CK Asset Holdings Ltd. Registered Shares o.N.

Sector and Industry

Finance, Real Estate

Performance (1Y)

37.13%

Market Cap

13.45 Bil.

P/E Ratio

12.69

Dividend Yield

4.53 %

Earnings per Share

0.35 €

Peer Group

Company NameMarket CapRevenue Last Reported YearP/E RatioProfit Growth 1YLast PricePrevious Trading Day Change
Welltower Inc.110.08 Bil.9.60 Bil.-
-5.61 %
0.00
-
American Tower Corp69.71 Bil.9.44 Bil.32.54
-24.99 %
0.00
-
Simon Property Group Inc.51.26 Bil.5.64 Bil.32.78
+87.15 %
0.00
-
Digital Realty Trust Inc.45.26 Bil.5.42 Bil.43.21
+108.26 %
0.00
-
Realty Income Corp44.83 Bil.5.11 Bil.48.51
+17.92 %
0.00
-
CBRE Group Inc40.49 Bil.35.94 Bil.41.80
+14.60 %
0.00
-
Public Storage38.78 Bil.4.28 Bil.28.79
-17.43 %
0.00
-
Crown Castle Inc.32.92 Bil.3.78 Bil.19.24
+88.40 %
0.00
-
Ventas Inc.31.29 Bil.5.17 Bil.142.40
+197.01 %
0.00
-
Mitsubishi Estate Corp Ltd.28.44 Bil.10.01 Bil.23.77
+10.10 %
0.00
-

Facts & figures

Price data

TRADE PLATFORMBörse Stuttgart (XSTU)
LAST PRICE4.916 G0 Units
PRICE DETERMINATION TIME06/19/2026 / 01:31:31 PM
DAILY VOLUME (UNITS)0
DAILY HIGH / LOW4.9164.916
PREV. DAY'S PRICE4.935 (06/18)
CHANGE DAY BEFORE
-0.02
-0.39 %
52 WEEK HIGH / LOW5.704 (05/21)3.609 (06/20)

Key Figures (in EUR)

2027e2026e202520242023
EARNINGS PER SHARE0.420.420.350.460.57
DIVIDENDS PER SHARE0.200.200.200.210.24
DIVIDEND YIELD IN %--4.53 %5.45 %5.23 %
DIVIDEND GROWTH IN %---1.82 %-14.89 %-12.53 %
PRICE - EARNINGS RATIO12.1812.2412.698.218.07
PRICE - BOOK RATIO--0.350.290.36
PRICE - SALES RATIO--2.302.382.88
PRICE - CASH FLOW RATIO--7.139.49134.08
Further Key Figures

Master Data

WKN
A2GSU2
ISIN
KYG2177B1014
SYMBOL
1CK
EXCHANGE SEGMENT
Freiverkehr
TYPE OF FINANCIAL INSTRUMENT
Equity
DENOMINATION
CK ASSET HLDGS O.N.
INDEX MEMBERSHIP
-
TRADING SEGMENT
-
TRADING HOURS
07:30:00 AM - 10:00:00 PM
TRADING CURRENCY
Euro
NOMINAL CURRENCY
Hong Kong Dollar
SETTLEMENT CURRENCY
Euro
SECTOR AND INDUSTRYFinance, Real Estate
NUMBER OF SHARES
3.55 Bil.
MARKET CAPITALISATION
13.45 Bil.

Performance overview

1W1M3M6M1Y3Y5YYTD
PERFORMANCE
1.77 %
-10.47 %
-3.17 %
19.16 %
37.13 %
-2.68 %
-9.14 %
16.99 %
HIGH5.165.705.705.705.705.707.035.70
LOW4.964.904.774.243.613.303.304.34
Dividend
per share

Company profile

CK Asset Holdings Ltd. engages in the property development business. It also specializes in property management and infrastructure and utility assets. The company was founded on January 2, 2015 and is headquartered in Hong Kong.

Shareholder Structure (Top 10)

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Analyst Rating

Ø-Target Price DistanceNot Available
Current Price
Not Available
Ø-Target Price
Not Available
Average ResultNot Available
Buy0
Overweight0
Hold0
Underweight 0
Sell0

Company Events

No company events available.