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 $1 of that company’s earnings. Futu Holdings P/E ratio is 25.74. it has decreased in comparison to the same period last year. this metric is one of the most popular because it easily summarizes the status of the company. however, in order to make an informed decision, more metrics should be analysed. Let’s dive into Futu Holdings’s P/E ratio
What is Futu Holdings P/E Ratio?
Futu Holdings’ P/E ratio is 25.74, which represents a 77.55% decrease from the same period last year. their average P/E ratio is 47.91 and their 5-year average is 47.74.
What is Futu Holdings Net EPS?
Futu Holdings’ net earnings for the most recent quarter was 1.94$, which represents a 89.64% decrease from the same period last year.
Who are Futu Holdings Competitors?
Based on Jika.io AI model, OCI International Holdings, Oshidori International Holdings, Bright Smart Securities & Commodities Group, China Renaissance Holdings, 5paisa Capital, Freedom Holding Corp., Geojit Financial Services, XP are considered to be Futu Holdings’s competitors because the companies operate within the same industry as Futu Holdings and are targeting the same customer base. in addition, competitors typically share a similar market capitalization as Futu Holdings.
Who is Futu Holdings’s Biggest competitor?
Futu Holdings’s biggest competitor is OCI International Holdings, based on the Jika.io AI model. it has a similar market capitalization to Futu Holdings in the industry, it dominates a similar share of the market as Futu Holdings, and it provides and markets very similar services.
What industry is Futu Holdings in?
Futu Holdings is part of the Capital Markets and Financial Services industry.
Futu Holdings vs OCI International Holdings
Market Cap: Futu Holdings’s Market Cap of 7334901248 is higher than OCI International Holdings Market Cap of 5144142848.
Average Volume: Futu Holdings’s Average Volume of 4.048M is higher than OCI International Holdings Average Volume of 1.2M.
Beta: Futu Holdings’s Beta of 0.82 is higher than OCI International Holdings Beta of -0.01.
Revenue: Futu Holdings’s Revenue of 5.909B is lower than OCI International Holdings Revenue of 73.232M.
Net Income: Futu Holdings’s Net Income of 2.81B is higher than OCI International Holdings Net Income of -122.622M.
Gross Profit: Futu Holdings’s Gross Profit of 0.0 is lower than OCI International Holdings Gross Profit of 1.441M.
Ebitda: Futu Holdings’s Ebitda of 3.682B is higher than OCI International Holdings Ebitda of -108.507M.
P/E Ratio: Futu Holdings’s P/E Ratio of 25.59 is higher than OCI International Holdings P/E Ratio of -37.51.
P/S Ratio: Futu Holdings’s P/S Ratio of 10.27 is lower than OCI International Holdings P/S Ratio of 35.8.
P/B Ratio: Futu Holdings’s P/B Ratio of 2.81 is lower than OCI International Holdings P/B Ratio of 9.75.
P/FCF Ratio: Futu Holdings’s P/FCF Ratio of 2.98 is higher than OCI International Holdings P/FCF Ratio of -15.28.
ROE: Futu Holdings’s ROE of 0.11 is higher than OCI International Holdings ROE of -0.25.
ROA: Futu Holdings’s ROA of 0.02 is higher than OCI International Holdings ROA of -0.18.
Return On Capital Employed: Futu Holdings’s Return On Capital Employed of 0.0 is lower than OCI International Holdings Return On Capital Employed of 0.15.
Gross Profit Margin: Futu Holdings’s Gross Profit Margin of 0.0 is lower than OCI International Holdings Gross Profit Margin of 0.91.
Assets (Total): Futu Holdings’s Assets (Total) of 101.539B is lower than OCI International Holdings Assets (Total) of 544.669M.
Futu Holdings vs Oshidori International Holdings
Market Cap: Futu Holdings’s Market Cap of 7334901248 is higher than Oshidori International Holdings Market Cap of 2901898240.
Average Volume: Futu Holdings’s Average Volume of 4.048M is lower than Oshidori International Holdings Average Volume of 673370.0.
Beta: Futu Holdings’s Beta of 0.82 is lower than Oshidori International Holdings Beta of 0.85.
Revenue: Futu Holdings’s Revenue of 5.909B is higher than Oshidori International Holdings Revenue of -3.102B.
Net Income: Futu Holdings’s Net Income of 2.81B is higher than Oshidori International Holdings Net Income of -3.146B.
Gross Profit: Futu Holdings’s Gross Profit of 0.0 is higher than Oshidori International Holdings Gross Profit of -3.131B.
Ebitda: Futu Holdings’s Ebitda of 3.682B is higher than Oshidori International Holdings Ebitda of -3.492B.
P/E Ratio: Futu Holdings’s P/E Ratio of 25.59 is higher than Oshidori International Holdings P/E Ratio of -7.67.
P/S Ratio: Futu Holdings’s P/S Ratio of 10.27 is lower than Oshidori International Holdings P/S Ratio of 9.78.
P/B Ratio: Futu Holdings’s P/B Ratio of 2.81 is higher than Oshidori International Holdings P/B Ratio of 0.48.
P/FCF Ratio: Futu Holdings’s P/FCF Ratio of 2.98 is higher than Oshidori International Holdings P/FCF Ratio of -7.04.
ROE: Futu Holdings’s ROE of 0.11 is higher than Oshidori International Holdings ROE of -0.04.
ROA: Futu Holdings’s ROA of 0.02 is higher than Oshidori International Holdings ROA of -0.06.
Return On Capital Employed: Futu Holdings’s Return On Capital Employed of 0.0 is lower than Oshidori International Holdings Return On Capital Employed of 0.04.
Gross Profit Margin: Futu Holdings’s Gross Profit Margin of 0.0 is lower than Oshidori International Holdings Gross Profit Margin of 0.82.
Assets (Total): Futu Holdings’s Assets (Total) of 101.539B is lower than Oshidori International Holdings Assets (Total) of 6.309B.
Futu Holdings vs Bright Smart Securities & Commodities Group
Market Cap: Futu Holdings’s Market Cap of 7334901248 is higher than Bright Smart Securities & Commodities Group Market Cap of 2393192960.
Average Volume: Futu Holdings’s Average Volume of 4.048M is lower than Bright Smart Securities & Commodities Group Average Volume of 954984.0.
Beta: Futu Holdings’s Beta of 0.82 is lower than Bright Smart Securities & Commodities Group Beta of 1.42.
Revenue: Futu Holdings’s Revenue of 5.909B is higher than Bright Smart Securities & Commodities Group Revenue of 1.285B.
Net Income: Futu Holdings’s Net Income of 2.81B is lower than Bright Smart Securities & Commodities Group Net Income of 703.905M.
Gross Profit: Futu Holdings’s Gross Profit of 0.0 is lower than Bright Smart Securities & Commodities Group Gross Profit of 1.132B.
Ebitda: Futu Holdings’s Ebitda of 3.682B is higher than Bright Smart Securities & Commodities Group Ebitda of 1.136B.
P/E Ratio: Futu Holdings’s P/E Ratio of 25.59 is lower than Bright Smart Securities & Commodities Group P/E Ratio of 3.71.
P/S Ratio: Futu Holdings’s P/S Ratio of 10.27 is lower than Bright Smart Securities & Commodities Group P/S Ratio of 2.77.
P/B Ratio: Futu Holdings’s P/B Ratio of 2.81 is higher than Bright Smart Securities & Commodities Group P/B Ratio of 1.09.
P/FCF Ratio: Futu Holdings’s P/FCF Ratio of 2.98 is higher than Bright Smart Securities & Commodities Group P/FCF Ratio of 1.06.
ROE: Futu Holdings’s ROE of 0.11 is lower than Bright Smart Securities & Commodities Group ROE of 0.24.
ROA: Futu Holdings’s ROA of 0.02 is lower than Bright Smart Securities & Commodities Group ROA of 0.04.
Return On Capital Employed: Futu Holdings’s Return On Capital Employed of 0.0 is lower than Bright Smart Securities & Commodities Group Return On Capital Employed of 0.23.
Futu Holdings vs China Renaissance Holdings
Market Cap: Futu Holdings’s Market Cap of 7334901248 is higher than China Renaissance Holdings Market Cap of 5429643264.
Average Volume: Futu Holdings’s Average Volume of 4.048M is higher than China Renaissance Holdings Average Volume of 1.42M.
Beta: Futu Holdings’s Beta of 0.82 is higher than China Renaissance Holdings Beta of 0.7.
Revenue: Futu Holdings’s Revenue of 5.909B is higher than China Renaissance Holdings Revenue of 1.744B.
Net Income: Futu Holdings’s Net Income of 2.81B is higher than China Renaissance Holdings Net Income of 1.624B.
Gross Profit: Futu Holdings’s Gross Profit of 0.0 is lower than China Renaissance Holdings Gross Profit of 633.461M.
Ebitda: Futu Holdings’s Ebitda of 3.682B is higher than China Renaissance Holdings Ebitda of 2.038B.
P/E Ratio: Futu Holdings’s P/E Ratio of 25.59 is higher than China Renaissance Holdings P/E Ratio of -5.33.
P/S Ratio: Futu Holdings’s P/S Ratio of 10.27 is lower than China Renaissance Holdings P/S Ratio of 4.96.
P/B Ratio: Futu Holdings’s P/B Ratio of 2.81 is higher than China Renaissance Holdings P/B Ratio of 0.79.
P/FCF Ratio: Futu Holdings’s P/FCF Ratio of 2.98 is lower than China Renaissance Holdings P/FCF Ratio of 62.02.
ROE: Futu Holdings’s ROE of 0.11 is higher than China Renaissance Holdings ROE of -0.16.
ROA: Futu Holdings’s ROA of 0.02 is higher than China Renaissance Holdings ROA of -0.07.
Return On Capital Employed: Futu Holdings’s Return On Capital Employed of 0.0 is lower than China Renaissance Holdings Return On Capital Employed of 0.01.
Gross Profit Margin: Futu Holdings’s Gross Profit Margin of 0.0 is lower than China Renaissance Holdings Gross Profit Margin of 0.36.
Assets (Total): Futu Holdings’s Assets (Total) of 101.539B is lower than China Renaissance Holdings Assets (Total) of 14.164B.
About Futu Holdings
Futu Holdings Limited operates an online brokerage and wealth management platform in Hong Kong and internationally. the company provides trading, clearing and settlement services, margin financing and securities lending services, and stock yield enhancement programs. it also offers online wealth management services under the name of Futu Money Plus through its Futubull and moomoo platforms, which provide access to mutual funds, private funds and bonds, market data and information services, and NiuNiu Community, which serves as an open forum for users and clients to share insights, ask questions and exchange ideas. in addition, the company provides initial public offering and employee share option plan solutions to corporate clients under the Futu I&E brand. Futu Holdings Limited was founded in 2007 and is based in Hong Kong.