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Axiall Corp
(NYSE: AXLL)
AdChoices
38.87
-0.05
-0.13%
After Hours :
38.87
0.00
0.00%

Open

38.84

Previous Close

38.92

Volume (Avg)

821.46k (1.05M)

Day's Range

38.00-38.98

52Wk Range

34.32-50.61

Market Cap.

2.73B

Dividend Rate (Yield )

0.64 (1.65%)

Beta

3.06

Shares Outstanding

70.18M

P/E Ratio (EPS)

24.57 (1.58)

AdChoices
Fundamentals
  • Key statistics
  • Growth
  • Profitability
  • Financial health
  • Price ratios
  • Trading statistics
Industry Chemicals
Highlights
Analyst Recommendation: Hold
    • Revenue

    • 4.67B

    • Net Income

    • 165.30M

    • Market Cap.

    • 2.73B

    • Enterprise Value

    • -

    • Net Profit Margin %

    • 2.45

    • PEG (Price/Earnings Growth) Ratio

    • 2.30

    • Beta

    • 3.06

    • Forward P/E

    • 11.12

    • Price/Sales

    • 0.60

    • Price/Book Value

    • 1.05

    • Price/Cash flow

    • 7.57

      • EBITDA

      • 537.20M

      • Return on Capital %

      • 1.91

      • Return on Equity %

      • 4.44

      • Return on Assets %

      • 1.91

      • Book Value/Share

      • 37.05

      • Shares Outstanding

      • 70.18M

      • Last Split Factor (Date)

      • -

      • Last Dividend (Ex-Date)

      • 0.16 (9/24/2014)

      • Dividend Declaration Date

      • 8/13/2014

      Analyst Recommendation
      10/21/2014
      Hold
        • 1 Year Price Target

        • 47.33

        • Credit Rating

        • -

        • Analysts

        • 3

        • EPS Estimate

        • 2.85

        • Cashflow Estimate

        • 6.65

        Morningstar Consensus estimate data
        • Growth Rate (%)

        • Company

        • Industry

          • Sales (Revenue)

            Q/Q (last year)

          • -2.80

          • 2.33

          • Net Income

            YTD/YTD (last year)

          • 37.10

          • 194.70

          • Net Income

            Q/Q (last year)

          • -62.60

          • -52.15

          • Sales (Revenue)

            5-Year Annual Average

          • 9.85

          • 1.82

          • Net Income

            5-Year Annual Average

          • -

          • 0.53

          • Dividends

            5-Year Annual Average

          • -34.56

          • 36.73

          • Profit Margins (%)

          • Company

          • Industry

            • Gross Margin

            • 13.30

            • 18.44

            • Pre-Tax Margin

            • 3.48

            • 9.60

            • Net Profit Margin

            • 2.45

            • 6.47

            • Average Gross Margin

              5-Year Annual Average

            • 11.90

            • 16.98

            • Average Pre-Tax Margin

              5-Year Annual Average

            • 5.00

            • 6.48

            • Average Net Profit Margin

              5-Year Annual Average

            • 3.60

            • 97.22B

            • Financial Ratios

            • Company

            • Industry

              • Debt/Equity Ratio

              • 0.55

              • 0.77

              • Current Ratio

              • 2.10

              • 1.93

              • Quick Ratio

              • 1.23

              • 1.14

              • Interest Coverage

              • -

              • 6.48

              • Leverage Ratio

              • 2.24

              • 2.97

              • Book Value/Share

              • 37.05

              • 15.34

              • Price Ratios

              • Company

              • Industry

                • Current P/E Ratio

                • 25.58

                • 17.01

                • P/E Ratio 5-Year High

                • 41.07

                • 360.86

                • P/E Ratio 5-Year Low

                • 7.02

                • 100.97

                • Price/Sales Ratio

                • 0.63

                • 1.14

                • Price/Book Value

                • 1.09

                • 2.70

                • Price/Cash Flow Ratio

                • 7.57

                • 10.33

                • Key Metrics

                • Company

                • Industry

                  • Return on Equity %

                    (5-Year Average)

                  • 4.44

                    (34.00)

                  • 16.38

                    (12.84)

                  • Return on Assets %

                    (5-Year Average)

                  • 1.91

                    (5.30)

                  • 4.63

                    (3.60)

                  • Return on Capital %

                    (5-Year Average)

                  • 2.79

                    (12.40)

                  • 8.67

                    (6.04)

                  • Income/Employee

                  • 18.60k

                  • 57.72k

                  • Inventory Turnover

                  • 9.29

                  • 5.53

                  • Asset Turnover

                  • 0.78

                  • 0.72

                  Current Historical
                  Financials
                  • Income Statement
                  • Balance Sheet
                  • Cash Flow
                  Operating Income
                  370.80M
                  Operating Margin
                  7.95
                  Total Equity
                  -
                  Retained Earnings
                  -
                  Free Cashflow
                  -
                  Price/Cashflow
                  7.57
                  Ownership

                  Institutional Ownership

                  -

                  Top 10 Institutions

                  56.28%

                  Mutual Fund Ownership

                  51.39%

                  Float

                  88.88%

                  5% / Insider Ownership

                  3.55%

                  Corporate insiders or major stockholders reporting trading activity in the stock.

                  Top Mutual Fund Owners

                  Top Institutional Owners

                  Mutual Fund Name

                  Institution Name

                  • Mutual Fund Name

                  • Shares Held

                  • % Change

                  • % Outstanding

                  • Fidelity® Select Materials Portfolio

                  •  

                    1,334,757

                  • 4.31

                  • 1.90

                  • Vanguard Small Cap Index

                  •  

                    1,219,031

                  • 0.02

                  • 1.74

                  • Vanguard Total Stock Mkt Idx

                  •  

                    1,137,382

                  • 0.33

                  • 1.62

                  • iShares Russell 2000 (AU)

                  •  

                    1,040,222

                  • -1.46

                  • 1.61

                  • Franklin Small Cap Value Fund

                  •  

                    1,004,200

                  • 102.17

                  • 1.43

                  • EdR US Value & Yield

                  •  

                    1,000,000

                  • 0.00

                  • 1.42

                  • JPMorgan U.S. Large Cap Core Plus Fund

                  •  

                    944,522

                  • 0.00

                  • 1.35

                  • Fidelity® Advisor Small Cap Opps Fund

                  •  

                    803,646

                  • -9.85

                  • 1.15

                  • Institution Name

                  • Shares Held

                  • % Change

                  • % Outstanding

                  • Fidelity Management and Research Company

                  •  

                    6,146,471

                  • -4.11%

                  • 8.76

                  • Shapiro Capital Management Co Inc

                  •  

                    4,722,810

                  • -0.38%

                  • 6.73

                  • Vanguard Group, Inc.

                  •  

                    4,062,372

                  • +1.68%

                  • 5.79

                  • J.P. Morgan Investment Management Inc.

                  •  

                    3,965,039

                  • +5.64%

                  • 5.65

                  • Gates Capital Management, Inc.

                  •  

                    3,556,888

                  • +29.14%

                  • 5.07

                  • Putnam Investment Management,LLC

                  •  

                    2,552,844

                  • +110.84%

                  • 3.64

                  • Global Thematic Partners, LLC

                  •  

                    2,101,092

                  • -4.46%

                  • 2.99

                  • BlackRock Fund Advisors

                  •  

                    1,945,465

                  • +0.78%

                  • 2.77

                  Company Profile

                  Sector

                  Basic Materials

                  Industry

                  Chemicals

                  Type

                  Cyclical

                  Style

                  Small Value

                  Axiall Corp is a Delaware corporation incorporated in 1984. It is a manufacturer and marketer of chemicals and building products. It operates through three reportable segments: chlorovinyls; building products; and aromatics. Its Chlo...morer-alkali and derivative products include Chlorine, Caustic soda, Vinyl chloride monomer, Vinyl resins, Other chlor-alkali and derivative products such as Chlorinated ethylene, Calcium hypochlorite, Hydrochloric acid, Phosgene derivatives, and also Compound products such as Vinyl compounds and Compound additives and plasticizers. Its Building products include Window and door profiles and mouldings products such as Window and door profiles, Trim, mouldings and deck, Outdoor building products such as Siding and exterior accessories, Pipe and pipe fittings. Its Aromatics pro...moreducts include Cumene such as Phenol and acetone. In its chlorovinyls segment, it produces chlorine and its co-product caustic soda by subjecting salt brine (sodium chloride) to an electric current creating a chemical reaction that results in chlorine gas, hydrogen gas and caustic soda (sodium hydroxide). It produces VCM by reacting purchased ethylene with chlorine. It produces vinyl resins by polymerization of VCM in a batch reactor process. It formulates its vinyl compounds to specific customer needs by blending its vinyl resins with various additives such as plasticizers, impact modifiers, stabilizers and pigments, most of which are purchased. It also has the capacity to produce EDC, an intermediate in the manufacture of VCM, for external sales. The significant raw materials it purchases from third parties include salt brine, ethylene, compound additives and natural gas. Its chlorovinyls segment faces competition from numerous manufacturers, including The Dow Chemical Company, Formosa Plastics Corporation, USA, Occidental Chemical Corporation, Olin Corporation, Shintech, Inc. and Westlake Chemical Corporation. In its Building Products Segment, the Company produces the majority of its building products through the extrusion of vinyl products. It also produces some pipe fittings through injection molding. These products are produced by heating vinyl compounds until they melt and then injecting them under pressure into a hollow mold to create three dimensional parts. The principal raw material it uses in the production of its building products is vinyl resin, which is blended with other compound additives to form vinyl compounds, which are then extruded or injection molded. The building products segment faces competition for each of its products from numerous manufacturers of vinyl products and traditional building materials. This segment's chief competitors include Ply Gem Holdings, Inc., VEKA Inc., CertainTeed Corporation, Vision Group, IPEX Inc., Associated Materials, Quanex, Deceuninck North America, CPG Azek and Bow Plastics. In its aromatics segment, it produces cumene through an alkylation reaction of benzene and refinery grade propylene ("propylene"). It purchases both benzene and propylene from third parties. Cumene is then oxidized to produce cumene hydroperoxide, which is split into the co-products phenol and acetone. The primary raw materials it purchases from third parties include benzene and propylene. Its aromatics segment faces competition from numerous manufacturers, including Flint Hills Resources, CITGO Petroleum Corporation, Philadelphia Energy Solutions, Honeywell, Inc., Haverhill Chemicals LLC, INEOS Group and Royal Dutch Shell plc. The Company’s operations and assets are subject to extensive environmental, health and safety regulations, including laws and regulations related to air emissions, water discharges, waste disposal and remediation of contaminated sites, at both the national and local levels in the United States.lessless

                  Key People

                  Paul D. Carrico

                  Director/President/CEO

                  Mark L. Noetzel

                  Director/Chairman of the Board

                  Gregory C. Thompson

                  CFO/Chief Accounting Officer

                  Mark J. Orcutt

                  Executive VP, Divisional

                  Mr. Joseph C. Breunig

                  Executive VP, Divisional

                  • Axiall Corp

                  • 1000 Abernathy Road

                  • Atlanta, GA 30328

                  • USA.Map

                  • Phone: +1 770 395-4500

                  • Fax: +1 770 395-4529

                  • axiall.com

                  Incorporated

                  1984

                  Employees

                  6,000

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