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CNT Group Ltd

0701
Current price
0.3 HKD 0 HKD (0.00%)
Last closed 0.3 HKD
ISIN BMG2237T1009
Sector Basic Materials
Industry Specialty Chemicals
Exchange Hong Kong Stock Exchange
Capitalization 571 238 905 HKD
Yield for 12 month -1.64 %
1Y
3Y
5Y
10Y
15Y
0701
21.11.2021 - 28.11.2021

CNT Group Limited, an investment holding company, manufactures and sells paint and coating products in Hong Kong and Mainland China. It operates through four segments: Paint Products, Property Investment, Hotel Business, and Others. The company also invests in residential, commercial, and industrial properties; develops and sells properties; and provides fund management, management, and consulting services. In addition, it is involved in the securities trading business. Further, the company operates and manages a hotel under the J Link Hotel brand name. CNT Group Limited was incorporated in 1991 and is based in Wan Chai, Hong Kong. Address: CNT Tower, Wan Chai, Hong Kong

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Analytics

WallStreet Target Price

P/E ratio

Dividend Yield

Current Year

+495 768 465 HKD

Last Year

+665 744 710 HKD

Current Quarter

+256 347 185 HKD

Last Quarter

Current Year

+174 624 317 HKD

Last Year

+156 198 068 HKD

Current Quarter

+81 240 754 HKD

Last Quarter

Key Figures 0701

1 year
3 years
5 years
10 years
21.11.2021 - 28.11.2021
EBITDA -29 422 296 HKD
Operating Margin TTM -9.07 %
PE Ratio
Return On Assets TTM -1.55 %
PEG Ratio
Return On Equity TTM -6.59 %
Wall Street Target Price
Revenue TTM 400 569 480 HKD
Book Value 0.68 HKD
Revenue Per Share TTM
Dividend Share
Quarterly Revenue Growth YOY -37.1 %
Dividend Yield
Gross Profit TTM 156 198 065 HKD
Earnings per share
Diluted Eps TTM
Most Recent Quarter II 2023
Quarterly Earnings Growth YOY 3034 %
Profit Margin -19.66 %

Dividend Analytics 0701

Dividend growth over 5 years

100 %

Continuous growth

Payout Ratio 5 years average

-63 %

Dividend History 0701

1 year
3 years
5 years
10 years
21.11.2021 - 28.11.2021
Forward Annual Dividend Rate
Ex Dividend Date 08.06.2023
Forward Annual Dividend Yield
Last Split Factor
Payout Ratio 8.11 %
Last Split Date
Dividend Date

Stock Valuation 0701

1 year
3 years
5 years
10 years
21.11.2021 - 28.11.2021
Trailing PE
Forward PE
Enterprise Value Revenue 0.9878
Price Sales TTM 1.4261
Enterprise Value EBITDA -10.3595
Price Book MRQ 0.4316

Financials 0701

1 year
3 years
5 years
10 years
15 years
Results 2019 Dynamics
* The data for this period has not yet been published

Technical indicators 0701

For 52 weeks

0.26 HKD 0.36 HKD
50 Day MA 0.29 HKD
Shares Short Prior Month
200 Day MA 0.31 HKD
Short Ratio
Shares Short
Short Percent

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