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1113 vs 2423: CK Asset Holdings Ltd vs Ke Holdings Inc

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

11
1113Hong Kong Stock Exchange
HK$46.84
-3.42%
Hong Kong
$170.16B
24
2423Hong Kong Stock Exchange
HK$42.30
-1.76%
Hong Kong
$143.45B

Quick Summary

CK Asset Holdings Ltd is 1.2× the market cap of Ke Holdings Inc. 1113 trades at a lower P/E than 2423. 2423 offers the higher dividend yield.

Price & Performance

Metric11132423
Current PriceHK$46.84HK$42.30
Daily Change-3.42%-1.76%
1-Year Return54.08%-18.58%
52-Week HighHK$49.78HK$55.30
52-Week LowHK$30.95HK$37.66
50-Day MAHK$46.60HK$43.11
200-Day MAHK$40.74HK$45.93
Beta0.56-0.53

Size & Revenue

Metric11132423
Market Cap$170.16B$143.45B
Enterprise Value$183.65B$108.06B
Revenue (TTM)$57.93B$94.58B
Shares Outstanding3.50B3.21B
Float1.89B2.04B
Employees54,000119,245

Valuation

Metric11132423
Trailing P/E15.6843.21
Forward P/E8.2516.89
PEG Ratio0.740.69
Price / Sales2.941.52
Price / Book0.421.85
EV / EBITDA9.8242.29

Profitability

Metric11132423
Profit Margin19.22%3.17%
Operating Margin (TTM)15.99%-0.65%
Return on Equity2.75%4.34%
Return on Assets1.32%1.11%
Diluted EPS (TTM)3.201.44

Growth

Metric11132423
Revenue Growth (YoY)38.40%-28.70%
Earnings Growth (YoY)-7.50%-83.70%

Dividends

Metric11132423
Dividend Yield3.68%4.60%
Dividend / Share1.781.93

Risk-Adjusted Returns & Quality

Metric11132423
Sortino (Composite)2.871.45
Sharpe (Composite)1.850.54
Calmar (Composite)3.47-0.20
Hurst Exponent0.58350.6316
Piotroski F-Score7/97/9
Magic Formula Rank#18,708#24,367

Ownership

Metric11132423
% Insiders4890.20%3839.30%
% Institutions1976.80%1680.80%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.