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Fuji Seal International Inc.: Company Profile and SWOT Analysis by ICDResearch

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ICD Research's "Fuji Seal International Inc.: Company Profile and SWOT Analysis" contains in depth information and data about the company and its operations. The profile contains a company overview, business description, financial ratios, SWOT analysis, key facts, information on products and services, details of locations and subsidiaries, plus information on key news events affecting the company.

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									Fuji Seal International Inc.

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Fuji Seal International Inc.                                                   Financial Snapshot

                                                                               Operating Performance
Fast Facts
                                     3~5F, Shin-Osaka Front Bldg., Yodogawa-   The company reported revenue of US$991.32 million
Headquarters Address
                                     ku, 532-0003,Japan                        during the fiscal year 2011 (2011). The company's
                                                                               revenue grew at a CAGR of 7.27% during 2007–
Telephone                            + 81 6 63501080
                                                                               2011, with an annual growth of 0.80% over 2010. In
                                                                               2011, the company recorded an operating margin of
Fax                                  + 81 6 63503053                           8.48%, as against 8.54% in 2010.

Website                              www.fujiseal.co.jp
                                                                               Revenue and Margins
Ticker Symbol, Stock Exchange        7864, The Tokyo Stock Exchange

Number of Employees                  2,483

Fiscal Year End                      March

Revenue (in US$ million)             991.32

Revenue (in JPY million)             87,067.74




SWOT Analysis                                                                  Return on Equity

Strengths                            Weaknesses                                The company recorded a return on equity (ROE) of
                                                                               9.59% for 2011, as compared to its peers, FUJIMORI
Diversified Geographic Presence      Narrow Product Portfolio                  KOGYO CO., LTD. (Ticker: 7917), Nihon Yamamura
                                                                               Glass Co., Ltd. (Ticker: 5210) and Toyo Seikan
                                                                               Kaisha, Ltd. (Ticker: 5901), which recorded ROEs of
Focus on Research & Development                                                8.92%, 3.72% and -0.79% respectively. The company
                                                                               reported a net profit margin of 8.48% in 2011.
Strong Performance of North and
Central America
                                                                               Return on Equity
Opportunities                        Threats

Growth Trend of Shrink Labels        Emergence of Private Labels

Positive Outlook for Light-weight    Maturing Japanese Shrink Label
Packaging                            Market

                                     Rising Environmental Consciousness




                                                                               Liquidity Position

                                                                               The company reported a current ratio of 1.64 in 2011,
                                                                               as compared to its peers, FUJIMORI KOGYO CO.,
                                                                               LTD., Nihon Yamamura Glass Co., Ltd. and Toyo
                                                                               Seikan Kaisha, Ltd., which recorded current ratios of
                                                                               1.30, 2.35 and 2.85 respectively. As of March 2011,
                                                                               the company recorded cash and short-term
                                                                               investments of worth US$89.73 million, against
                                                                               US$7.59 million current debt. The company reported
                                                                               a debt to equity ratio of 0.11 in 2011 as compared to
                                                                               its peers, FUJIMORI KOGYO CO., LTD., Nihon
                                                                               Yamamura Glass Co., Ltd. and Toyo Seikan Kaisha,
                                                                               Ltd., which recorded debt to equity ratios of 0.43, 0.46
                                                                               and 0.08 respectively.




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Fuji Seal International Inc. - SWOT Profile                                                                             Page 1
Fuji Seal International Inc.

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TABLE OF CONTENTS

1     Business Analysis ................................................................................................................................... 5
    1.1       Company Overview ................................................................................................................................................5
    1.2       Business Description ..............................................................................................................................................5
    1.3       Major Products and Services .................................................................................................................................6
2     Analysis of Key Performance Indicators ............................................................................................... 7
    2.1       Five Year Snapshot: Overview of Financial and Operational Performance Indicators ..........................................7
    2.2       Key Financial Performance Indicators .................................................................................................................10
      2.2.1       Revenue and Operating Profit .........................................................................................................................10
      2.2.2       Asset, Liabilities and Capex .............................................................................................................................11
      2.2.3       Operational Efficiency ......................................................................................................................................12
      2.2.4       Solvency ..........................................................................................................................................................13
      2.2.5       Valuation ..........................................................................................................................................................14
    2.3       Competitive Benchmarking ..................................................................................................................................15
      2.3.1       Market Capitalization .......................................................................................................................................15
      2.3.2       Efficiency ..........................................................................................................................................................16
      2.3.3       Capital Expenditure .................................................................................................................
								
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