View Future Growth707 Cayman Holdings 過去の業績過去 基準チェック /06707 Cayman Holdingsの収益は年間平均-82.7%の割合で減少していますが、 Retail Distributors業界の収益は年間 減少しています。収益は年間10.4% 22.3%割合で 増加しています。主要情報-82.70%収益成長率-72.88%EPS成長率Retail Distributors 業界の成長20.65%収益成長率22.25%株主資本利益率-80.32%ネット・マージン-38.30%前回の決算情報30 Sep 2025最近の業績更新Reported Earnings • Jan 18Full year 2025 earnings released: HK$1.86 loss per share (vs HK$0.37 profit in FY 2024)Full year 2025 results: HK$1.86 loss per share (down from HK$0.37 profit in FY 2024). Revenue: HK$106.9m (up 22% from FY 2024). Net loss: HK$40.9m (down HK$48.4m from profit in FY 2024).Reported Earnings • Sep 29First half 2025 earnings released: EPS: HK$0.17 (vs HK$0.06 in 1H 2024)First half 2025 results: EPS: HK$0.17 (up from HK$0.06 in 1H 2024). Revenue: HK$44.9m (up 20% from 1H 2024). Net income: HK$3.51m (up 188% from 1H 2024). Profit margin: 7.8% (up from 3.3% in 1H 2024). The increase in margin was driven by higher revenue.すべての更新を表示Recent updatesNew Risk • Mar 05New major risk - Share price stabilityThe company's share price has been highly volatile over the past 3 months. It is more volatile than 90% of American stocks, typically moving 16% a week. This is considered a major risk. Share price volatility increases the risk of potential losses in the short-term as the stock tends to have larger drops in price more frequently than other stocks. It may also indicate the stock is highly sensitive to market conditions or economic conditions rather than being sensitive to its own business performance, which may also be inconsistent. Currently, the following risks have been identified for the company: Major Risks Share price has been highly volatile over the past 3 months (16% average weekly change). Market cap is less than US$10m (US$2.05m market cap).New Risk • Jan 26New major risk - Share price stabilityThe company's share price has been highly volatile over the past 3 months. It is more volatile than 90% of American stocks, typically moving 16% a week. This is considered a major risk. Share price volatility increases the risk of potential losses in the short-term as the stock tends to have larger drops in price more frequently than other stocks. It may also indicate the stock is highly sensitive to market conditions or economic conditions rather than being sensitive to its own business performance, which may also be inconsistent. Currently, the following risks have been identified for the company: Major Risks Share price has been highly volatile over the past 3 months (16% average weekly change). Market cap is less than US$10m (US$6.74m market cap).Reported Earnings • Jan 18Full year 2025 earnings released: HK$1.86 loss per share (vs HK$0.37 profit in FY 2024)Full year 2025 results: HK$1.86 loss per share (down from HK$0.37 profit in FY 2024). Revenue: HK$106.9m (up 22% from FY 2024). Net loss: HK$40.9m (down HK$48.4m from profit in FY 2024).Reported Earnings • Sep 29First half 2025 earnings released: EPS: HK$0.17 (vs HK$0.06 in 1H 2024)First half 2025 results: EPS: HK$0.17 (up from HK$0.06 in 1H 2024). Revenue: HK$44.9m (up 20% from 1H 2024). Net income: HK$3.51m (up 188% from 1H 2024). Profit margin: 7.8% (up from 3.3% in 1H 2024). The increase in margin was driven by higher revenue.Valuation Update With 7 Day Price Move • Aug 18Investor sentiment deteriorates as stock falls 31%After last week's 31% share price decline to US$3.42, the stock trades at a trailing P/E ratio of 78.7x. Average trailing P/E is 24x in the Retail Distributors industry in the US.New Risk • Aug 11New minor risk - Financial data availabilityThe company's latest financial reports are more than 6 months old. Last reported fiscal period ended September 2024. This is considered a minor risk. If the company has not reported its earnings on time, it may have been delayed due to audit problems or it may be finding it difficult to reconcile its accounts. Currently, the following risks have been identified for the company: Major Risk Share price has been highly volatile over the past 3 months (35% average weekly change). Minor Risk Latest financial reports are more than 6 months old (reported September 2024 fiscal period end).Valuation Update With 7 Day Price Move • Jul 09Investor sentiment deteriorates as stock falls 15%After last week's 15% share price decline to US$3.30, the stock trades at a trailing P/E ratio of 76.2x. Average trailing P/E is 24x in the Retail Distributors industry in the US.お知らせ • Jun 10707 Cayman Holdings Limited has completed an IPO in the amount of $10 million.707 Cayman Holdings Limited has completed an IPO in the amount of $10 million. Security Name: Ordinary Shares Security Type: Common Stock Securities Offered: 2,500,000 Price\Range: $4 Discount Per Security: $0.28Board Change • Jun 09Less than half of directors are independentFollowing the recent departure of a director, there is only 1 independent director on the board. The company's board is composed of: 1 independent director. 2 non-independent directors. Executive Chairman Jose Sfez was the last director to join the board, commencing their role in 2024. The company's minority of independent directors is a risk according to the Simply Wall St Risk Model.収支内訳707 Cayman Holdings の稼ぎ方とお金の使い方。LTMベースの直近の報告された収益に基づく。収益と収入の歴史NasdaqCM:JEM 収益、費用、利益 ( )HKD Millions日付収益収益G+A経費研究開発費30 Sep 25107-4161030 Jun 25101-1638031 Mar 25951015031 Dec 2491915030 Sep 2488716030 Jun 2485615031 Mar 2481514031 Dec 2383612030 Sep 2384710030 Sep 2238250質の高い収益: JEMは現在利益が出ていません。利益率の向上: JEMは現在利益が出ていません。フリー・キャッシュフローと収益の比較過去の収益成長分析収益動向: JEMの過去 5 年間の前年比収益成長率がプラスであったかどうかを判断するにはデータが不十分です。成長の加速: JEMの過去 1 年間の収益成長を 5 年間の平均と比較することはできません。現在は利益が出ていないためです。収益対業界: JEMは利益が出ていないため、過去 1 年間の収益成長をRetail Distributors業界 ( -19% ) と比較することは困難です。株主資本利益率高いROE: JEMは現在利益が出ていないため、自己資本利益率 ( -80.32% ) はマイナスです。総資産利益率使用総資本利益率過去の好業績企業の発掘7D1Y7D1Y7D1YRetail 、過去の業績が好調な企業。View Financial Health企業分析と財務データの現状データ最終更新日(UTC時間)企業分析2026/06/26 00:26終値2026/06/26 00:00収益2025/09/30年間収益2025/09/30データソース企業分析に使用したデータはS&P Global Market Intelligence LLC のものです。本レポートを作成するための分析モデルでは、以下のデータを使用しています。データは正規化されているため、ソースが利用可能になるまでに時間がかかる場合があります。パッケージデータタイムフレーム米国ソース例会社財務10年損益計算書キャッシュ・フロー計算書貸借対照表SECフォーム10-KSECフォーム10-Qアナリストのコンセンサス予想+プラス3年予想財務アナリストの目標株価アナリストリサーチレポートBlue Matrix市場価格30年株価配当、分割、措置ICEマーケットデータSECフォームS-1所有権10年トップ株主インサイダー取引SECフォーム4SECフォーム13Dマネジメント10年リーダーシップ・チーム取締役会SECフォーム10-KSECフォームDEF 14A主な進展10年会社からのお知らせSECフォーム8-K* 米国証券を対象とした例であり、非米国証券については、同等の規制書式および情報源を使用。特に断りのない限り、すべての財務データは1年ごとの期間に基づいていますが、四半期ごとに更新されます。これは、TTM(Trailing Twelve Month)またはLTM(Last Twelve Month)データとして知られています。詳細はこちら。分析モデルとスノーフレークこのレポートを生成するために使用した分析モデルの詳細は、当社の Github ページ でご覧いただけます。また、レポートの使い方に関する ガイド や YouTube の チュートリアル もご用意しています。シンプリー・ウォールストリート分析モデルを設計・構築した世界トップクラスのチームについてご紹介します。業界およびセクターの指標私たちの業界とセクションの指標は、Simply Wall Stによって6時間ごとに計算されます。アナリスト筋707 Cayman Holdings Limited 0 これらのアナリストのうち、弊社レポートのインプットとして使用した売上高または利益の予想を提出したのは、 。アナリストの投稿は一日中更新されます。0
Reported Earnings • Jan 18Full year 2025 earnings released: HK$1.86 loss per share (vs HK$0.37 profit in FY 2024)Full year 2025 results: HK$1.86 loss per share (down from HK$0.37 profit in FY 2024). Revenue: HK$106.9m (up 22% from FY 2024). Net loss: HK$40.9m (down HK$48.4m from profit in FY 2024).
Reported Earnings • Sep 29First half 2025 earnings released: EPS: HK$0.17 (vs HK$0.06 in 1H 2024)First half 2025 results: EPS: HK$0.17 (up from HK$0.06 in 1H 2024). Revenue: HK$44.9m (up 20% from 1H 2024). Net income: HK$3.51m (up 188% from 1H 2024). Profit margin: 7.8% (up from 3.3% in 1H 2024). The increase in margin was driven by higher revenue.
New Risk • Mar 05New major risk - Share price stabilityThe company's share price has been highly volatile over the past 3 months. It is more volatile than 90% of American stocks, typically moving 16% a week. This is considered a major risk. Share price volatility increases the risk of potential losses in the short-term as the stock tends to have larger drops in price more frequently than other stocks. It may also indicate the stock is highly sensitive to market conditions or economic conditions rather than being sensitive to its own business performance, which may also be inconsistent. Currently, the following risks have been identified for the company: Major Risks Share price has been highly volatile over the past 3 months (16% average weekly change). Market cap is less than US$10m (US$2.05m market cap).
New Risk • Jan 26New major risk - Share price stabilityThe company's share price has been highly volatile over the past 3 months. It is more volatile than 90% of American stocks, typically moving 16% a week. This is considered a major risk. Share price volatility increases the risk of potential losses in the short-term as the stock tends to have larger drops in price more frequently than other stocks. It may also indicate the stock is highly sensitive to market conditions or economic conditions rather than being sensitive to its own business performance, which may also be inconsistent. Currently, the following risks have been identified for the company: Major Risks Share price has been highly volatile over the past 3 months (16% average weekly change). Market cap is less than US$10m (US$6.74m market cap).
Reported Earnings • Jan 18Full year 2025 earnings released: HK$1.86 loss per share (vs HK$0.37 profit in FY 2024)Full year 2025 results: HK$1.86 loss per share (down from HK$0.37 profit in FY 2024). Revenue: HK$106.9m (up 22% from FY 2024). Net loss: HK$40.9m (down HK$48.4m from profit in FY 2024).
Reported Earnings • Sep 29First half 2025 earnings released: EPS: HK$0.17 (vs HK$0.06 in 1H 2024)First half 2025 results: EPS: HK$0.17 (up from HK$0.06 in 1H 2024). Revenue: HK$44.9m (up 20% from 1H 2024). Net income: HK$3.51m (up 188% from 1H 2024). Profit margin: 7.8% (up from 3.3% in 1H 2024). The increase in margin was driven by higher revenue.
Valuation Update With 7 Day Price Move • Aug 18Investor sentiment deteriorates as stock falls 31%After last week's 31% share price decline to US$3.42, the stock trades at a trailing P/E ratio of 78.7x. Average trailing P/E is 24x in the Retail Distributors industry in the US.
New Risk • Aug 11New minor risk - Financial data availabilityThe company's latest financial reports are more than 6 months old. Last reported fiscal period ended September 2024. This is considered a minor risk. If the company has not reported its earnings on time, it may have been delayed due to audit problems or it may be finding it difficult to reconcile its accounts. Currently, the following risks have been identified for the company: Major Risk Share price has been highly volatile over the past 3 months (35% average weekly change). Minor Risk Latest financial reports are more than 6 months old (reported September 2024 fiscal period end).
Valuation Update With 7 Day Price Move • Jul 09Investor sentiment deteriorates as stock falls 15%After last week's 15% share price decline to US$3.30, the stock trades at a trailing P/E ratio of 76.2x. Average trailing P/E is 24x in the Retail Distributors industry in the US.
お知らせ • Jun 10707 Cayman Holdings Limited has completed an IPO in the amount of $10 million.707 Cayman Holdings Limited has completed an IPO in the amount of $10 million. Security Name: Ordinary Shares Security Type: Common Stock Securities Offered: 2,500,000 Price\Range: $4 Discount Per Security: $0.28
Board Change • Jun 09Less than half of directors are independentFollowing the recent departure of a director, there is only 1 independent director on the board. The company's board is composed of: 1 independent director. 2 non-independent directors. Executive Chairman Jose Sfez was the last director to join the board, commencing their role in 2024. The company's minority of independent directors is a risk according to the Simply Wall St Risk Model.