Home 002352 vs 600787 002352 vs 600787: S.F. Holding Co. Ltd vs CMST Development Co Ltd Side-by-side comparison of key financial metrics, valuation ratios, profitability, growth, and risk-adjusted returns. Both companies are in the Industrials sector. Both are listed in China.
Quick Summary S.F. Holding Co. Ltd is 16.0× the market cap of CMST Development Co Ltd. 002352 trades at a lower P/E than 600787. 002352 offers the higher dividend yield.
Price & Performance Metric 002352 600787 Current Price CN¥36.70 CN¥5.34 Daily Change -2.29% -0.74% 1-Year Return -14.79% -13.45% 52-Week High CN¥50.70 CN¥6.77 52-Week Low CN¥35.71 CN¥5.34 50-Day MA CN¥37.50 CN¥5.68 200-Day MA CN¥40.48 CN¥5.85 Beta 0.52 0.44
Size & Revenue Metric 002352 600787 Market Cap $184.95B $11.59B Enterprise Value $196.49B $9.37B Revenue (TTM) $308.23B $67.69B Shares Outstanding 4.80B 2.17B Float 2.47B 1.00B Employees 158,761 5,021
Valuation Metric 002352 600787 Trailing P/E 16.53 21.36 Forward P/E 14.90 20.28 PEG Ratio 1.46 — Price / Sales 0.60 0.17 Price / Book 1.91 0.84 EV / EBITDA 5.95 6.25
Profitability Metric 002352 600787 Profit Margin 3.61% 0.81% Operating Margin (TTM) 4.64% -0.24% Return on Equity 10.99% 3.82% Return on Assets 4.26% 0.91% Diluted EPS (TTM) 2.22 0.25
Growth Metric 002352 600787 Revenue Growth (YoY) 7.00% 23.50% Earnings Growth (YoY) 4.90% 193.40%
Dividends Metric 002352 600787 Dividend Yield 2.37% 2.10% Dividend / Share 0.89 0.11
Risk-Adjusted Returns & Quality Metric 002352 600787 Sortino (Composite) -1.03 -1.44 Sharpe (Composite) -0.74 -1.29 Calmar (Composite) -1.85 -4.49 Hurst Exponent 0.5616 0.5218 Piotroski F-Score 7/9 7/9 Magic Formula Rank #10,913 #22,470
Ownership Metric 002352 600787 % Insiders 5876.90% 5652.50% % Institutions 993.90% 107.30%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.