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Business Description
Paladin Ltd
ISIN : BMG687521317
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Traded in other countries / regions
00495.Hong Kong IPO Date
1988-07-20Description
Paladin Ltd is an investment holding company. The company operates in two segments which include Property investment and Research and development(R&D). The Property Investment segment generates revenue from rental income received from leasing out the properties and Research and development include R&D of software and hardware design for the manufacture and sale of a range of high technology products such as portable x-ray systems, algorithm and software solutions, image sensors, etc. Its Research and development segment contributes to the majority of the revenue. Geographically, it derives a majority of revenue from Hong Kong.
Financial Strength
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
Cash-To-Debt | 0.2 | |||||
Equity-to-Asset | 0.82 | |||||
Debt-to-Equity | 0.23 | |||||
Debt-to-EBITDA | -0.87 | |||||
Piotroski F-Score | 4/9 | |||||
Altman Z-Score | -0.08 | |||||
Beneish M-Score | -3.16 | |||||
WACC vs ROIC |
Growth Rank
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
3-Year Revenue Growth Rate | 7.2 | |||||
3-Year EBITDA Growth Rate | -44.8 | |||||
3-Year EPS without NRI Growth Rate | -42.2 | |||||
3-Year FCF Growth Rate | 27.5 | |||||
3-Year Book Growth Rate | -11.3 |
Momentum Rank
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
9-Day RSI | 2.4 | |||||
14-Day RSI | 7.11 | |||||
6-1 Month Momentum % | -64.71 | |||||
12-1 Month Momentum % | -71.43 |
Liquidity Ratio
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
Current Ratio | 0.28 | |||||
Quick Ratio | 0.24 | |||||
Cash Ratio | 0.18 | |||||
Days Inventory | 104.52 | |||||
Days Sales Outstanding | 34.99 | |||||
Days Payable | 19.15 |
Dividend & Buy Back
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
Shareholder Yield % | -21.26 |
Profitability Rank
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
Gross Margin % | 53.6 | |||||
Operating Margin % | -73.13 | |||||
Net Margin % | -441.03 | |||||
FCF Margin % | -64.59 | |||||
ROE % | -24.36 | |||||
ROA % | -20.33 | |||||
ROIC % | -3.1 | |||||
3-Year ROIIC % | -17.77 | |||||
ROC (Joel Greenblatt) % | -69.02 | |||||
ROCE % | -23.92 | |||||
Years of Profitability over Past 10-Year | 3 |
GF Value Rank
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
Shiller PE Ratio | 0.6 | |||||
PS Ratio | 0.55 | |||||
PB Ratio | 0.04 | |||||
Price-to-Tangible-Book | 0.04 | |||||
EV-to-EBIT | -0.62 | |||||
EV-to-EBITDA | -0.62 | |||||
EV-to-Revenue | 2.63 | |||||
EV-to-FCF | -4.08 | |||||
Price-to-GF-Value | 0.17 | |||||
Earnings Yield (Greenblatt) % | -161.29 | |||||
FCF Yield % | -109.76 |