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002352 vs SFHOY: S.F. Holding Co. Ltd vs S.F. Holding Co. Ltd. ADR

Side-by-side comparison of key financial metrics, valuation ratios, profitability, growth, and risk-adjusted returns. Both companies are in the Industrials sector.

CN¥36.70
-2.29%
China
$184.95B
SF
SFHOYUnited States
$17.28
-6.09%
United States
$26.31B

Quick Summary

S.F. Holding Co. Ltd is 7.0× the market cap of S.F. Holding Co. Ltd. ADR. SFHOY trades at a lower P/E than 002352. SFHOY offers the higher dividend yield.

Price & Performance

Metric002352SFHOY
Current PriceCN¥36.70$17.28
Daily Change-2.29%-6.09%
1-Year Return-14.79%
52-Week HighCN¥50.70$27.54
52-Week LowCN¥35.71$16.90
50-Day MACN¥37.50
200-Day MACN¥40.48
Beta0.520.60

Size & Revenue

Metric002352SFHOY
Market Cap$184.95B$26.31B
Enterprise Value$196.49B$107.07B
Revenue (TTM)$308.23B$302.82B
Shares Outstanding4.80B60.00M
Float2.47B2.49B
Employees158,761

Valuation

Metric002352SFHOY
Trailing P/E16.5313.64
Forward P/E14.90
PEG Ratio1.46
Price / Sales0.600.09
Price / Book1.916.16
EV / EBITDA5.954.69

Profitability

Metric002352SFHOY
Profit Margin3.61%3.59%
Operating Margin (TTM)4.64%4.58%
Return on Equity10.99%10.70%
Return on Assets4.26%4.17%
Diluted EPS (TTM)2.221.28

Growth

Metric002352SFHOY
Revenue Growth (YoY)7.00%8.20%
Earnings Growth (YoY)4.90%-8.50%

Dividends

Metric002352SFHOY
Dividend Yield2.37%148.00%
Dividend / Share0.890.26

Risk-Adjusted Returns & Quality

Metric002352SFHOY
Sortino (Composite)-1.03-0.95
Sharpe (Composite)-0.74-0.74
Calmar (Composite)-1.85-2.92
Hurst Exponent0.56160.4471
Piotroski F-Score7/9
Magic Formula Rank#10,913

Ownership

Metric002352SFHOY
% Insiders5876.90%0.00%
% Institutions993.90%0.00%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.