Home 1113 vs 3990 1113 vs 3990: CK Asset Holdings Ltd vs Midea Real Estate Holding Ltd 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.
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1113 • Hong Kong Stock Exchange
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3990 • Hong Kong Stock Exchange
Quick Summary CK Asset Holdings Ltd is 33.6× the market cap of Midea Real Estate Holding Ltd. 3990 trades at a lower P/E than 1113. 3990 offers the higher dividend yield.
Price & Performance Metric 1113 3990 Current Price HK$46.84 HK$3.40 Daily Change -3.42% -0.87% 1-Year Return 54.08% -14.57% 52-Week High HK$49.78 HK$5.05 52-Week Low HK$30.95 HK$3.27 50-Day MA HK$46.60 HK$3.87 200-Day MA HK$40.74 HK$4.30 Beta 0.56 1.42
Size & Revenue Metric 1113 3990 Market Cap $170.16B $5.07B Enterprise Value $183.65B $3.90B Revenue (TTM) $57.93B $4.15B Shares Outstanding 3.50B 1.44B Float 1.89B 239.31M Employees 54,000 8,622
Valuation Metric 1113 3990 Trailing P/E 15.68 7.84 Forward P/E 8.25 0.00 PEG Ratio 0.74 — Price / Sales 2.94 1.22 Price / Book 0.42 0.90 EV / EBITDA 9.82 3.95
Profitability Metric 1113 3990 Profit Margin 19.22% 13.48% Operating Margin (TTM) 15.99% 21.27% Return on Equity 2.75% 11.38% Return on Assets 1.32% 5.55% Diluted EPS (TTM) 3.20 0.21
Growth Metric 1113 3990 Revenue Growth (YoY) 38.40% 41.30% Earnings Growth (YoY) -7.50% -20.10%
Dividends Metric 1113 3990 Dividend Yield 3.68% 8.64% Dividend / Share 1.78 0.31
Risk-Adjusted Returns & Quality Metric 1113 3990 Sortino (Composite) 3.28 -0.85 Sharpe (Composite) 2.09 -0.81 Calmar (Composite) 5.39 -0.99 Hurst Exponent 0.5835 0.6079 Piotroski F-Score 7/9 5/9 Magic Formula Rank #18,714 #8,524
Ownership Metric 1113 3990 % Insiders 4890.20% 8332.80% % Institutions 1976.80% 183.70%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.