PT. Anugerah Spareparts Sejahtera Tbk (AEGS.JK) is a leading player in the Indonesian auto parts industry, specializing in the manufacturing and distribution of automotive components. The company benefits from a robust supply chain and a diverse product portfolio, which includes both OEM and aftermarket parts, primarily serving the Southeast Asian market.
AEGS generates revenue primarily through the sale of automotive parts to both original equipment manufacturers (OEMs) and the aftermarket. The company has established strong relationships with major automotive brands, giving it pricing power and a competitive edge in quality. Its low debt levels (Debt/Equity: 0.00) provide financial flexibility, allowing for investment in innovation and capacity expansion.
Changes in automotive production volumes in Indonesia
Trends in consumer vehicle sales in Southeast Asia
Fluctuations in raw material prices, particularly steel and plastics
Regulatory changes affecting the automotive industry
Technological disruption from electric vehicles and alternative mobility solutions
Regulatory changes impacting emissions standards and safety requirements
Increased competition from both local and international auto parts manufacturers
Potential market share loss to e-commerce platforms offering direct-to-consumer auto parts
Liquidity risk due to negative free cash flow (-$3.9B) amid high capital expenditures
Potential pension obligations if applicable in the future
high - AEGS's performance is closely tied to the economic cycle, as automotive sales are directly influenced by GDP growth and consumer spending patterns.
Rising interest rates can increase financing costs for consumers, potentially dampening vehicle sales and affecting demand for auto parts. This could compress margins and lower valuation multiples.
minimal - The company operates with no debt, reducing its exposure to credit conditions.
value - Investors may be attracted to AEGS due to its low Price/Book ratio (0.6x) and potential for recovery as automotive demand stabilizes.
high - The stock has shown significant volatility, with a 1-Year return of 24.2% and a 6-Month return of -35.9%.