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Cosmopolitan International Holdings SEHK:120 Stock Report

Last Price

HK$0.17

Market Cap

HK$320.1m

7D

-6.7%

1Y

-96.6%

Updated

27 Nov, 2024

Data

Company Financials

Cosmopolitan International Holdings Limited

SEHK:120 Stock Report

Market Cap: HK$320.1m

120 Stock Overview

Engages in the property development and investment business in Hong Kong and the People's Republic of China. More details

120 fundamental analysis
Snowflake Score
Valuation1/6
Future Growth0/6
Past Performance0/6
Financial Health3/6
Dividends0/6

Cosmopolitan International Holdings Limited Competitors

Price History & Performance

Summary of all time highs, changes and price drops for Cosmopolitan International Holdings
Historical stock prices
Current Share PriceHK$0.17
52 Week HighHK$5.87
52 Week LowHK$0.15
Beta3.88
11 Month Change-17.65%
3 Month Change-27.59%
1 Year Change-96.56%
33 Year Change-95.90%
5 Year Change-95.80%
Change since IPO-98.78%

Recent News & Updates

Recent updates

Cosmopolitan International Holdings (HKG:120) Has A Pretty Healthy Balance Sheet

Dec 26
Cosmopolitan International Holdings (HKG:120) Has A Pretty Healthy Balance Sheet

We Think Cosmopolitan International Holdings' (HKG:120) Profit Is Only A Baseline For What They Can Achieve

Oct 05
We Think Cosmopolitan International Holdings' (HKG:120) Profit Is Only A Baseline For What They Can Achieve

Cosmopolitan International Holdings (HKG:120) Could Easily Take On More Debt

Aug 31
Cosmopolitan International Holdings (HKG:120) Could Easily Take On More Debt

Cosmopolitan International Holdings (HKG:120) Has A Pretty Healthy Balance Sheet

May 02
Cosmopolitan International Holdings (HKG:120) Has A Pretty Healthy Balance Sheet

Calculating The Fair Value Of Cosmopolitan International Holdings Limited (HKG:120)

Apr 05
Calculating The Fair Value Of Cosmopolitan International Holdings Limited (HKG:120)

Cosmopolitan International Holdings (HKG:120) Is Making Moderate Use Of Debt

Mar 25
Cosmopolitan International Holdings (HKG:120) Is Making Moderate Use Of Debt

We Think Cosmopolitan International Holdings (HKG:120) Has A Fair Chunk Of Debt

Dec 10
We Think Cosmopolitan International Holdings (HKG:120) Has A Fair Chunk Of Debt

Shareholder Returns

120HK Real EstateHK Market
7D-6.7%-3.9%-2.8%
1Y-96.6%-12.8%10.0%

Return vs Industry: 120 underperformed the Hong Kong Real Estate industry which returned -12.8% over the past year.

Return vs Market: 120 underperformed the Hong Kong Market which returned 10% over the past year.

Price Volatility

Is 120's price volatile compared to industry and market?
120 volatility
120 Average Weekly Movement23.9%
Real Estate Industry Average Movement10.1%
Market Average Movement8.9%
10% most volatile stocks in HK Market19.0%
10% least volatile stocks in HK Market4.2%

Stable Share Price: 120's share price has been volatile over the past 3 months compared to the Hong Kong market.

Volatility Over Time: 120's weekly volatility has increased from 17% to 24% over the past year.

About the Company

FoundedEmployeesCEOWebsite
199180Yuk Sui Lowww.cosmoholdings.com

Cosmopolitan International Holdings Limited, together with its subsidiaries, engages in the property development and investment business in Hong Kong and the People's Republic of China. It operates in two segments, Property Development and Investment, and Financial Assets Investments. The company engages in the development, sale, and leasing of properties; and trading in financial assets, as well as invests in other financial assets.

Cosmopolitan International Holdings Limited Fundamentals Summary

How do Cosmopolitan International Holdings's earnings and revenue compare to its market cap?
120 fundamental statistics
Market capHK$320.09m
Earnings (TTM)-HK$443.00m
Revenue (TTM)HK$368.10m

0.9x

P/S Ratio

-0.7x

P/E Ratio

Earnings & Revenue

Key profitability statistics from the latest earnings report (TTM)
120 income statement (TTM)
RevenueHK$368.10m
Cost of RevenueHK$425.60m
Gross Profit-HK$57.50m
Other ExpensesHK$385.50m
Earnings-HK$443.00m

Last Reported Earnings

Jun 30, 2024

Next Earnings Date

n/a

Earnings per share (EPS)-0.23
Gross Margin-15.62%
Net Profit Margin-120.35%
Debt/Equity Ratio140.5%

How did 120 perform over the long term?

See historical performance and comparison