2024 US Food

Ingredion Inc

Rank

14 of 45

Economic Capital Ratio

108.54%

Trend (+/- rank to previous year)

4.0

Summary

The relative strengths and weaknesses of Ingredion Inc are analyzed with respect to the market average, including all of its competitors. We analyzed all variables having an effect on the Economic Capital Ratio.

The greatest strength of Ingredion Inc compared to the market average is the variable Net Income, increasing the Economic Capital Ratio by 75% points.The greatest weakness of Ingredion Inc is the variable Other Expenses, reducing the Economic Capital Ratio by 34% points.

The company’s Economic Capital Ratio, given in the ranking table, is 109%, being 103% points above the market average of 5.3%.

AI Causal Graph

The AI Causal Graph delineates the true determinants of financial strength. At the top of the graph, data from public annual reports is inputted. These variables are synthesized to ultimately produce the Economic Capital Ratio. Green nodes signify the company's strengths relative to the market average, enhancing financial robustness, whereas red nodes indicate weaknesses.


Causal Effects

The Causal Effects in each node indicate the individual impact of that variable on the final node, the Economic Capital Ratio. They reveal the extent to which the Economic Capital Ratio increases or decreases relative to the industry average. Cumulatively, these effects contribute to the overall Economic Capital Ratio.

NameEffect in % Points
Property and equipment13.5
Assets3.80
Liabilities52.3
Stockholders Equity49.5
Economic Capital Ratio103
Assets, Current16.2
Other Assets14.8
Intangible Assets-30.2
Liabilities, Long Term-5.24
Liabilities, Current34.7
Other Liabilities25.8
Selling and Marketing Expense10.4
Expenses-3.80
Revenues52.4
Net Income74.5
General and administrative Expense19.4
Other Expenses-33.6
Other Revenues52.4
Other Net Income25.9
Comprehensive Net Income74.1
Other Compr. Net Income-0.457

Input Variables

The Input Variables consist of the absolute values from the public annual report data entered into the valuation model.

Input Variablesin 1000 USD
Assets, Current3,399,000
General and administrative Expense0
Intangible Assets0
Liabilities, Current1,772,000
Liabilities, Long Term1,740,000
Other Assets1,873,000
Other Compr. Net Income-10,000
Other Expenses7,513,000
Other Liabilities480,000
Other Net Income4,000
Other Revenues8,160,000
Property and equipment2,370,000
Selling and Marketing Expense0

Output Variables

The output variables are the absolute values as calculated by the valuation model.

Output Variablesin 1000 USD
Assets7,642,000
Liabilities3,992,000
Expenses7,513,000
Revenues8,160,000
Stockholders Equity3,650,000
Net Income651,000
Comprehensive Net Income645,800
Economic Capital Ratio109%

Feature Distribution

The Feature Distribution illustrates the distribution of the model variables' effect values across the industry. The specific effect of the company in question within this distribution is indicated by a black arrow. The top two charts highlight the company's greatest strengths, whereas the bottom two charts reveal its most significant weaknesses.


Strengths and Weaknesses Over Time

The strengths and weaknesses plot shows how the company's greatest strengths and weaknesses develop over time. The corresponding impact measures the percentage point increase or decrease in the Economic Capital Ratio.


Keyfigures Over Time

The Key Figures over Time display tracks the development of assets and liabilities from the balance sheet, along with revenues and expenses from the profit and loss statement, over time.


Regression

The Regression compares the forecasted company valuation with the observed stock market values. A positive correlation suggests that the model effectively explains market prices. A company's valuation above the regression line indicates that the company is overvalued, otherwise it is undervalued.


Balance Sheet

The Balance Sheet plot illustrates the evolution of Assets and Liabilities over time. The difference between them, known as Equity, represents the accumulation of past profits.


Profit & Loss

The Profit & Loss plot shows the development of Revenues and Expenses over time. The difference between these, either as Profit or Loss, reflects the surplus from the previous year.


Industry Index

The RealRate Index shows how financial health develops over time. The blue line shows the evolution of the Economic Capital Ratio for the individual company. This is compared to the distribution of all other companies. The change in the company's financial strength is shown in the lower part.