NYSE:PYX (USA) Also trade in: Germany

Pyxus International Inc

$ 14.39 0 (0%)
On watch
Volume: 376,391 Avg Vol (1m): 573,092
Market Cap $: 131.08 Mil Enterprise Value $: 1.28 Bil
P/E (TTM): 0.00 P/B: 0.70
Earnings Power Value 19.24
Net Current Asset Value -48.18
Tangible Book 8.55
Projected FCF -111.59
Median P/S Value 23.86
Graham Number 0
Peter Lynch Value -44.97
DCF (FCF Based) 0
DCF (Earnings Based) 0
1Y (-%)

Financial Strength : 4.1/10

GuruFocus Financial Strength Rank measures how strong a company's financial situation is . It is based on these factors
1. The debt burden that the company has as measured by its Interest coverage (current year).
2. Debt to revenue ratio. The lower, the better
3. Altman Z-score.
A company ranks high with financial strength is likely to withstand any business slowdowns and recessions.
Current vs industry vs history
Cash-to-Debt 0.15
Cash-To-Debt range over the past 10 years
Min: 0.02, Med: 0.09, Max: 0.33
Current: 0.15
0.02
0.33
Equity-to-Asset 0.10
Equity-to-Asset range over the past 10 years
Min: 0.1, Med: 0.18, Max: 0.35
Current: 0.1
0.1
0.35
Debt-to-Equity 7.23
Debt-to-Equity range over the past 10 years
Min: 0.99, Med: 2.92, Max: 7.23
Current: 7.23
0.99
7.23
Debt-to-EBITDA 10.34
Debt-to-EBITDA range over the past 10 years
Min: 4.51, Med: 7.41, Max: 12.76
Current: 10.34
4.51
12.76
Interest Coverage 0.60
Interest Coverage range over the past 10 years
Min: 0.6, Med: 0.88, Max: 2.12
Current: 0.6
0.6
2.12
Piotroski F-Score 2
0
1
2
3
4
5
6
7
8
9
Altman Z-Score 1.40
DISTRESS
GREY
SAFE
Beneish M-Score -2.11
Not Manipulator
Manipulator
WACC vs ROIC %
ROIC 10.4%
WACC -2.86%

Profitability & Growth : 3/10

GuruFocus Profitability Rank ranks how profitable a company is and how likely the company's business will stay that way.
Current vs industry vs history
Operating Margin % 4.53
Operating Margin range over the past 10 years
Min: 3.61, Med: 5.43, Max: 10.44
Current: 4.53
3.61
10.44
Net Margin % -3.91
Net Margin range over the past 10 years
Min: -4.35, Med: -0.14, Max: 3.44
Current: -3.91
-4.35
3.44
ROE % -31.00
ROE range over the past 10 years
Min: -35.13, Med: -2.8, Max: 28.37
Current: -31
-35.13
28.37
ROA % -3.52
ROA range over the past 10 years
Min: -5.6, Med: -0.21, Max: 4.31
Current: -3.52
-5.6
4.31
ROC (Joel Greenblatt) % 7.67
ROC (Joel Greenblatt) range over the past 10 years
Min: 4.58, Med: 11.62, Max: 19.03
Current: 7.67
4.58
19.03
3-Year Total Revenue Growth Rate -1.80
N/A
3-Year Total EBITDA Growth Rate -18.50
N/A

» PYX's 30-Y Financials

Financials (Next Earnings Date: 2019-08-02)

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Business Description

Industry Tobacco Products » Tobacco Products    NAICS : 312230    SIC : 2141
Compare OTCPK:CNCC XCNQ:HITI OTCPK:MCIG OSTO:NICO BOM:500151 OTCPK:VPRB XCNQ:SLNG XCNQ:HARY BOM:531560 BOM:509887 OTCPK:GRTD AMEX:SDI NAS:GNLN BOM:500163 BOM:509966 ATH:KARE ISX:RMBA NYSE:TPB OCSE:STG COL:CTC.N0000
Traded in other countries DM8N.Germany
Address 8001 Aerial Center Parkway, Post Office Box 2009, Morrisville, NC, USA, 27560-8417
Alliance One International Inc is an independent leaf tobacco merchant serving the cigarette manufacturers. The company selects, purchases, processes, packs, stores, and ships leaf tobacco. It purchases tobacco from more than 35 countries and serves manufacturers of cigarettes and other consumer tobacco products in more than 90 countries. Business activity of the firm is functioned through North America and Other Regions. The North America segment includes Wilson, N.C., Farmville, N.C. and Danville, VA in the United States. The Other regions segment includes South America, Africa, Europe and Asia. Alliance derives revenues primarily from sales of processed tobacco and fees charged for processing and related services to the manufacturers of tobacco products.

Ratios

Current vs industry vs history
PB Ratio 0.70
PB Ratio range over the past 10 years
Min: 0.33, Med: 0.89, Max: 1.84
Current: 0.7
0.33
1.84
PS Ratio 0.08
PS Ratio range over the past 10 years
Min: 0.04, Med: 0.12, Max: 0.24
Current: 0.08
0.04
0.24
EV-to-EBIT 13.79
EV-to-EBIT range over the past 10 years
Min: 5.4, Med: 11, Max: 22.8
Current: 13.79
5.4
22.8
EV-to-EBITDA 9.91
EV-to-EBITDA range over the past 10 years
Min: 4.8, Med: 8.8, Max: 15.4
Current: 9.91
4.8
15.4
EV-to-Revenue 0.71
EV-to-Revenue range over the past 10 years
Min: 0.5, Med: 0.7, Max: 1
Current: 0.71
0.5
1
Current Ratio 1.91
Current Ratio range over the past 10 years
Min: 1.35, Med: 2.12, Max: 2.8
Current: 1.91
1.35
2.8
Quick Ratio 0.88
Quick Ratio range over the past 10 years
Min: 0.51, Med: 0.96, Max: 1.36
Current: 0.88
0.51
1.36
Days Inventory 191.38
Days Inventory range over the past 10 years
Min: 141.26, Med: 160.73, Max: 191.38
Current: 191.38
141.26
191.38
Days Sales Outstanding 59.94
Days Sales Outstanding range over the past 10 years
Min: 32.76, Med: 50.76, Max: 59.94
Current: 59.94
32.76
59.94
Days Payable 24.97
Days Payable range over the past 10 years
Min: 14.68, Med: 21.32, Max: 27.95
Current: 24.97
14.68
27.95

Dividend & Buy Back

Current vs industry vs history
3-Year Share Buyback Rate 2.20
3-Year Share Buyback Rate range over the past 10 years
Min: -28.6, Med: -0.55, Max: 3.3
Current: 2.2
-28.6
3.3

Valuation & Return

Current vs industry vs history
Price-to-Tangible-Book 1.68
Price-to-Tangible-Book range over the past 10 years
Min: 0.43, Med: 1.29, Max: 5.94
Current: 1.68
0.43
5.94
Price-to-Median-PS-Value 0.60
Price-to-Median-PS-Value range over the past 10 years
Min: 0.39, Med: 1.58, Max: 4.48
Current: 0.6
0.39
4.48
Earnings Yield (Joel Greenblatt) % 7.34
Earnings Yield (Greenblatt) range over the past 10 years
Min: 4.4, Med: 9.1, Max: 18.4
Current: 7.34
4.4
18.4
Forward Rate of Return (Yacktman) % -106.08
Forward Rate of Return range over the past 10 years
Min: -110.9, Med: -17.5, Max: 7
Current: -106.08
-110.9
7

More Statistics

Revenue (TTM) (Mil) $ 1,801.59
EPS (TTM) $ -7.78
Beta 0.81
Volatility % 100.89
52-Week Range $ 11.3 - 52.43
Shares Outstanding (Mil) 9.11

Analyst Estimate

Piotroski F-Score Details

Piotroski F-Score 2
Positive ROA N
Positive CFROA N
Higher ROA yoy N
CFROA > ROA N
Lower Leverage yoy Y
Higher Current Ratio yoy N
Less Shares Outstanding yoy N
Higher Gross Margin yoy Y
Higher Asset Turnover yoy N