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INDICATIVE · SAMPLE DATA
2607$47.5058

Evergreen International Storage & Transport Corp

Marine Port ServicesVerified

Evergreen International Storage & Transport Corp maintains a conservative capital structure with a debt-to-equity ratio of 0.15, indicating a relatively low reliance on debt financing. The company's liquidity position is characterized by a current ratio of 3.16, suggesting strong short-term liquidity. However, the firm's net cash position is negative after subtracting total debt, signaling potential liquidity constraints. In terms of profitability, the company's return on equity (ROE) of 9.47% and return on assets (ROA) of 6.83% are below the industry median for Marine Port Services, indicating that the company is underperforming its peers in terms of capital efficiency and asset utilization. The price-to-earnings (P/E) ratio of 8.77 and price-to-book (P/B) ratio of 0.83 suggest that the stock is trading at a discount relative to both earnings and book value, potentially reflecting market concerns about future earnings or asset values. The company's revenue is primarily concentrated in its core transportation and logistics operations, with no disclosed geographic diversification in the provided data. This lack of geographic segmentation may expose the company to regional economic or regulatory risks. Looking ahead, the company's growth trajectory is expected to remain stable, with no significant revenue growth projected in the current or next fiscal year. The absence of disclosed capital expenditure plans or new market entries suggests a conservative approach to growth. The company faces moderate liquidity risk due to its negative net cash position and a medium liquidity rating. While dilution risk is currently low, the absence of dilution sources in the provided data does not preclude the possibility of future equity issuance to fund operations or expansion. The company's ESG score of 50.51 and a B- grade indicate moderate environmental, social, and governance performance, with particular weaknesses in the governance pillar. Recent filings and transcripts do not provide specific details on strategic initiatives or operational changes, but the company's conservative financial metrics and low ESG governance score suggest a need for closer monitoring of management decisions and capital allocation.

30-day price · 2607(missing data)
No daily-bar history available from current data sources. Alternate source pending.
Profile
CompanyEvergreen International Storage & Transport Corp
Ticker2607.TW
SectorIndustrials
BusinessTransportation
Industry groupTransportation
IndustryMarine Port Services
AI analysis

Business. Evergreen International Storage & Transport Corp operates in the marine port services industry, providing transportation and logistics solutions, primarily through its container shipping and port operations.

Classification. The company is classified under the Industrials sector, specifically in the Transportation business sector and the Marine Port Services industry, with a confidence level of 0.92 based on verified market data.

Evergreen International Storage & Transport Corp maintains a conservative capital structure with a debt-to-equity ratio of 0.15, indicating a relatively low reliance on debt financing. The company's liquidity position is characterized by a current ratio of 3.16, suggesting strong short-term liquidity. However, the firm's net cash position is negative after subtracting total debt, signaling potential liquidity constraints. In terms of profitability, the company's return on equity (ROE) of 9.47% and return on assets (ROA) of 6.83% are below the industry median for Marine Port Services, indicating that the company is underperforming its peers in terms of capital efficiency and asset utilization. The price-to-earnings (P/E) ratio of 8.77 and price-to-book (P/B) ratio of 0.83 suggest that the stock is trading at a discount relative to both earnings and book value, potentially reflecting market concerns about future earnings or asset values. The company's revenue is primarily concentrated in its core transportation and logistics operations, with no disclosed geographic diversification in the provided data. This lack of geographic segmentation may expose the company to regional economic or regulatory risks. Looking ahead, the company's growth trajectory is expected to remain stable, with no significant revenue growth projected in the current or next fiscal year. The absence of disclosed capital expenditure plans or new market entries suggests a conservative approach to growth. The company faces moderate liquidity risk due to its negative net cash position and a medium liquidity rating. While dilution risk is currently low, the absence of dilution sources in the provided data does not preclude the possibility of future equity issuance to fund operations or expansion. The company's ESG score of 50.51 and a B- grade indicate moderate environmental, social, and governance performance, with particular weaknesses in the governance pillar. Recent filings and transcripts do not provide specific details on strategic initiatives or operational changes, but the company's conservative financial metrics and low ESG governance score suggest a need for closer monitoring of management decisions and capital allocation.
Key takeaways
  • Evergreen International Storage & Transport Corp has a conservative capital structure with a low debt-to-equity ratio of 0.15.
  • The company's ROE of 9.47% and ROA of 6.83% are below industry medians, indicating underperformance in capital efficiency.
  • The stock is trading at a discount with a P/E of 8.77 and P/B of 0.83, potentially reflecting market concerns.
  • The company's revenue is concentrated in its core operations, with no disclosed geographic diversification.
  • The company faces moderate liquidity risk and has a low ESG governance score of 32.41.
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  • ## RATIONALES
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Financial snapshot
PeriodHA-latest
CurrencyTWD
Revenue$17.10B
Gross profit$3.70B
Operating income$2.04B
Net income$2.89B
R&D
SG&A
D&A
SBC
Operating cash flow$3.42B
CapEx-$418.2M
Free cash flow$1.74B
Total assets$42.31B
Total liabilities$11.78B
Total equity$30.53B
Cash & equivalents$3.35B
Long-term debt$4.56B
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY0$17.10B$2.04B$2.89B$1.74B
FY-1$21.25B$2.65B$2.78B$2.20B
FY-2$16.39B$2.61B$2.72B$1.47B
FY-3$17.59B$3.33B$3.53B$1.81B
FY-4$8.88B$964.6M$1.06B-$2.13B
PeriodGross %Op %Net %FCF %
FY0
FY-1
FY-2
FY-3
FY-4
PeriodAssetsEquityCashDebt
FY0$42.31B$30.53B$3.35B
FY-1$47.23B$35.56B$6.54B
FY-2$43.42B$31.57B$3.95B
FY-3$42.05B$29.55B$2.20B
FY-4$41.81B$27.64B$2.97B
PeriodOCFCapExFCFSBC
FY0$3.42B-$418.2M$1.74B
FY-1$3.46B-$576.2M$2.20B
FY-2$4.48B-$1.28B$1.47B
FY-3$4.96B-$2.57B$1.81B
FY-4$2.90B-$5.06B-$2.13B
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ0$3.99B
FQ-1$4.11B$260.1M$426.3M$419.2M
FQ-2$4.15B$552.2M$814.7M$910.4M
FQ-3$4.21B$597.0M$729.0M$804.5M
FQ-4$4.63B$629.3M$919.9M$995.4M
FQ-5$5.08B$613.1M$719.4M$617.3M
FQ-6$6.46B$813.8M$751.8M$944.6M
FQ-7$5.22B$636.3M$736.7M$1.00B
PeriodGross %Op %Net %FCF %
FQ0
FQ-1
FQ-2
FQ-3
FQ-4
FQ-5
FQ-6
FQ-7
PeriodAssetsEquityCashDebt
FQ0$31.38B$4.17B
FQ-1$42.31B$30.53B$3.35B
FQ-2$45.32B$29.62B$6.94B
FQ-3$46.39B$34.04B$6.00B
FQ-4$47.87B$36.27B$5.61B
FQ-5$47.23B$35.56B$6.54B
FQ-6$46.46B$33.97B$6.15B
FQ-7$46.70B$33.68B$6.30B
PeriodOCFCapExFCFSBC
FQ0$738.7M-$3.53B
FQ-1$3.42B-$418.2M$419.2M
FQ-2$680.6M-$258.4M$910.4M
FQ-3$1.80B-$187.3M$804.5M
FQ-4$1.43B-$106.6M$995.4M
FQ-5$3.46B-$576.2M$617.3M
FQ-6$2.45B-$285.1M$944.6M
FQ-7$1.80B-$174.7M$1.00B
Valuation
Market price$47.50
Market cap$25.34B
Enterprise value$26.56B
P/E8.8
Reported non-GAAP P/E
EV/Revenue1.6
EV/Op income13.0
EV/OCF7.8
P/B0.8
P/Tangible book0.8
Tangible book$30.53B
Net cash-$1.21B
Current ratio3.2
Debt/Equity0.1
ROA6.8%
ROE9.5%
Cash conversion1.2%
CapEx/Revenue-2.5%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Transportation · cohort 3 companies
Metric2607Activity
Op margin11.9%2.0% medp25 1.1% · p75 3.8%top quartile
Net margin16.9%0.5% medp25 -0.3% · p75 2.1%top quartile
Gross margin21.7%24.2% medp25 13.8% · p75 46.1%below median
CapEx / revenue-2.5%2.5% medp25 1.7% · p75 3.3%bottom quartile
Debt / equity15.0%101.8% medp25 72.1% · p75 123.1%bottom quartile
Observations
IR observations
market data ESG Score50.51 (0-100, higher is better)
Environment pillar52.63 (0-100)
Social pillar61.00 (0-100)
Governance pillar32.41 (0-100)
ESG controversies score100 (0-100, higher = fewer controversies)
ESG gradeB-
Source: analysis-pipeline (hybrid)Generated: 2026-05-19 01:49 UTCJob: e2781032