Top Markets
Coin of the day
Greater China Financial Holdings Limited Greater China Financial Holdings Limited

Greater China Financial Holdings Limited

0431
Rangering i aksjer #32470
Greater China Financial Holdings Limited operates as an investment holding... Greater China Financial Holdings Limited operates as an investment holding company, conducting a diverse range of business activities across Hong Kong and mainland China. Its principal operations include industrial property development, general trading, and a comprehensive suite of financial and other services. Specifically, the company's industrial property division manages a warehouse facility in Taicang, Jiangsu Province, PRC, while its general trading arm focuses on the commerce of consumable goods. The financial services portfolio is extensive, encompassing a loan financing segment that provides financial guarantees, direct loan services, loan referrals, advisory support, and micro-financing solutions. Additionally, the company offers commercial factoring services, securities brokerage, margin financing, asset management, insurance intermediation, and various agency services. The company also extends its offerings to include advertising services. Originally incorporated in 1992 as Greater China Holdings Limited, the company adopted its current name, Greater China Financial Holdings Limited, in December 2015. Its corporate headquarters are located in Causeway Bay, Hong Kong.
Aksjekurs
$0.00128628
Sist synkronisert: 2024-10-31
Markedsverdi
$10.00M
Endring (1 dag)
-0.03%
Endring (1 år)
0.00%
Land
HK
Handel Greater China Financial Holdings Limited (0431)
P/E-forhold for Greater China Financial Holdings Limited (0431)
P/E-forhold per August 2026 TTM: -2.94
Ifølge Greater China Financial Holdings Limited sine siste finansielle rapporter og aksjekurs er selskapets nåværende P/E-forhold (TTM) -2.94. Ved slutten av 2022 hadde selskapet en P/E på -2.58.
P/E-forholdshistorikk for Greater China Financial Holdings Limited fra 2004 til 2026
P/E-forhold ved slutten av hvert år
År P/E-forhold Endre
2026 (TTM) -2.94 56.45%
2023 -1.88 -27.27%
2022 -2.58 -67.19%
2021 -7.86 73.98%
2020 -4.52 -35.55%
2019 -7.01 -70.35%
2018 -23.65 -156.37%
2017 41.95 -5,059.59%
2016 -0.85 -102.80%
2015 30.19 -200.14%
2014 -30.15 636.74%
2013 -4.09 121.46%
2012 -1.85 -104.23%
2011 43.67 -1,138.41%
2010 -4.21 54.74%
2009 -2.72 69.16%
2008 -1.61 -65.59%
2007 -4.67 -684.39%
2006 0.80 -73.39%
2005 3.00 -33.68%
2004 4.53 0.00%
P/E-forhold for lignende selskaper eller konkurrenter
Selskap P/E-forhold Forskjell i P/E-forhold Land
30.94 -1,151.91%
US
31.26 -1,162.92%
US
20.77 -806.14%
US
14.07 -578.31%
US
33.28 -1,231.59%
IN
Hvordan lese en P/E-ratio?

Pris/inntjening-forholdet (P/E) måler forholdet mellom aksjekursen og inntjening per aksje.
En lav men positiv P/E indikerer høy inntjening sammenlignet med nåværende verdsettelse, og kan tyde på at selskapet er undervurdert. En høy negativ (nær 0) P/E indikerer store tap.

Selskaper med P/E over 30 eller negativ betraktes vanligvis som "vekstaksjer", hvor investorer forventer vekst eller fremtidig lønnsomhet.

Selskaper med en positiv P/E under 10 anses vanligvis som "verdiaksjer", det vil si at selskapet allerede er lønnsomt, men har begrenset vekstpotensial.