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Azelis Group N.V.

AZE.BR
35
Chemicals - Specialty · Basic Materials
Price
€10.62
+0.03 (+0.28%)
Market Cap
€2.59B
Exchange
Euronext Brussels
Winston Score
35
Winston is serious
Below-average fundamentals — multiple weak pillars.
Data as of Jul 26, 2026 · filings through Dec 31, 2025

Share count rising — dilution

+3.4% over 4y

The company has issued more shares over this period, which dilutes each existing shareholder’s stake.

Diluted shares outstanding: 233.8M (2021) → 241.7M (2025)

Azelis Group is a specialty chemicals distributor based in Belgium. It acts as a middleman between chemical manufacturers and companies that make everyday products like food, cosmetics, pharmaceuticals, and industrial goods. Rather than making chemicals itself, Azelis sources ingredients and additives from suppliers and delivers them to thousands of customers across many industries.

Azelis earns money by buying chemicals from producers and selling them at a markup, keeping the difference as its gross margin. The company operates in over 60 countries across Europe, the Americas, and Asia-Pacific, making it one of the largest specialty chemical distributors in the world. Its competitive edge comes from deep technical expertise and long-term relationships with both suppliers and customers, which are hard to replicate quickly. The main risk is margin pressure — as a distributor, Azelis sits between powerful suppliers and cost-conscious customers, leaving limited room to raise prices, which is reflected in its relatively thin margins and low returns on invested capital.

Winston Score History

Score breakdown

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Quality

Gross Margin
11.1%
Thin — 11.1% gross margin
Operating Margin
5.8%
Thin — 5.8% operating margin
ROCE
2.6%
Weak — 2.6% return on capital

ROIC between 0% and 5%. They earn a few cents back per dollar invested in the business.

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Growth

Sales YoY
-28.5%
Shrinking sales (-28.5% YoY)
EPS YoY
-60.8%
Earnings shrinking (-60.8% YoY)

Earnings per share down more than 10%. Either a bad year, or a real decline.

EPS Consistency
0/8 quarters
Earnings rarely grow — volatile business

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Cash Flow

Cash Conversion
427%
Turns 427% of profit into real cash
FCF Margin
9.3%
Modest free cash flow (9.3%)

FCF margin between 0% and 10%. Some cash from sales, but not a lot.

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Stability

Debt / Equity
0.64
Moderate — manageable debt (0.64)
Interest Cover
1.68x
Dangerous — barely covers interest (1.7x)

Interest coverage between 1 and 3. Profits cover interest, but with little room to spare.

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Valuation

P/E Ratio (TTM)
36.6x
Pricey — P/E 36.6

P/E over 35. The market is pricing in heavy, sustained growth.

P/E vs Forward
+25.2
GROWING
Earnings expected to grow meaningfully — cheaper on forward P/E (36.6 → 11.5)

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Dividends

Dividend Yield
2.13%
Moderate income — 2.13% yield

Standard yield zone for stable dividend payers. A meaningful piece of total return.

Dividend Growth
N/A
Data not available

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