Alujain leverages Saudi Arabia's natural hydrocarbon resources and strategic location to develop globally competitive petrochemical and chemical projects. The company operates through dual segments—petrochemical products and home-care products—with a focused strategy on maximizing shareholder returns through partnerships with global companies and expansion into high-value, specialized products.
Cyborg Score Rationale
The company operates in attractive petrochemical sector with strong dividend yield (~7-8%) and stable market cap (~$2.2-2.5B SAR), but faces operational headwinds with negative EPS (-1.06 TTM), volatile stock performance (down 20.6% YoY), and mixed recent earnings results. Minimal employee base (13 employees) suggests a holding/investment structure rather than operational intensity.
Top Insights
Pure-play petrochemical holding structure with lean management (13 employees), indicating portfolio company governance model rather than operational consolidation
Strong dividend culture with 7-8% yield demonstrating capital return focus, though sustainability questioned by negative earnings
Significant exposure to commodity petrochemical margins amid volatile energy markets and global chemical supply dynamics
Strategic alignment with Saudi Arabia's Vision 2030 industrialization agenda provides regulatory support but creates cyclical industry dependency
Named Competitors
Petrochemical Production & Chemical Distribution — Integrated petrochemicals, downstream chemicals, and plastics
Integrated Energy & Petrochemicals — Upstream oil/gas with downstream petrochemical integration
Specialty Home-Care Chemicals — Regional chemical wholesalers and home-care product manufacturers
Recent Developments
(May 2022) Corporate rebranding from Alujain Holding Corporation to Alujain Corporation
(Jul 2025) Q4 2024 earnings release showing 12.43M SAR net income after prior quarter loss of -17.23M SAR
(Mar 2026) Stock trading at ~32-36 SAR range with YTD decline of approximately 10.6% month-on-month
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