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1209 vs BEKE: China Resources Mixc Lifestyle Serv 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.

12
1209Hong Kong Stock Exchange
HK$48.08
-0.29%
Hong Kong
$111.84B
Ke Holdings Inc
BEKEUnited States
$16.24
+0.50%
United States
$19.07B

Quick Summary

China Resources Mixc Lifestyle Serv is 5.9× the market cap of Ke Holdings Inc. 1209 trades at a lower P/E than BEKE. 1209 offers the higher dividend yield.

Price & Performance

Metric1209BEKE
Current PriceHK$48.08$16.24
Daily Change-0.29%0.50%
1-Year Return32.82%-14.66%
52-Week HighHK$49.24$22.08
52-Week LowHK$36.00$14.81
50-Day MAHK$46.82$17.46
200-Day MAHK$42.69$17.92
Beta0.73-0.59

Size & Revenue

Metric1209BEKE
Market Cap$111.84B$19.07B
Enterprise Value$98.35B$23.16B
Revenue (TTM)$18.02B$10.95B
Shares Outstanding2.28B1.09B
Float599.41M2.00B
Employees37,704135,072

Valuation

Metric1209BEKE
Trailing P/E24.5038.91
Forward P/E21.1018.87
PEG Ratio1.14
Price / Sales6.210.18
Price / Book6.031.92
EV / EBITDA15.6915.80

Profitability

Metric1209BEKE
Profit Margin22.02%3.36%
Operating Margin (TTM)24.45%3.00%
Return on Equity25.20%5.02%
Return on Assets10.48%1.81%
Diluted EPS (TTM)1.640.43

Growth

Metric1209BEKE
Revenue Growth (YoY)4.50%2.10%
Earnings Growth (YoY)12.60%-33.30%

Dividends

Metric1209BEKE
Dividend Yield2.22%2.15%
Dividend / Share1.042.63

Risk-Adjusted Returns & Quality

Metric1209BEKE
Sortino (Composite)3.971.07
Sharpe (Composite)1.810.21
Calmar (Composite)6.670.94
Hurst Exponent0.55720.5908
Piotroski F-Score9/96/9
Magic Formula Rank#11,191#22,420

Ownership

Metric1209BEKE
% Insiders7157.10%78.10%
% Institutions1477.10%1617.50%
Green highlighting indicates the more favorable value for each metric. Data is for informational purposes only and may be delayed.