Aston Martin Lagonda Global Holdings plc

AML.L: LSE
16Total

Lowest reading is at 11 out of 100. All scores are out of 100.

About The Company

CEO

Mr. Adrian Michael Hallmark

Market Cap

344.06 Million GBp

Sector

Consumer Cyclical

Website

https://www.astonmartin.com

Last Update

28/09/2026, 03:27:34

Description

Aston Martin Lagonda Global Holdings plc engages in the design, development, manufacture, and marketing of sports cars and sports utility vehicles(SUVs) in the United Kingdom, the United States, the Middle East, Africa, rest of Europe, and the Asia Pacific.

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Strongest readings

No reading stands out above its benchmark.

Weakest readings

  • ✘Share count has been rising at 32.25% per year
  • ✘Debt is high at 4.84 times equity
  • ✘Income is not covering expenditure and investment (free cashflow -0.37 per share)
  • ✘Earnings are negative at -0.50 per share
  • ✘Financial health is poor (health score 11 out of 100)

Key Figures

StatusMetricValueReadingMarket avg
Price / earnings (TTM)
N/A19.60x
✘
Margin of safety (DCF)
-43.44%
17.95%
✘
Revenue growth (5y average)
-2.99%
10.97%
✘
Dividend yield (TTM)
0.00%
1.85%
✘
Share count, per year
32.25%
0.00%
✘Return on capital employed-9.26%
10.00%

The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

Valuation

12 / 100

Priced above the market on most measures.

StatusMetricValueReadingMarket avg
Price / earnings
N/A19.60x
✘Free cashflow yield-108.73%
4.70%
Price / earnings growthN/A1.50x
Price / book176.80x
—
✘
Margin of safety
-43.44%
17.95%

The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

  • ✘Estimated intrinsic value of 19.17 GBp is below the current price of 33.90 GBp

Desired Margin Of Safety

0%

▼

Tip: Set your desired Margin Of Safety

Free Cash Flow Type

Annual Cashflow Growth

0%

Discount Rate

0%

Estimated Fair Value: N/A✘

Current Price: 33.9 GBp

Negative Cashflows: Cashflow can become negative due to operating losses, investing activities or financing activites. Negative cashflow makes it dificult to use a discounted free cashflow model to assess intrinsic value.

How Does This Work?

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This calculator helps investors estimate the Intrinsic Value of a company based on the current value of future cash flows. To use the tool, simply input a desired Margin Of Safety, which is an additional discount applied to the present value of the expected future cash flows. The tool calculates the present value using a discount rate that reflects the risk and time value of money, and provides an estimated fair value for the company based on the selected margin of safety. The calculator defaults to using 5 Year Free Cash Flow Growth % and a discount rate based on the US 10-year treasury bond coupon rate. Use our performance analyser to get a feel for the impact this has on longterm investment returns and find a margin of safety you are comfortable with.

Growth

12 / 100

Growing more slowly than the market on most measures.

StatusMetricValueReadingMarket avg
✘
Revenue growth
-2.99%
10.97%
Earnings growthN/A14.48%
Cashflow growthN/A12.35%

The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

    Health

    11 / 100

    Balance sheet is stretched on several measures.

    Measured on Leverage and capital, Funding and liquidity, Earnings quality.

    StatusMetricValueReadingThreshold
    ✘Altman-Z score0.00
    3.00
    ✘Piotroski score2.00
    5.00
    ✘Debt / equity4.84x
    0.80x
    ✔Current ratio1.02x
    1.00x
    ✘Interest coverage-1.13x
    2.50x
    ✘Free cashflow / debt0.00x
    0.15x
    ✔Debt / capital0.83x
    1.00x

    The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

    • ✘Income is not covering expenditure and investment (free cashflow -0.37 per share)

    Management

    28 / 100

    Returns on capital are below the market.

    StatusMetricValueReadingMarket avg
    ✘Return on equity-149.82%
    15.00%
    ✘Return on capital employed-9.26%
    10.00%
    Return on assets-17.58%
    —
    Free cashflow return on capital-12.78%
    —
    ✔Return on capital, 5y change2.23%
    0.00%
    ✘
    Share count, per year
    32.25%
    0.00%
    ✘Share count, recent3.31%
    0.00%
    Realized buyback returnN/A0.00%
    ✔Goodwill erosion / equity0.00%
    2.00%
    Price volatility, 5 year62.43%
    —

    The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

    • ✔New shares were issued while the value score was 12 out of 100

    Analysts

    not enough data
    StatusMetricValueReadingNeutral
    Analyst opinion scoreN/A50

    The bar shows how good a reading is, so a longer bar is always better. The tick marks the benchmark.

    Financial History

    Annual figures across the full reporting history we hold.

    Market Peers

    AML.L

    SEC Filings

    Find yearly (10-K), quaterly (10-Q) and disclosure (8-K) report here, on the Securities and Exchange Commission's EDGAR database. If reading through reports isn't your cup of tea, don't worry. We've made it easy for you by summarizing all the important bits.

    See 35+ Years Annual Reports

    Other Information

    Company Name

    Aston Martin Lagonda Global Holdings plc

    Currency

    GBp

    Beta

    1.97

    Vol Avg

    1939493

    Ceo

    Mr. Adrian Michael Hallmark

    Cik

    Cusip

    Exchange

    LSE

    Full Time Employees

    2807

    Industry

    Auto Manufacturers

    Sector

    Consumer Cyclical

    Ipo Date

    Address

    Banbury Road

    City

    Gaydon

    State

    Country

    United Kingdom

    Zip

    CV35 0DB

    Phone

    44 1926 644 644

    Analysis Last Updated

    28/09/2026, 03:27:34

    Financial data compiled from SEC EDGAR filings and Yahoo Finance.

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