GPT Analysis
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Symbol | Company Name | Rating | Recommendation | Evaluation from GPT | Action | Time |
---|---|---|---|---|---|---|
000001 | Ping An Bank Co., Ltd. | 75 | Positive | Ping An Bank Co., Ltd. (000001.SZ) is a regional bank in China, operating in the financial services sector. The bank has a strong market position with a large number of full-time employees and a significant market capitalization. It has a solid dividend history, with a current dividend yield of 0.0254 and a payout ratio of 0.2165. The bank's financial indicators, such as profit margins, return on assets, and return on equity, are generally | | 2023-10-05 13:55:53 |
000001 | Ping An Bank Co., Ltd. | 75 | Positive | Ping An Bank Co., Ltd. (000001.SZ) is a regional bank in China, operating in the financial services sector. The bank has a strong market position with a large number of full-time employees and a significant market capitalization. It has a solid dividend history, with a current dividend yield of 0.0254 and a payout ratio of 0.2165. The bank's financial indicators, such as profit margins, return on assets, and return on equity, are generally | | 2023-10-05 13:55:53 |
000001 | Ping An Bank Co., Ltd. | None | None | None | | None |
000001 | Ping An Bank Co., Ltd. | None | None | None | | None |
000002 | CHINA VANKE CO., LTD. | 76 | Positive | China Vanke Co., Ltd. (000002.SZ) is a real estate development company based in China. The company has a strong market position with a large number of full-time employees (131,817 as of the last available data). It operates in the Real Estate sector and has a significant market cap of CNY 164,304,814,080. Despite facing some risks in terms of audit, board, and shareholder rights, the overall risk for investors seems manageable. The company has a trailing P/E ratio of 7.54 and a forward P/E ratio of 7.82, indicating favorable valuation levels. Additionally, China Vanke offers a dividend yield of 7.03% and has a track record of consistent dividend payments. The stock has shown a decline of 23.55% in the past 52 weeks, but with a | | 2023-07-25 03:37:16 |
000002 | CHINA VANKE CO., LTD. | None | None | None | | None |
000002 | CHINA VANKE CO., LTD. | None | None | None | | None |
000002 | CHINA VANKE CO., LTD. | None | None | None | | None |
000004 | Shenzhen GuoHua Network Security Technology Co., Ltd. | 30 | Negative | Shenzhen GuoHua Network Security Technology Co., Ltd. (000004.SZ) is a biotechnology company in the healthcare sector based in China. The company has 296 full-time employees and operates in the biotechnology industry. With a market capitalization of CNY 2,575,922,688, the stock has a beta of 0.25, indicating low volatility compared to the market. The stock has experienced a 91.01% increase in the past 52 weeks and is currently trading at CNY 19.39. The financial indicators show Considering the | | 2023-07-26 08:33:44 |
000004 | Shenzhen GuoHua Network Security Technology Co., Ltd. | None | None | None | | None |
000004 | Shenzhen GuoHua Network Security Technology Co., Ltd. | None | None | None | | None |
000004 | Shenzhen GuoHua Network Security Technology Co., Ltd. | None | None | None | | None |
000005 | SHENZHEN FOUNTAIN CORPORATION | 30 | Negative | Based on the provided financial indicators, it seems that the stock 000005.SZ is not performing well in the market. The stock has experienced a decline in its price over the past year, with the current price being below both the fifty-day and two-hundred-day averages. The low volume of trading indicates limited investor interest. Additionally, the stock has a relatively high price-to-sales ratio, suggesting that it may be overvalued compared to its revenue. The lack of dividend payment further reduces its attractiveness for income-oriented investors. Considering these factors, it might be advisable to avoid investing in 000005.SZ at this time. | | 2023-07-14 04:35:00 |
000005 | SHENZHEN FOUNTAIN CORPORATION | None | None | None | | None |
000005 | SHENZHEN FOUNTAIN CORPORATION | None | None | None | | None |
000005 | SHENZHEN FOUNTAIN CORPORATION | None | None | None | | None |
000006 | SHENZHEN ZHENYE(GROUP) CO.,LTD. | 65 | Neutral | Based on the provided financial indicators, the stock appears to have mixed attributes. With a trailing PE ratio of 16.296295, the stock seems to be reasonably priced. However, the forward PE ratio of 4.835165 suggests that analysts expect future earnings growth. The dividend yield is currently 0.0216, which is relatively low. The company has a payout ratio of 0.45, indicating that it distributes a moderate portion of its earnings as dividends. The beta of 0.988127 implies that the stock is relatively less volatile compared to the market. The stock is currently trading close to its 52-week low, which indicates a potential value opportunity. Overall, the stock seems to have a mixed performance and further research and evaluation may be necessary to make an informed investment decision. | | 2023-07-14 04:35:14 |
000006 | SHENZHEN ZHENYE(GROUP) CO.,LTD. | None | None | None | | None |
000006 | SHENZHEN ZHENYE(GROUP) CO.,LTD. | None | None | None | | None |
000006 | SHENZHEN ZHENYE(GROUP) CO.,LTD. | None | None | None | | None |