StockAnalyzer

Financial Analysis

DashboardSectorsComparablesScreenerUniverseMicrocapsAI 2nd OrderTheme MapEnergy & MaterialsMacroWatchlistCompareMi CarteraPortfolio

Recent

v0.1
AZN1N.MX$3166.00-2.01%
Fair $3166.00+0.0%

AZN1N.MX

AstraZeneca PLC

Healthcare / Drug Manufacturers - GeneralMexico

$3166.00

-65.00 (-2.01%)

Fairly Valued+0.0%Fair Value $3166.00Fund rank 38/100 · Data gapFallback financials|
SA 48/C
F-Score: 7/9

FCF base 3Y

n/d

n/d CAGR · yield n/d

FCF base 5Y

n/d

n/d base · n/d expected

Precio de entrada

n/d

MOS 22% · confianza 25%

FCF escenarios

weak_data · normalized FCF $7.3B · quality 81.3/100

Data gap 38/100
Bear 5Yn/dn/d
Base 5Yn/dn/d
Bull 5Yn/dn/d
Return 0/100Downside 20/100Model quality 89/100Data QA 20/100

Ranking barato/determinista: CAGR esperado 5Y + downside bear + calidad del modelo + balance + capital allocation + data gate. No entra en buy-candidate si la data es débil o el CAGR 5Y no compensa.

Quality + valuation scorecard

SA Score

48/100

C

Piotroski

7/9

balance/quality

Valuation

50/100

+0.0% upside

5Y CAGR

+0.0%

50/100

Data QA

16/100

SEC 0%

Latest source: unknownPeriods: 4Warnings: 0unknown: 4
No SEC-backed annual rows; valuation uses fallback financial data. Insufficient audited annual history (<3 SEC-backed years); composite fair value and forward targets are disabled until manually verified.
Thesis & Journal · AZN1N.MXLocal privado en este navegador · AstraZeneca PLC
Plantilla tipo buy-side: tesis, bull/base/bear, catalizadores, riesgos, kill criteria y fecha de revisión. Esto no gasta GPT-5.5; luego lo usamos como contexto del memo.

Sin guardar todavía.

Market Cap

$4.91T

P/E

27.5x

↑

EV/EBITDA

254.7x

↑

ROE

21.0%

↑

Gross Margin

81.9%

↑

Debt/Equity

0.60

↑
52-Week Range$3166
$2710$3625

TradingView lightweight chart

AZN1N.MX price, volumen y niveles de valoración

Último $3,166Periodo +36.2%
Fair value: $3,166

Price & Ratios

Absolute Values (Left Axis)

Ratios / Percentages (Right Axis)

Financial statement dashboard

Crecimiento, márgenes y provenance

2022–2025 · 3 años de histórico normalizado

Revenue CAGR

+9.8%

FCF CAGR

+6.2%

FCF margin

14.8%

FCF / Net income

0.85x

Latest source

Provider fallback

Margin decomposition

Último año: revenue $58.74B · net income $10.22B · FCF $8.67B

2022-FY → 2025-FY

Gross margin

81.9%+9.8% pts

Operating margin

22.7%+12.5% pts

Net margin

17.4%+10.0% pts

FCF margin

14.8%-1.6% pts
MetricTTM
2025
2024
2023
2022
Income Statement
Revenue$58.74B$58.74B$54.07B$45.81B$44.35B
Net Income$10.22B$10.22B$7.04B$5.96B$3.29B
EBITDA$19.51B$19.51B$15.44B$13.42B$9.09B
EPS6.546.544.503.812.11
Gross Margin81.9%81.9%81.1%82.0%72.1%
Operating Margin22.7%22.7%19.0%19.0%10.2%
Net Margin17.4%17.4%13.0%13.0%7.4%
Balance Sheet
Debt/Equity0.600.600.740.730.79
Current Ratio0.910.91———
Cash Flow
Free Cash Flow$8.67B$8.67B$7.28B$6.57B$7.24B
Returns
ROE21.0%21.0%17.2%15.2%8.9%
Valuation
P/E27.5327.53677.26576.531101.42
EV/EBITDA254.73254.73310.15257.31401.59
P/B101.61101.61116.7987.6597.89
Growth & Yield
Revenue Growth8.6%8.6%18.0%3.3%—
EPS Growth45.3%45.3%18.1%80.6%—
Dividend Yield1.8%1.8%———

Revenue, Net Income & Free Cash Flow ($B)

Margins (%)

Returns (%)

Leverage & Liquidity

Reverse DCF · market-implied EPS growthterminal P/E 15.0x · COE 10.0%

3Y implied EPS CAGR

250.2%

muy exigente

EPS terminal req.

$280.93

Spread vs growth

-204.9%

5Y implied EPS CAGR

120.4%

muy exigente

EPS terminal req.

$339.92

Spread vs growth

-75.0%

10Y implied EPS CAGR

55.7%

muy exigente

EPS terminal req.

$547.45

Spread vs growth

-10.4%

Qué te dice: cuánto EPS CAGR está descontando el precio si sales al múltiplo terminal indicado. Si el growth observado queda por debajo, el mercado está pidiendo una ejecución muy fina.

Return attribution · 1Y approxreconcilia total +15.5%

Total return

+15.5%

Start / end P/E

618.4x → 484.1x

EPS bridge

4.50 → 6.54

Residual

-9.8%

EPS growth+45.3%
Multiple rerating-21.7%
Dividend+1.8%
Residual / FX / buybacks / cross-term-9.8%

Simple additive decomposition: total return = EPS growth contribution + P/E multiple contribution + dividend contribution + explicit residual. The residual captures cross-terms, buybacks/share-count effects, FX, special dividends, data noise and methodology mismatch so the bridge always reconciles.