.00 107 -2.28% 44.99% 98.60% 25'920.7 2'773'516.00 114'721.20 0.0 0.0 111'697.01 2'776'540.10
60.0 M
40
40.0 M
20
20.0 M
0 f-12 m-12 a-12 m-12
31.12.2009 31.12.2010 285'742.9 406'963.3 5.41x 4.32x 168'850.2 238'212.6 9.16x 7.37x 89'217.8 161'605.0 18.70x 11.38x Profitability
LTM-4Q 31.12.2011 418'245.5 4.60x 241'831.2 7.96x 134'201.3 14.63x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2012 499'871.9 5.04x 301'201.6 8.36x 166'158.8 15.13x 301'201.65 176'801.77 35.37% 36.74% 19.53% 24.53% 21.84% 0.59% 46.9% 59.3% 34.8% 33.2% 1.50 0.87 12.12% 15.86% 32.75 9.37
Price/ Cash Flow
j-12
a-12
s-12
o-12
n-12
d-12
j-13
LTM
FY+1
.0 M f-13
0.83 22'633.41 14.32 38.69% 10.31% 0.826 32 4.344 35'719'520 34'431'580 36'056'220 FY+2
FQ+1
FQ+2
12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 418'245.5 370'386.3 17.46x 17.72x 241'831.2 221'869.2 7.96x 0.00x 134'201.3 166'159.5 181'029.5 209'804.3 36'508.7 44'038.7 14.64x 15.12x 15.27x 13.21x 15.31x 15.18x S&P Issuer Ratings Long-Term Rating Date 20.04.2010 Long-Term Rating A+ Long-Term Outlook STABLE Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. 318.69 (EBITDA-Capex)/Interest Exp. 62.57 Net Debt/EBITDA 0.10 Total Debt/EBITDA 0.37 Reference Total Debt/Equity 15.9% Total Debt/Capital 13.7% Asset Turnover 0.59 Net Fixed Asset Turnover 0.96 Accounts receivable turnover-days 11.17 Inventory Days 39.06 Accounts Payable Turnover Day 14.60 Cash Conversion Cycle 33.79 Sales/Revenue/Turnover
12.00
600'000.0
10.00
500'000.0
8.00
400'000.0
6.00
300'000.0
4.00
200'000.0
2.00
100'000.0
0.00 02.01.2010
j-12
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
140.0 M
100 80
Valuation Analysis
31.12.2008 321'767.1 3.13x 180'859.8 5.56x 99'933.2 11.50x
120
0.0 02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Taiwan Semiconductor Manufacturing Co Ltd Holdings By:
All
Holder Name NATIONAL DEVELOP FUN CAPITAL GROUP COMPAN SAUDI ARABIAN MONETA ABERDEEN BLACKROCK VANGUARD GROUP INC COMMONWEALTH BANK OF CATHAY LIFE INSURANC EUROPACIFIC GROWTH F FMR LLC GOVT OF SINGAPORE IN FUBON LIFE ASSURANCE POLARIS SEC INVESTME ABU DHABI INVESTMENT RBS FS PACIFIC LEADI POLARIS TAIWAN TOP50 T ROWE PRICE ASSOCIA OPPENHEIMERFUNDS INC DEUTSCHE BANK AG SCHRODER INVESTMENT
Firm Name
Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst
Sanford C. Bernstein & Co MARK LI BNP Paribas Equity Research SZEHO NG Morgan Stanley BILL LU Nomura PATRICK LIAO Jih Sun Securities JOE LAI Deutsche Bank MICHAEL CHOU Masterlink Securities SARENA HSU Capital Securities Corp CHEN WANZHEN KGI Securities MICHAEL LIU President Capital Management TSUNG-YUEH CHEN Ji Asia STEVE MYERS Mega Securities DANIEL LU RBS JEFFREY TODER Macquarie JEFFREY SU Mizuho Securities CHARLES PARK IBT Securities Co Ltd HONG YI CHEN Goldman Sachs DONALD LU Credit Suisse RANDY ABRAMS JPMorgan RICK HSU HSBC STEVEN C PELAYO Yuanta Securities Investment ConsultingGEORGE CHANG Barclays ANDREW LU EVA Dimensions ANDREW S ZAMFOTIS E Sun Securities YANG SHENG-MIN Kim Eng Securities WARREN LAU SinoPac STEFAN CHANG Daiwa Securities Co. Ltd. ERIC CHEN Fubon Securities CARLOS PENG
Source EXCH ULT-AGG Co File ULT-AGG ULT-AGG MF-AGG MF-AGG Co File Co File ULT-AGG ULT-AGG Co File MF-AGG Co File Co File Co File MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation market perform buy Overwt/In-Line buy neutral buy buy neutral outperform neutral buy neutral hold outperform buy buy Buy/Neutral outperform overweight overweight buy overweight hold buy hold neutral hold add
Amt Held 1'653'709'980 1'156'903'645 760'113'810 733'350'320 671'644'702 607'284'125 388'007'212 376'533'235 364'978'136 356'377'646 340'835'129 243'035'308 242'816'000 241'377'663 226'909'807 222'860'366 170'451'743 155'247'342 154'947'186 145'563'256
% Out 6.38 4.46 2.93 2.83 2.59 2.34 1.5 1.45 1.41 1.37 1.31 0.94 0.94 0.93 0.88 0.86 0.66 0.6 0.6 0.56
Weighting
Change 3 5 5 5 3 5 5 3 5 3 5 3 3 5 5 5 5 5 5 5 5 5 3 5 3 3 3 4
M M M M M M M M M M M M D M U M M M M M M M M M M M M M
Latest Chg 71'156'234 7'338'000 (2'279'394) (448'696) (19'615'000) (14'969'525) (4'861'000) 13'180'000 (190'000) 21'814'000
Target Price 106 130 110 120 #N/A N/A 123 120 #N/A N/A 116 #N/A N/A 118 105 100 121 120 #N/A N/A 115 109 120 115 112 114 #N/A N/A #N/A N/A 107 104 95 115
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 30.11.2012 Government 31.12.2012 Investment Advisor 05.07.2011 Government 31.01.2013 Unclassified 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 31.10.2012 Bank 05.07.2011 Insurance Company 05.07.2011 n/a 31.12.2012 Investment Advisor 05.07.2011 Government 05.07.2011 Insurance Company 30.06.2012 Mutual Fund Manager 05.07.2011 Government 05.07.2011 n/a 05.07.2011 n/a 31.12.2012 Investment Advisor 30.12.2012 Investment Advisor 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor
Date 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 6 month 12 month 12 month 12 month Not Provided 12 month Not Provided 9 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 6 month
Date 21.02.2013 20.02.2013 19.02.2013 19.02.2013 18.02.2013 04.02.2013 01.02.2013 31.01.2013 25.01.2013 24.01.2013 22.01.2013 21.01.2013 18.01.2013 18.01.2013 18.01.2013 18.01.2013 17.01.2013 17.01.2013 17.01.2013 17.01.2013 17.01.2013 17.01.2013 17.01.2013 16.01.2013 14.01.2013 14.01.2013 11.01.2013 07.01.2013
21.02.2013
United Overseas Bank Ltd United Overseas Bank Limited offers a full range of commercial banking and financial services. The Company offers private banking, trust services, venture capital investment, merchant banking, brokerage services, insurance, fund management, derivatives trading, precious metal trading, factoring, hire purchase, and life insurance.
Price/Volume 25
6.0 M 5.0 M
15
4.0 M 10
Latest Fiscal Year: LTM as of: 52-Week High (17.08.2012) 52-Week Low (05.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 21.02.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance UOB SP EQUITY YTD Change UOB SP EQUITY YTD % CHANGE
12/2011 09/yy 20.23 16.91 2'385'000.00 19.46 -3.81% 15.08% 78.61% 1'574.8 30'645.47 33'266.12 2'149.0 176.9 43'737.32 -
3.0 M 2.0 M
5
1.0 M
0 f-12
m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
7.0 M
20
Valuation Analysis
31.12.2007 9'153.8 2'109.5 14.63x
8.0 M
31.12.2008 31.12.2009 8'303.0 6'869.2 1'936.8 1'901.7 10.34x 16.55x Profitability
LTM-4Q 31.12.2010 7'067.6 2'695.9 10.71x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 7'578.8 2'327.0 10.68x 47.90% 50.00% 1.12% 12.63% 4.51% 0.04% 41.4% 14.04% 159.79% -
Price/ Cash Flow
LTM
09/yy 7'914.0 0.00x 0.0 0.00x 2'476.0 10.94x
09/yy 8'585.0 0.00x 0.0 0.00x 2'666.0 12.07x
FY+1
.0 M f-13
1.00 1'450.98 10.11% -1.77% 1.003 28 3.571 1'898'000 3'074'100 2'596'826 FY+2
FQ+1
FQ+2
12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 6'421.0 6'731.1 1'556.4 1'613.3 2'678.2 2'709.4 618.8 646.0 11.62x 11.54x 10.23x 12.32x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
01.12.2011 AASTABLE 01.12.2011 A-1+ 159.8% 59.0% 0.04 3.89 -
Sales/Revenue/Turnover
35.00
10'000.0 9'000.0
30.00
8'000.0
25.00
7'000.0 6'000.0
20.00
5'000.0 4'000.0
15.00
3'000.0
10.00
2'000.0 5.00 0.00 02.01.2009
1'000.0 0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
United Overseas Bank Ltd Holdings By:
All
Holder Name WEE INVESTMENTS PTE WAH HIN & CO PTE LTD ABERDEEN HARBOR CAPITAL ADVIS FMR LLC BLACKROCK VANGUARD GROUP INC CHO YAW WEE UNITED OVERSEAS BANK CAPITAL GROUP COMPAN MATTHEWS INTERNATION BANK OF NEW YORK MEL TWEEDY BROWNE COMPAN INVESCO LTD SCHRODER INVESTMENT JF ASSET MANAGEMENT EE CHEONG WEE FRANKLIN RESOURCES CREDIT SUISSE ASSET SARASIN
Firm Name Nomura TA Securities Holdings Berhad Sanford C. Bernstein & Co Standard Chartered DBS Vickers Barclays Morgan Stanley Mizuho Securities Maybank Investment Bank Berhad EVA Dimensions OSK (Asia) Securities JPMorgan OCBC Investment Research Phillip Securities Macquarie Deutsche Bank Credit Suisse CIMB Daiwa Securities Co. Ltd. China International Capital Corp HSBC BNP Paribas Equity Research Goldman Sachs IIFL
Portfolio Name n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios n/a
Analyst JULIAN CHUA TEAM COVERAGE KEVIN KWEK JAJ SINGH SUE LIN LIM SHARNIE WONG NICK LORD JIM ANTOS DESMOND CHNG AUSTIN BURKETT LENG SENG CHOON HARSH WARDHAN MODI CARMEN LEE KEN ANG MATTHEW SMITH ANDREW HILL ANAND SWAMINATHAN KENNETH NG SRIKANTH VADLAMANI SALLY NG LOO KAR WENG TEAM COVERAGE MELISSA KUANG SACHIN NIKHARE
Source Co File Co File ULT-AGG MF-AGG ULT-AGG ULT-AGG MF-AGG EXCH EXCH ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG Co File ULT-AGG MF-AGG ULT-AGG
Recommendation buy buy market perform in-line hold overweight Equalwt/Cautious neutral sell hold buy underweight buy accumulate outperform buy neutral underperform outperform hold overweight buy neutral/neutral reduce
Amt Held 120'176'920 81'223'402 29'702'810 26'168'891 25'611'635 24'324'564 21'979'050 21'557'593 15'702'943 9'870'889 8'061'000 7'173'686 6'435'800 5'020'166 4'036'802 3'945'062 3'047'878 2'489'812 2'436'306 2'318'230
% Out 7.63 5.16 1.89 1.66 1.63 1.54 1.4 1.37 1 0.63 0.51 0.46 0.41 0.32 0.26 0.25 0.19 0.16 0.15 0.15
Weighting
Change 5 5 3 3 3 5 3 3 1 3 5 1 5 4 5 5 3 1 5 3 5 5 3 2
M M M M M M M U M M M D M M M U M D M M M M M M
Latest Chg (12'000) (3'466'067) 24'500 270'855 1'437'106 (257) (1'364'099) 525'000 (307'000) 5'936'000 21'166 (2'589'000) (2'786'450) (15'300) 52'000 (6'000)
Target Price 23 23 20 22 20 22 21 20 19 #N/A N/A 22 18 21 21 21 21 20 21 20 19 24 22 21 16
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt Inst Type 09.03.2012 Other 09.03.2012 Corporation 31.01.2013 Unclassified 31.12.2012 Investment Advisor 31.12.2012 Investment Advisor 19.02.2013 Investment Advisor 31.12.2012 Investment Advisor 17.09.2012 n/a 18.01.2013 Bank 31.12.2012 Investment Advisor 28.09.2012 Investment Advisor 19.02.2013 Investment Advisor 31.03.2012 Investment Advisor 20.02.2013 Investment Advisor 31.10.2012 Investment Advisor 30.09.2011 Mutual Fund Manager 09.03.2012 n/a 31.12.2012 Investment Advisor 28.12.2012 Mutual Fund Manager 28.12.2012 Unclassified
Date Not Provided Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month 9 month 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided 12 month 12 month 12 month
Date 13.02.2013 05.02.2013 04.02.2013 01.02.2013 31.01.2013 31.01.2013 29.01.2013 28.01.2013 17.01.2013 17.01.2013 14.01.2013 08.01.2013 07.01.2013 21.12.2012 07.12.2012 20.11.2012 12.11.2012 11.11.2012 08.11.2012 08.11.2012 30.08.2012 17.08.2012 07.08.2012 24.02.2012
21.02.2013
Want Want China Holdings Ltd Want Want China Holdings Limited manufactures and trades rice crackers, snack food, beverages, and packing materials. The Company also manufactures wheat, flour, and raw materials for the manufacture of snack foods. Most of the company's production facilities are located in China and Taiwan.
Price/Volume
Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (05.11.2012) 52-Week Low (22.02.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 151 HK EQUITY YTD Change 151 HK EQUITY YTD % CHANGE
12/2011 06/yy 11.68 7.15 18'216'617.00 10.14 -13.18% 41.82% 72.63% 13'227.7 134'129.28 1'024.62 0.0 2.8 1'437.36 17'037.00
Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E
70.0 M
12
60.0 M
10
50.0 M
8
40.0 M
6
30.0 M
4
20.0 M
2
10.0 M
0 f-12 m-12
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month
Fiscal Year Ended 31.12.2007 1'094.5 265.6 176.7 -
14
31.12.2008 31.12.2009 1'553.9 1'710.9 3.45x 5.22x 333.9 398.6 16.04x 22.39x 262.7 312.6 20.71x 29.60x Profitability
LTM-4Q 31.12.2010 2'244.1 5.04x 500.1 22.63x 358.4 32.33x
EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover
31.12.2011 2'946.5 4.34x 594.0 21.52x 419.5 31.48x 594.04 521.74 17.71% 18.27% 16.64% 38.99% 21.01% 1.10% 34.8% 23.1% 19.3% 14.2% 1.39 1.05 32.80% 77.05% 44.48 4.92
Price/ Cash Flow
06/yy 0.0 #DIV/0! 0.0 0.00x 0.0 0.00x
LTM 06/yy 510.7 0.00x 110.1 0.00x 73.6 0.00x
FY+1
.0 M f-13
1.73 0.64 5'608.11 41.72% -5.06% 0.638 34 3.706 11'975'390 17'521'480 15'339'130 FY+2
FQ+1
FQ+2
12/12 Y 12/13 Y 09/11 Q3 12/11 Q4 3'529.4 4'304.8 4.80x 3.91x 797.5 996.8 21.36x 17.09x 550.3 683.5 31.89x 25.64x S&P Issuer Ratings
Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle
56.76 35.42 -0.36 1.74 77.1% 43.5% 1.10 3.25 8.23 74.36 31.46 51.18
Sales/Revenue/Turnover
40.00
3'500.0
35.00
3'000.0
30.00
2'500.0
25.00
2'000.0
20.00
1'500.0
15.00
1'000.0
10.00
500.0
5.00 0.00 02.01.2009
0.0 02.07.2009
02.01.2010
02.07.2010
02.01.2011
02.07.2011
02.01.2012
02.07.2012
02.01.2013
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21.02.2013
Want Want China Holdings Ltd Holdings By:
All
Holder Name ENG-MENG TSAI IWATSUKA CONFECTIONE MR BIG LTD OPPENHEIMERFUNDS INC VANGUARD GROUP INC FMR LLC WEN-HSIEN CHENG BLACKROCK TSAI WANG-CHIA SHAO-CHUNG TSAI T ROWE PRICE ASSOCIA STATE STREET GLOBAL CARMIGNAC GESTION WILLIAM BLAIR & COMP COLUMBIA WANGER ASSE JP MORGAN MIRAE ASSET GLOBAL I INVESCO LTD HARVEST FUND MANAGEM MASSACHUSETTS FINANC
Firm Name
Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios WILLIAM BLAIR & COMP Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios
Analyst
Macquarie LINDA HUANG CCB International Securities Ltd TIMON TAI KGI Securities ANSON CHAN JPMorgan KURUMLU EBRU SENER Religare Capital Markets KA LEONG LO China International Capital Corp FEIYANG YUAN Bank of China International LI YAN BNP Paribas Equity Research CHARLIE Y CHEN CIMB Yang Lei EVA Dimensions AUSTIN BURKETT Jefferies JESSIE GUO BOCOM International Holdings SUMMER WANG Oriental Patron Securities Ltd TRACY SUN UOB Kay Hian TAI RENEE Haitong International Securities GLORIA WANG Nomura EMMA LIU Goldman Sachs LISA DENG HSBC CHRISTOPHER K LEUNG Credit Suisse KEVIN YIN Capital Securities Corp TEAM COVERAGE Barclays VINEET SHARMA First Shanghai Securities Ltd JERRY LU Standard Chartered CHARLES YAN DBS Vickers TITUS WU Kim Eng Securities JACQUELINE KO Citic Securities Co., Ltd MOHAN SINGH SWS Research Co Ltd SEAN ZHANG Morgan Stanley LILLIAN LOU ICBC International Securities ALEX CHENG Mirae Asset Securities JANEY DILLON Yuanta Securities Investment ConsultingTEAM COVERAGE Everbright Securities Co., Ltd DONGLIANG CHANG Phillip Securities BING WANG
Source Co File Co File EXCH MF-AGG MF-AGG ULT-AGG EXCH ULT-AGG EXCH Co File MF-AGG MF-AGG MF-AGG 13F MF-AGG ULT-AGG MF-AGG MF-AGG MF-AGG MF-AGG
Recommendation outperform outperform outperform neutral buy hold buy reduce outperform hold underperform neutral hold buy buy neutral Buy/Neutral neutral neutral hold equalweight hold in-line hold sell hold outperform Overwt/Attractive buy reduce Under Review hold hold
Amt Held 6'343'843'100 616'434'480 299'490'000 239'496'992 233'064'599 231'951'751 158'644'640 153'700'117 100'031'500 100'000'000 99'666'000 60'562'234 59'260'033 37'007'217 29'770'000 21'814'000 21'130'000 17'306'000 16'574'000 15'376'000
% Out 47.96 4.66 2.26 1.81 1.76 1.75 1.2 1.16 0.76 0.76 0.75 0.46 0.45 0.28 0.23 0.16 0.16 0.13 0.13 0.12
Weighting
Change
5 5 5 3 5 3 5 2 5 3 1 3 3 5 5 3 5 3 3 3 3 3 3 3 1 3 5 5 5 2 #N/A N/A 3 3
M N M M M M M M M M M M N N M M U N M M M M D M D M M M M M M N D
Latest Chg (40'223'163) 26'432'482 19'150 17'863'000 10'500 5'686'000 (1'856'452) 2'865'000 (186'000) 51'000 (263'000) 715'000 1'007'000 (213'000)
Target Price 12 12 12 9 11 12 11 6 11 #N/A N/A 9 11 11 11 11 10 12 11 10 10 8 10 10 10 8 11 9 10 11 7 #N/A N/A 7 7
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
File Dt 31.12.2011 31.03.2012 10.04.2012 30.12.2012 31.12.2012 31.12.2012 10.04.2012 19.02.2013 10.04.2012 31.12.2011 31.12.2012 30.06.2012 31.12.2012 31.12.2012 31.12.2012 31.12.2012 28.09.2012 20.02.2013 30.06.2012 31.12.2012
Date 12 month Not Provided 12 month 9 month 12 month 12 month Not Provided 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month 12 month 12 month 6 month Not Provided 12 month Not Provided 12 month Not Provided 6 month 12 month
Inst Type n/a Corporation Other Investment Advisor Investment Advisor Investment Advisor n/a Investment Advisor n/a n/a Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Unclassified Investment Advisor Investment Advisor Investment Advisor Investment Advisor
Date 08.02.2013 05.02.2013 04.02.2013 30.01.2013 29.01.2013 25.01.2013 24.01.2013 21.01.2013 18.01.2013 17.01.2013 15.01.2013 19.12.2012 07.12.2012 09.11.2012 29.10.2012 09.10.2012 08.10.2012 03.10.2012 06.09.2012 05.09.2012 05.09.2012 03.09.2012 30.08.2012 30.08.2012 30.08.2012 30.08.2012 30.08.2012 29.08.2012 06.07.2012 14.06.2012 05.09.2011 21.07.2011 17.03.2011