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 $1 of that company’s earnings. Alco Holdings P/E ratio is -0.1. it has increased by a third in comparison to the same period last year. this metric is one of the most popular because it easily summarizes the status of the company. however, in order to make an informed decision, more metrics should be analysed. Let’s dive into Alco Holdings’s P/E ratio
What is Alco Holdings P/E Ratio?
Alco Holdings’ P/E ratio is -0.1, which represents a 87.65% increase over the same period last year. their average P / E ratio is -0.39 and their 5-year average is 1.31.
What is Alco Holdings Net EPS?
Alco Holdings’s net earnings for the most recent quarter was -0.86$, which represents a 6.52% increase over the same period last year.
Who are Alco Holdings Competitors?
Based on Jika.io AI model, China Fortune Holdings, Superactive Group Company, Kin Yat Holdings, Vital Innovations Holdings, EFT Solutions Holdings, Nexion Technologies, Turtle Beach, Zepp Health are considered to be Alco Holdings’s competitors because the companies operate within the same industry as Alco Holdings and are targeting the same customer base. in addition, competitors typically share a similar market capitalization as Alco Holdings.
Who is Alco Holdings’s Biggest competitor?
Alco Holdings’s biggest competitor is China Fortune Holdings based on the AI model of Jika.io. it has a similar market capitalization to Alco Holdings in the industry, it dominates a similar share of the market as Alco Holdings, and it provides and markets very similar services.
What industry is Alco Holdings in?
Alco Holdings is part of the Consumer Electronics and Technology sector.
Alco Holdings vs China Fortune Holdings
Market Cap: Alco Holdings’s Market Cap of 62199072 is higher than China Fortune Holdings Market Cap of 53231240.
Average Volume: Alco Holdings’s Average Volume of 28.012M is lower than China Fortune Holdings Average Volume of 3518.0.
Beta: Alco Holdings’s Beta of 0.36 is higher than China Fortune Holdings Beta of 0.35.
Revenue: Alco Holdings’s Revenue of 1.279B is lower than China Fortune Holdings Revenue of 79.172M.
Net Income: Alco Holdings’s Net Income of -360.463M is lower than China Fortune Holdings Net Income of -9.928M.
Gross Profit: Alco Holdings’s Gross Profit of -62.308M is lower than China Fortune Holdings Gross Profit of 138000.0.
Ebitda: Alco Holdings’s Ebitda of -324.63M is lower than China Fortune Holdings Ebitda of -9.742M.
P/E Ratio: Alco Holdings’s P/E Ratio of -0.1 is lower than China Fortune Holdings P/E Ratio of -10.2.
P/S Ratio: Alco Holdings’s P/S Ratio of 0.06 is lower than China Fortune Holdings P/S Ratio of 2.45.
P/B Ratio: Alco Holdings’s P/B Ratio of 0.4 is lower than China Fortune Holdings P/B Ratio of 4.94.
P/FCF Ratio: Alco Holdings’s P/FCF Ratio of -0.22 is lower than China Fortune Holdings P/FCF Ratio of -19.23.
ROE: Alco Holdings’s ROE of -1.42 is lower than China Fortune Holdings ROE of -7.84.
ROA: Alco Holdings’s ROA of -0.46 is lower than China Fortune Holdings ROA of -0.55.
Return On Capital Employed: Alco Holdings’s Return On Capital Employed of -0.86 is lower than China Fortune Holdings Return On Capital Employed of -1.43.
Gross Profit Margin: Alco Holdings’s Gross Profit Margin of -0.18 is lower than China Fortune Holdings Gross Profit Margin of 0.01.
Assets (Total): Alco Holdings’s Assets (Total) of 1.363B is lower than China Fortune Holdings Assets (Total) of 47.512M.
Alco Holdings vs Superactive Group Company
Market Cap: Alco Holdings’s Market Cap of 62199072 is lower than Superactive Group Company Market Cap of 95530784.
Average Volume: Alco Holdings’s Average Volume of 28.012M is higher than Superactive Group Company Average Volume of 2.114M.
Beta: Alco Holdings’s Beta of 0.36 is lower than Superactive Group Company Beta of 0.73.
Revenue: Alco Holdings’s Revenue of 1.279B is lower than Superactive Group Company Revenue of 132.217M.
Net Income: Alco Holdings’s Net Income of -360.463M is higher than Superactive Group Company Net Income of -144.126M.
Gross Profit: Alco Holdings’s Gross Profit of -62.308M is lower than Superactive Group Company Gross Profit of 49.002M.
Ebitda: Alco Holdings’s Ebitda of -324.63M is lower than Superactive Group Company Ebitda of -75.531M.
P/E Ratio: Alco Holdings’s P/E Ratio of -0.1 is lower than Superactive Group Company P/E Ratio of -1.01.
P/S Ratio: Alco Holdings’s P/S Ratio of 0.06 is lower than Superactive Group Company P/S Ratio of 0.52.
P/B Ratio: Alco Holdings’s P/B Ratio of 0.4 is higher than Superactive Group Company P/B Ratio of 0.23.
P/FCF Ratio: Alco Holdings’s P/FCF Ratio of -0.22 is lower than Superactive Group Company P/FCF Ratio of -1.38.
ROE: Alco Holdings’s ROE of -1.42 is higher than Superactive Group Company ROE of -0.18.
ROA: Alco Holdings’s ROA of -0.46 is higher than Superactive Group Company ROA of -0.08.
Return On Capital Employed: Alco Holdings’s Return On Capital Employed of -0.86 is higher than Superactive Group Company Return On Capital Employed of -0.03.
Gross Profit Margin: Alco Holdings’s Gross Profit Margin of -0.18 is lower than Superactive Group Company Gross Profit Margin of 0.28.
Assets (Total): Alco Holdings’s Assets (Total) of 1.363B is higher than Superactive Group Company Assets (Total) of 1.255B.
Alco Holdings vs Kin Yat Holdings
Market Cap: Alco Holdings’s Market Cap of 62199072 is lower than Kin Yat Holdings Market Cap of 285324000.
Average Volume: Alco Holdings’s Average Volume of 28.012M is lower than Kin Yat Holdings Average Volume of 51051.0.
Beta: Alco Holdings’s Beta of 0.36 is lower than Kin Yat Holdings Beta of 0.82.
Revenue: Alco Holdings’s Revenue of 1.279B is lower than Kin Yat Holdings Revenue of 2.694B.
Net Income: Alco Holdings’s Net Income of -360.463M is lower than Kin Yat Holdings Net Income of 103.626M.
Gross Profit: Alco Holdings’s Gross Profit of -62.308M is lower than Kin Yat Holdings Gross Profit of 319.645M.
Ebitda: Alco Holdings’s Ebitda of -324.63M is lower than Kin Yat Holdings Ebitda of 272.244M.
P/E Ratio: Alco Holdings’s P/E Ratio of -0.1 is lower than Kin Yat Holdings P/E Ratio of 3.25.
P/S Ratio: Alco Holdings’s P/S Ratio of 0.06 is lower than Kin Yat Holdings P/S Ratio of 0.09.
P/B Ratio: Alco Holdings’s P/B Ratio of 0.4 is higher than Kin Yat Holdings P/B Ratio of 0.18.
P/FCF Ratio: Alco Holdings’s P/FCF Ratio of -0.22 is lower than Kin Yat Holdings P/FCF Ratio of 3.63.
ROE: Alco Holdings’s ROE of -1.42 is lower than Kin Yat Holdings ROE of 0.12.
ROA: Alco Holdings’s ROA of -0.46 is lower than Kin Yat Holdings ROA of 0.05.
Return On Capital Employed: Alco Holdings’s Return On Capital Employed of -0.86 is lower than Kin Yat Holdings Return On Capital Employed of 0.1.
Gross Profit Margin: Alco Holdings’s Gross Profit Margin of -0.18 is lower than Kin Yat Holdings Gross Profit Margin of 0.11.
Assets (Total): Alco Holdings’s Assets (Total) of 1.363B is lower than Kin Yat Holdings Assets (Total) of 3.211B.
Alco Holdings vs Vital Innovations Holdings
Market Cap: Alco Holdings’s Market Cap of 62199072 is lower than Vital Innovations Holdings Market Cap of 186150000.
Average Volume: Alco Holdings’s Average Volume of 28.012M is lower than Vital Innovations Holdings Average Volume of 6254.0.
Beta: Alco Holdings’s Beta of 0.36 is higher than Vital Innovations Holdings Beta of -0.36.
Revenue: Alco Holdings’s Revenue of 1.279B is lower than Vital Innovations Holdings Revenue of 672.651M.
Net Income: Alco Holdings’s Net Income of -360.463M is higher than Vital Innovations Holdings Net Income of -20.505M.
Gross Profit: Alco Holdings’s Gross Profit of -62.308M is higher than Vital Innovations Holdings Gross Profit of -486000.0.
Ebitda: Alco Holdings’s Ebitda of -324.63M is higher than Vital Innovations Holdings Ebitda of -19.974M.
P/E Ratio: Alco Holdings’s P/E Ratio of -0.1 is lower than Vital Innovations Holdings P/E Ratio of 9.85.
P/S Ratio: Alco Holdings’s P/S Ratio of 0.06 is lower than Vital Innovations Holdings P/S Ratio of 0.22.
P/B Ratio: Alco Holdings’s P/B Ratio of 0.4 is higher than Vital Innovations Holdings P/B Ratio of 0.34.
P/FCF Ratio: Alco Holdings’s P/FCF Ratio of -0.22 is lower than Vital Innovations Holdings P/FCF Ratio of -0.36.
ROE: Alco Holdings’s ROE of -1.42 is higher than Vital Innovations Holdings ROE of -0.0.
ROA: Alco Holdings’s ROA of -0.46 is higher than Vital Innovations Holdings ROA of -0.0.
Return On Capital Employed: Alco Holdings’s Return On Capital Employed of -0.86 is higher than Vital Innovations Holdings Return On Capital Employed of -0.03.
Gross Profit Margin: Alco Holdings’s Gross Profit Margin of -0.18 is lower than Vital Innovations Holdings Gross Profit Margin of 0.01.
Assets (Total): Alco Holdings’s Assets (Total) of 1.363B is lower than Vital Innovations Holdings Assets (Total) of 640.56M.
About Alco Holdings
Alco Holdings Limited, an investment holding company, designs, manufactures and sells consumer electronic products in North America, Asia, Europe and internationally. the company operates in two segments, AV Products and Notebook Products. it offers audio, video and tablet products. the company also provides commercial notebooks and personal computers. in addition, it is involved in the holding of property and software development activities, and in the trade of AV and notebook products. the company was founded in 1968 and is based in Sha Tin, Hong Kong.