Tomson Group Stock – is a Buy, Sell or Hold?

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. Tomson Group P/E ratio is 22.24. 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 Tomson Group’s P/E ratio

What is Tomson Group P/E Ratio?

The P/E ratio of Tomson Group is 22.24, which represents a 473.2% increase over the same period last year. their average P/E ratio is 14.46 and their average for five years is 46.66.

What is Tomson Group Net EPS?

The net earnings of Tomson Group for the most recent quarter was 0.09 US dollars, which represents a 47.06% decrease over the same period last year.

Who are Tomson Group Competitors?

Based on Jika.io AI model, Tian An China Investments Company, Kowloon Development Company, Liu Chong Hing Investment, Minmetals Land, Shun Tak Holdings, Shenzhen Investment, China New City Commercial Development, Sino-Ocean are considered to be Tomson Group’s competitors because the companies operate within the same industry as Tomson Group and they are targeting the same customer base. in addition, competitors typically share a similar market capitalization as Tomson Group.

Who is Tomson Group’s Biggest competitor?

The biggest competitor of the Tomson Group is Tian An China Investments Company based on the Jika.io AI model. it has a similar market capitalization to Tomson Group within the industry, it dominates a similar share of the market as Tomson Group, and it provides and markets very similar services.

What industry is Tomson Group in?

Tomson Group is part of the Real Estate – Diversified Industry and the Real Estate Sector.

Tomson Group vs Tian An China Investments Company

Market Cap: Tomson Group’s Market Cap of 3764667392 is lower than Tian An China Investments Company Market Cap of 5952244224.
Average Volume: Tomson Group’s Average Volume of 174435.0 is higher than Tian An China Investments Company Average Volume of 125694.0.
Beta: Tomson Group’s Beta of 0.56 is higher than Tian An China Investments Company Beta of 0.44.
Revenue: Tomson Group’s Revenue of 779.066M is higher than Tian An China Investments Company Revenue of 2.575B.
Net Income: Tomson Group’s Net Income of 283.448M is higher than Tian An China Investments Company Net Income of 1.43B.
Gross Profit: Tomson Group’s Gross Profit of 676.464M is higher than Tian An China Investments Company Gross Profit of 1.42B.
Ebitda: Tomson Group’s Ebitda of 602.745M is higher than Tian An China Investments Company Ebitda of 2.865B.
P/E Ratio: Tomson Group’s P/E Ratio of 13.64 is lower than Tian An China Investments Company P/E Ratio of 4.19.
P/S Ratio: Tomson Group’s P/S Ratio of 4.19 is higher than Tian An China Investments Company P/S Ratio of 2.75.
P/B Ratio: Tomson Group’s P/B Ratio of 0.28 is higher than Tian An China Investments Company P/B Ratio of 0.22.
P/FCF Ratio: Tomson Group’s P/FCF Ratio of -6.74 is higher than Tian An China Investments Company P/FCF Ratio of -11.18.
ROE: Tomson Group’s ROE of 0.01 is lower than Tian An China Investments Company ROE of 0.05.
ROA: Tomson Group’s ROA of 0.01 is lower than Tian An China Investments Company ROA of 0.03.
Return On Capital Employed: Tomson Group’s Return On Capital Employed of 0.03 is higher than Tian An China Investments Company Return On Capital Employed of 0.02.
Gross Profit Margin: Tomson Group’s Gross Profit Margin of 0.61 is higher than Tian An China Investments Company Gross Profit Margin of 0.45.

Tomson Group vs Kowloon Development Company

Market Cap: Tomson Group’s Market Cap of 3764667392 is lower than Kowloon Development Company Market Cap of 11413310464.
Average Volume: Tomson Group’s Average Volume of 174435.0 is higher than Kowloon Development Company Average Volume of 104067.0.
Beta: Tomson Group’s Beta of 0.56 is higher than Kowloon Development Company Beta of 0.47.
Revenue: Tomson Group’s Revenue of 779.066M is higher than Kowloon Development Company Revenue of 2.05B.
Net Income: Tomson Group’s Net Income of 283.448M is higher than Kowloon Development Company Net Income of 2.209B.
Gross Profit: Tomson Group’s Gross Profit of 676.464M is higher than Kowloon Development Company Gross Profit of 1.517B.
Ebitda: Tomson Group’s Ebitda of 602.745M is higher than Kowloon Development Company Ebitda of 2.399B.
P/E Ratio: Tomson Group’s P/E Ratio of 13.64 is lower than Kowloon Development Company P/E Ratio of 5.16.
P/S Ratio: Tomson Group’s P/S Ratio of 4.19 is higher than Kowloon Development Company P/S Ratio of 0.98.
P/B Ratio: Tomson Group’s P/B Ratio of 0.28 is lower than Kowloon Development Company P/B Ratio of 0.6.
P/FCF Ratio: Tomson Group’s P/FCF Ratio of -6.74 is lower than Kowloon Development Company P/FCF Ratio of 2.13.
ROE: Tomson Group’s ROE of 0.01 is lower than Kowloon Development Company ROE of 0.11.
ROA: Tomson Group’s ROA of 0.01 is lower than Kowloon Development Company ROA of 0.05.
Return On Capital Employed: Tomson Group’s Return On Capital Employed of 0.03 is lower than Kowloon Development Company Return On Capital Employed of 0.12.
Gross Profit Margin: Tomson Group’s Gross Profit Margin of 0.61 is higher than Kowloon Development Company Gross Profit Margin of 0.43.
Assets (Total): Tomson Group’s Assets (Total) of 20.535B is lower than Kowloon Development Company Assets (Total) of 48.117B.

Tomson Group vs Liu Chong Hing Investment

Market Cap: Tomson Group’s Market Cap of 3764667392 is higher than Liu Chong Hing Investment Market Cap of 2793942528.
Average Volume: Tomson Group’s Average Volume of 174435.0 is lower than Liu Chong Hing Investment Average Volume of 37744.0.
Beta: Tomson Group’s Beta of 0.56 is lower than Liu Chong Hing Investment Beta of 0.63.
Revenue: Tomson Group’s Revenue of 779.066M is lower than Liu Chong Hing Investment Revenue of 835.165M.
Net Income: Tomson Group’s Net Income of 283.448M is lower than Liu Chong Hing Investment Net Income of 427.302M.
Gross Profit: Tomson Group’s Gross Profit of 676.464M is higher than Liu Chong Hing Investment Gross Profit of 472.897M.
Ebitda: Tomson Group’s Ebitda of 602.745M is lower than Liu Chong Hing Investment Ebitda of 774.291M.
P/B Ratio: Tomson Group’s P/B Ratio of 0.28 is higher than Liu Chong Hing Investment P/B Ratio of 0.21.
P/FCF Ratio: Tomson Group’s P/FCF Ratio of -6.74 is higher than Liu Chong Hing Investment P/FCF Ratio of -4.71.
ROE: Tomson Group’s ROE of 0.01 is higher than Liu Chong Hing Investment ROE of 0.0.
ROA: Tomson Group’s ROA of 0.01 is higher than Liu Chong Hing Investment ROA of 0.0.
Return On Capital Employed: Tomson Group’s Return On Capital Employed of 0.03 is higher than Liu Chong Hing Investment Return On Capital Employed of 0.0.
Assets (Total): Tomson Group’s Assets (Total) of 20.535B is higher than Liu Chong Hing Investment Assets (Total) of 16.184B.
Debt (Total): Tomson Group’s Debt (Total) of 306.078M is higher than Liu Chong Hing Investment Debt (Total) of 1.865B.
Shareholders Equity: Tomson Group’s Shareholders Equity of 13.501B is higher than Liu Chong Hing Investment Shareholders Equity of 13.147B.

Tomson Group vs Minmetals Land

Market Cap: Tomson Group’s Market Cap of 3764667392 is higher than Minmetals Land Market Cap of 2376305920.
Average Volume: Tomson Group’s Average Volume of 174435.0 is lower than Minmetals Land Average Volume of 69238.0.
Beta: Tomson Group’s Beta of 0.56 is lower than Minmetals Land Beta of 0.79.
Revenue: Tomson Group’s Revenue of 779.066M is higher than Minmetals Land Revenue of 12.886B.
Net Income: Tomson Group’s Net Income of 283.448M is higher than Minmetals Land Net Income of 254.205M.
Gross Profit: Tomson Group’s Gross Profit of 676.464M is higher than Minmetals Land Gross Profit of 2.385B.
Ebitda: Tomson Group’s Ebitda of 602.745M is lower than Minmetals Land Ebitda of 849.408M.
P/E Ratio: Tomson Group’s P/E Ratio of 13.64 is lower than Minmetals Land P/E Ratio of 23.67.
P/S Ratio: Tomson Group’s P/S Ratio of 4.19 is higher than Minmetals Land P/S Ratio of 0.21.
P/B Ratio: Tomson Group’s P/B Ratio of 0.28 is higher than Minmetals Land P/B Ratio of 0.19.
P/FCF Ratio: Tomson Group’s P/FCF Ratio of -6.74 is higher than Minmetals Land P/FCF Ratio of -1.34.
ROE: Tomson Group’s ROE of 0.01 is lower than Minmetals Land ROE of 0.06.
ROA: Tomson Group’s ROA of 0.01 is lower than Minmetals Land ROA of 0.02.
Return On Capital Employed: Tomson Group’s Return On Capital Employed of 0.03 is lower than Minmetals Land Return On Capital Employed of 0.05.
Gross Profit Margin: Tomson Group’s Gross Profit Margin of 0.61 is higher than Minmetals Land Gross Profit Margin of 0.24.
Assets (Total): Tomson Group’s Assets (Total) of 20.535B is lower than Minmetals Land Assets (Total) of 77.173B.
Debt (Total): Tomson Group’s Debt (Total) of 306.078M is higher than Minmetals Land Debt (Total) of 21.068B.

About Tomson Group

Tomson Group Limited, an investment holding company, is engaged in property development and investment, hospitality and leisure, securities trading and media and entertainment investment in Hong Kong, Macau and mainland China. it develops commercial, residential and industrial properties and offers property management services. the company also operates Tomson Shanghai Pudong Golf Club in Huamu District of Pudong, Shanghai, and holds interest in a hotel in Lujiazui of Pudong. in addition, it provides nominee and secretarial services and administrative services. furthermore, the company invests in and produces live entertainment shows, film distribution and trademark holding activities. Tomson Group Limited was established in 1990 and is based in Central Hong Kong.

 

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