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City Developments Ltd

CDEVYUnited States

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$6.29
-0.47%
End of day
Market Cap

$6.43B

P/E Ratio

41.76

Employees

8,354

Dividend Yield

3.59%

Price Chart

Risk-Adjusted Performance

Ratio1W1M3M6M1Y5YScore
Sortino-1.31-1.720.161.211.460.53
Calmar-13.80-3.900.231.972.950.11
Sharpe-1.41-1.420.120.790.950.26
Omega0.000.421.061.191.220.99
Martin-17.44-6.870.737.609.583.29
Ulcer5.6113.217.176.057.167.57

City Developments Ltd (CDEVY) Price Performance

City Developments Ltd (CDEVY) trades on United States in USD. The company is classified in the Real Estate sector under the Real Estate - Development industry. The stock currently trades at $6.29, down 0.47% from the previous close.

Over the past year, CDEVY has traded between a low of $3.19 and a high of $8.20. The stock has gained 71.3% over this period. It is currently 23.3% below its 52-week high.

City Developments Ltd has a market capitalization of $6.43B, with a price-to-earnings ratio of 41.76 and a dividend yield of 3.59%.

About City Developments Ltd

City Developments Limited (CDL) is a leading global real estate company with a network spanning 168 locations in 29 countries and regions. Listed on the Singapore Exchange, the Group is one of the largest companies by market capitalisation. Its income-stable and geographically diverse portfolio comprises residences, offices, hotels, serviced apartments, student accommodation, retail malls and integrated developments. With a proven track record of over 60 years in real estate development, investment and management, the Group has developed over 53,000 homes and owns around 23 million square feet of gross floor area in residential for lease, commercial and hospitality assets globally. Along with its wholly-owned hotel subsidiary, Millennium & Copthorne Hotels Limited (M&C), the Group has over 160 hotels worldwide, many in key gateway cities. Leveraging its deep expertise in developing and managing a diversified asset base, the Group is focused on enhancing the performance of its portfolio and strengthening its recurring income streams to deliver long-term sustainable value to shareholders. The Group is actively pursuing its fund management growth strategy to further leverage its strengths.

Company Info

Exchange
United States
Currency
USD

Financial Metrics

Revenue (TTM)
$3.59B
EBITDA
$678.45M
Profit Margin
17.55%
EPS (TTM)
0.17
Book Value
8.15

Technical Indicators

52 Week High
$8.20
52 Week Low
$3.17
50 Day MA
$7.24
200 Day MA
$5.62
Beta
0.31

Valuation

Trailing P/E
41.76
Forward P/E
20.58
Price/Sales
1.79
Price/Book
0.90
Enterprise Value
$15.28B