Home 002309 vs SFFYF 002309 vs SFFYF: Zhongli Science and Technology Group Co Ltd vs Signify N.V Side-by-side comparison of key financial metrics, valuation ratios, profitability, growth, and risk-adjusted returns. Both companies are in the Industrials sector.
Quick Summary Zhongli Science and Technology Group Co Ltd is 4.2× the market cap of Signify N.V. 002309 trades at a lower P/E than SFFYF. SFFYF pays a dividend; 002309 does not.
Price & Performance Metric 002309 SFFYF Current Price CN¥3.98 $20.50 Daily Change -2.69% 0.00% 1-Year Return 50.19% -0.70% 52-Week High CN¥5.23 $26.65 52-Week Low CN¥2.49 $20.50 50-Day MA CN¥3.85 — 200-Day MA CN¥3.36 — Beta 0.07 0.91
Size & Revenue Metric 002309 SFFYF Market Cap $12.06B $2.90B Enterprise Value $10.83B $3.50B Revenue (TTM) $1.90B $5.77B Shares Outstanding 3.01B 119.02M Float 2.89B 115.16M Employees 2,297 —
Valuation Metric 002309 SFFYF Trailing P/E 0.00 10.38 Forward P/E 119.05 — Price / Sales 6.34 0.50 Price / Book 6.61 0.94 EV / EBITDA -3.99 6.25
Profitability Metric 002309 SFFYF Profit Margin -45.37% 4.41% Operating Margin (TTM) -9.93% 7.64% Return on Equity -202.11% 8.62% Return on Assets -9.02% 3.79% Diluted EPS (TTM) -0.33 2.35
Growth Metric 002309 SFFYF Revenue Growth (YoY) -6.80% -9.80% Earnings Growth (YoY) -26.20% -49.10%
Dividends Metric 002309 SFFYF Dividend Yield — 916.00% Dividend / Share — 1.88
Risk-Adjusted Returns & Quality Metric 002309 SFFYF Sortino (Composite) 0.81 -1.73 Sharpe (Composite) 0.33 -1.64 Calmar (Composite) 0.19 -1.77 Hurst Exponent 0.6404 0.5883 Piotroski F-Score 4/9 —
Ownership Metric 002309 SFFYF % Insiders 4012.30% 6.64% % Institutions 1010.80% 85.55%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.