The P/E ratio measures how cheaply valued a company’s stock price is by dividing the current stock price to its earnings-per-share (EPS). It indicates the dollar amount an investor can expect to invest in a company to receive $1 of that company’s earnings. Keyne P/E ratio is -0.44. it has increased by a third in comparison to the same period last year. this metric is one of the most popular because it easily summarizes the status of the company. however, in order to make an informed decision, more metrics should be analysed. Let’s dive into Keyne’s P/E ratio

What is Keyne P/E Ratio?

Keyne’s P/E ratio is -0.44, which represents a 82,28% increase over the same period last year. their average P / E ratio is -2.22 and their 5-year average is -2.48.

What is Keyne Net EPS?

Keyne’s net earnings for the most recent quarter were -0.08$, which represents a 20.0% increase over the same period last year.

Who are Keyne Competitors?

Based on Jika.io AI model, China Asia Valley Group, Winfull Group Holdings, DreamEast Group, Eminence Enterprise, Crown International Corporation, Talent Property Group, Times Universal Group Holdings, Shi Shi Services are considered to be Keyne’s competitors because the companies operate within the same industry as Keyne and they are targeting the same customer base. in addition, competitors typically share a similar market capitalization as Keyne.

Who is Keyne’s Biggest competitor?

Keyne’s biggest competitor is China Asia Valley Group, based on the Jika.io AI model. it has a similar market capitalization to Keyne in the industry, it dominates a similar share of the market as Keyne, and it provides and markets very similar services.

What industry is Keyne in?

Keyne is part of the Real Estate – Development and Real Estate industry.

Keyne vs China Asia Valley Group

Market Cap: Keyne’s Market Cap of 128476432 is lower than China Asia Valley Group Market Cap of 248080784.
Average Volume: Keyne’s Average Volume of 84445.0 is higher than China Asia Valley Group Average Volume of 194708.0.
Beta: Keyne’s Beta of 0.32 is higher than China Asia Valley Group Beta of -0.33.
Revenue: Keyne’s Revenue of 18.327M is lower than China Asia Valley Group Revenue of 37.81M.
Net Income: Keyne’s Net Income of -537.362M is higher than China Asia Valley Group Net Income of -330000.0.
Gross Profit: Keyne’s Gross Profit of 15.78M is lower than China Asia Valley Group Gross Profit of 31.433M.
Ebitda: Keyne’s Ebitda of -325.217M is lower than China Asia Valley Group Ebitda of 3.701M.
P/E Ratio: Keyne’s P/E Ratio of -0.44 is lower than China Asia Valley Group P/E Ratio of -24808.1.
P/S Ratio: Keyne’s P/S Ratio of 3.22 is higher than China Asia Valley Group P/S Ratio of 18.43.
P/B Ratio: Keyne’s P/B Ratio of -0.34 is lower than China Asia Valley Group P/B Ratio of 1.38.
P/FCF Ratio: Keyne’s P/FCF Ratio of -0.23 is lower than China Asia Valley Group P/FCF Ratio of -19.61.
ROE: Keyne’s ROE of -3.78 is higher than China Asia Valley Group ROE of -0.0.
ROA: Keyne’s ROA of -0.08 is higher than China Asia Valley Group ROA of -0.0.
Return On Capital Employed: Keyne’s Return On Capital Employed of 0.17 is higher than China Asia Valley Group Return On Capital Employed of -0.12.
Gross Profit Margin: Keyne’s Gross Profit Margin of 0.35 is lower than China Asia Valley Group Gross Profit Margin of 0.93.
Assets (Total): Keyne’s Assets (Total) of 3.743B is lower than China Asia Valley Group Assets (Total) of 423.633M.

Keyne vs Winfull Group Holdings

Market Cap: Keyne’s Market Cap of 128476432 is lower than Winfull Group Holdings Market Cap of 185068288.
Average Volume: Keyne’s Average Volume of 84445.0 is higher than Winfull Group Holdings Average Volume of 105600.0.
Beta: Keyne’s Beta of 0.32 is higher than Winfull Group Holdings Beta of 0.19.
Revenue: Keyne’s Revenue of 18.327M is lower than Winfull Group Holdings Revenue of 26.759M.
Net Income: Keyne’s Net Income of -537.362M is lower than Winfull Group Holdings Net Income of 36.139M.
Gross Profit: Keyne’s Gross Profit of 15.78M is lower than Winfull Group Holdings Gross Profit of 20.499M.
Ebitda: Keyne’s Ebitda of -325.217M is lower than Winfull Group Holdings Ebitda of 39.432M.
P/B Ratio: Keyne’s P/B Ratio of -0.34 is lower than Winfull Group Holdings P/B Ratio of 0.05.
P/FCF Ratio: Keyne’s P/FCF Ratio of -0.23 is lower than Winfull Group Holdings P/FCF Ratio of 3.7.
ROE: Keyne’s ROE of -3.78 is lower than Winfull Group Holdings ROE of 0.0.
ROA: Keyne’s ROA of -0.08 is lower than Winfull Group Holdings ROA of 0.0.
Return On Capital Employed: Keyne’s Return On Capital Employed of 0.17 is higher than Winfull Group Holdings Return On Capital Employed of 0.0.
Assets (Total): Keyne’s Assets (Total) of 3.743B is higher than Winfull Group Holdings Assets (Total) of 2.137B.
Debt (Total): Keyne’s Debt (Total) of 1.765B is lower than Winfull Group Holdings Debt (Total) of 234.707M.
Shareholders Equity: Keyne’s Shareholders Equity of -373.393M is lower than Winfull Group Holdings Shareholders Equity of 1.842B.

Keyne vs DreamEast Group

Market Cap: Keyne’s Market Cap of 128476432 is lower than DreamEast Group Market Cap of 288345920.
Average Volume: Keyne’s Average Volume of 84445.0 is higher than DreamEast Group Average Volume of 7162.0.
Beta: Keyne’s Beta of 0.32 is lower than DreamEast Group Beta of 0.36.
Revenue: Keyne’s Revenue of 18.327M is lower than DreamEast Group Revenue of 51.208M.
Net Income: Keyne’s Net Income of -537.362M is lower than DreamEast Group Net Income of -860.648M.
Gross Profit: Keyne’s Gross Profit of 15.78M is higher than DreamEast Group Gross Profit of 10.48M.
Ebitda: Keyne’s Ebitda of -325.217M is higher than DreamEast Group Ebitda of -265.258M.
P/E Ratio: Keyne’s P/E Ratio of -0.44 is lower than DreamEast Group P/E Ratio of -1.44.
P/S Ratio: Keyne’s P/S Ratio of 3.22 is higher than DreamEast Group P/S Ratio of 2.4.
P/B Ratio: Keyne’s P/B Ratio of -0.34 is lower than DreamEast Group P/B Ratio of -3.52.
P/FCF Ratio: Keyne’s P/FCF Ratio of -0.23 is lower than DreamEast Group P/FCF Ratio of -78.27.
ROE: Keyne’s ROE of -3.78 is higher than DreamEast Group ROE of -0.21.
ROA: Keyne’s ROA of -0.08 is higher than DreamEast Group ROA of -0.02.
Return On Capital Employed: Keyne’s Return On Capital Employed of 0.17 is higher than DreamEast Group Return On Capital Employed of -0.14.
Gross Profit Margin: Keyne’s Gross Profit Margin of 0.35 is lower than DreamEast Group Gross Profit Margin of 0.38.
Assets (Total): Keyne’s Assets (Total) of 3.743B is lower than DreamEast Group Assets (Total) of 9.16B.
Debt (Total): Keyne’s Debt (Total) of 1.765B is lower than DreamEast Group Debt (Total) of 5.798B.
Shareholders Equity: Keyne’s Shareholders Equity of -373.393M is lower than DreamEast Group Shareholders Equity of -81.956M.

Keyne vs Eminence Enterprise

Market Cap: Keyne’s Market Cap of 128476432 is higher than Eminence Enterprise Market Cap of 102832080.
Average Volume: Keyne’s Average Volume of 84445.0 is higher than Eminence Enterprise Average Volume of 6.247M.
Beta: Keyne’s Beta of 0.32 is higher than Eminence Enterprise Beta of -0.07.
Revenue: Keyne’s Revenue of 18.327M is lower than Eminence Enterprise Revenue of 80.253M.
Net Income: Keyne’s Net Income of -537.362M is higher than Eminence Enterprise Net Income of -180.793M.
Gross Profit: Keyne’s Gross Profit of 15.78M is lower than Eminence Enterprise Gross Profit of 76.515M.
Ebitda: Keyne’s Ebitda of -325.217M is higher than Eminence Enterprise Ebitda of -158.186M.
P/E Ratio: Keyne’s P/E Ratio of -0.44 is higher than Eminence Enterprise P/E Ratio of -0.13.
P/S Ratio: Keyne’s P/S Ratio of 3.22 is higher than Eminence Enterprise P/S Ratio of 0.33.
P/B Ratio: Keyne’s P/B Ratio of -0.34 is lower than Eminence Enterprise P/B Ratio of 0.01.
P/FCF Ratio: Keyne’s P/FCF Ratio of -0.23 is higher than Eminence Enterprise P/FCF Ratio of -0.07.
ROE: Keyne’s ROE of -3.78 is higher than Eminence Enterprise ROE of -0.07.
ROA: Keyne’s ROA of -0.08 is higher than Eminence Enterprise ROA of -0.04.
Return On Capital Employed: Keyne’s Return On Capital Employed of 0.17 is higher than Eminence Enterprise Return On Capital Employed of 0.01.
Gross Profit Margin: Keyne’s Gross Profit Margin of 0.35 is lower than Eminence Enterprise Gross Profit Margin of 0.95.
Assets (Total): Keyne’s Assets (Total) of 3.743B is lower than Eminence Enterprise Assets (Total) of 4.613B.
Debt (Total): Keyne’s Debt (Total) of 1.765B is higher than Eminence Enterprise Debt (Total) of 1.579B.
Shareholders Equity: Keyne’s Shareholders Equity of -373.393M is lower than Eminence Enterprise Shareholders Equity of 2.881B.

About Keyne

Keyne Ltd, an investment holding company, primarily deals in property and hotel development in Hong Kong and mainland China. the company is involved in the rental of properties and central heating supply. it also provides management services. the company was previously known as Nine Express Limited and changed its name to Keyne Ltd in March 2020. Keyne Ltd was founded in 2001 and is headquartered in Causeway Bay, Hong Kong.

 

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