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WKN: 649290 / Name: a.i.s. / Stock / Professional & Commercial Services / Micro Cap /
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a.i.s. AG Stock

Criterium "Worthwhile Investment for the next years" is seen as the biggest plus for a.i.s. AG stock. Negative votes have not been in the majority for any criteria for this stock

Pros and Cons of a.i.s. AG in the next few years

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Performance of a.i.s. AG vs. its peers

Security Change(%) 1w 1m 1y YTD 3y 5y
a.i.s. AG - - - - - - -
Befesa S.A. -1.580% -1.919% 19.187% -9.692% 1.879% -39.561% -
China Recycling Energy Corp. -1.610% -2.400% -6.154% -11.594% -14.085% -81.237% -86.623%
Perma-Fix Environmtl Svcs -0.970% -14.286% 32.468% -6.422% 45.714% 60.630% 181.963%

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The analysis provided is generated by an artificial intelligence system and is provided for informational purposes only. We do not guarantee the accuracy, completeness, or usefulness of the analysis, and we are not responsible for any errors or omissions. Use of the analysis is at your own risk.
Last updated at 2023-12-07

Taking a first glance at the financials of the company a.i.s., from the professional and commercial services industry, there's an immediate recognition of a concise data set, which, while it presents limitations for robust analysis, still offers crucial insights into the company's financial health.

The provided financial data for a.i.s., a company based in the professional and commercial services sector, reveals minimal activity with regards to capital expenditures and interest expenses, both of which are reported as zero for the year ended December 31, 2013. This could suggest a cautious approach to financing and investment during the period. On the valuation front, the company appears on the surface to be modestly valued with a rather low market capitalization of EUR 360,000.

Interestingly, the Price to Sales (P/S) ratio stands at 0.0122, which could imply the market is undervaluing the company's sales. An Enterprise Value (EV) to Revenue ratio of 0.024, and an EV/EBITDA ratio of 1.2167 suggest the company could potentially be an attractive investment on a multiples basis. However, a series of null values for multiple financial ratios such as P/E ratio, EBITDA, and book value, handicap the ability to fully assess the fundamental state of the company.