Concordia Financial Group Stock

Concordia Financial Group P/S 2024

Concordia Financial Group P/S

3.08

Ticker

7186.T

ISIN

JP3305990008

WKN

A2AFG6

As of Aug 21, 2024, Concordia Financial Group's P/S ratio stood at 3.08, a 48.08% change from the 2.08 P/S ratio recorded in the previous year.

The Concordia Financial Group P/S history

Concordia Financial Group Aktienanalyse

What does Concordia Financial Group do?

The Concordia Financial Group Ltd is an international financial company based in Hong Kong. The company was founded in 2000 by a group of renowned investors from different parts of the world. Since then, Concordia Financial Group has become a very successful and respected financial institution. The business model of Concordia Financial Group is based on four main areas: investment, asset management, private equity, and corporate finance. The company specializes in investing in various industries and countries, particularly in Asia and Europe. To carry out investments and manage assets, Concordia Financial Group works with a global network of experienced financial experts. In the area of asset management, the company offers its clients a comprehensive range of services tailored to the needs of individuals and businesses. Asset management includes the development of customized investment strategies, the selection of suitable investment instruments, and the monitoring of investment portfolios. In the private equity sector, Concordia Financial Group invests in promising start-ups as well as established companies with growth potential. The company provides its portfolio companies with expertise and resources in management, strategy, and finance to maximize their growth and success. With corporate finance, Concordia Financial Group offers M&A transactions, financial advisory and structuring, as well as company valuations. The company's consultants support clients in decision-making regarding financing, structuring, mergers and acquisitions, as well as strategic business decisions. Concordia Financial Group's product range includes private equity funds, hedge funds, asset management products, and structured products such as certificates. The company is also involved in the management of real estate funds. Concordia Financial Group places special emphasis on transparency, risk management, and the fulfillment of high ethical standards. Over the past twenty years, Concordia Financial Group has built an excellent reputation. The company has received numerous awards, including the "Best Private Equity Firm Award" from Private Equity International, the "Best Hedge Fund Manager" from AsiaHedge, and the "Best Fund of Hedge Funds Manager" from Asia Asset Management. With a team of experienced leaders and a strong commitment to customer satisfaction and quality, Concordia Financial Group has become a leading international financial company. The success story of Concordia Financial Group is evidence of the company's dedication and expertise in supporting its clients in managing and growing their wealth. Concordia Financial Group ist eines der beliebtesten Unternehmen auf Eulerpool.com.

P/S Details

Decoding Concordia Financial Group's P/S Ratio

Concordia Financial Group's Price to Sales (P/S) Ratio is a crucial financial metric that measures the company's market valuation relative to its total sales revenue. It's calculated by dividing the company's market capitalization by its total sales over a specific period. A lower P/S ratio can indicate that the company is undervalued, while a higher ratio may suggest overvaluation.

Year-to-Year Comparison

Comparing Concordia Financial Group's P/S ratio yearly provides insights into how the market perceives the company’s value relative to its sales. An increasing ratio over time can indicate growing investor confidence, while a decreasing trend might reflect concerns about the company’s revenue generation capabilities or market conditions.

Impact on Investments

The P/S ratio is instrumental for investors evaluating Concordia Financial Group's stock. It offers insights into the company’s efficiency in generating sales and its market valuation. Investors use this ratio to compare similar companies within the same industry, aiding in selecting stocks that offer the best value for investment.

Interpreting P/S Ratio Fluctuations

Variations in Concordia Financial Group’s P/S ratio can result from changes in the stock price, sales revenue, or both. Understanding these fluctuations is crucial for investors to evaluate the company’s current valuation and future growth potential, aligning their investment strategies accordingly.

Frequently Asked Questions about Concordia Financial Group stock

What is the price-to-earnings ratio of Concordia Financial Group?

The price-earnings ratio of Concordia Financial Group is currently 3.08.

How has the price-earnings ratio of Concordia Financial Group changed compared to last year?

The price-to-earnings ratio of Concordia Financial Group has increased by 48.08% increased compared to last year.

What consequences does a high price-earnings ratio have for investors?

A high price-to-earnings ratio indicates that the company's stock is relatively expensive and investors may potentially achieve a lower return.

What does a low price-earnings ratio mean?

A low price-earnings ratio means that the company's stock is relatively cheap and investors may potentially achieve a higher return.

Is the price-earnings ratio of Concordia Financial Group high compared to other companies?

Yes, the price-to-earnings ratio of Concordia Financial Group is high compared to other companies.

How does an increase in the price-earnings ratio of Concordia Financial Group affect the company?

An increase in the price-earnings ratio of Concordia Financial Group would lead to a higher market capitalization of the company, which in turn would lead to a higher valuation of the company.

How does a reduction in the price-to-earnings ratio of Concordia Financial Group affect the company?

A decrease in the price-earnings ratio of Concordia Financial Group would result in a lower market capitalization of the company, which in turn would lead to a lower valuation of the company.

What are some factors that influence the price-earnings ratio of Concordia Financial Group?

Some factors that influence the price-earnings ratio of Concordia Financial Group are the company's growth, financial position, industry development, and the overall economic situation.

How much dividend does Concordia Financial Group pay?

Over the past 12 months, Concordia Financial Group paid a dividend of 25 JPY . This corresponds to a dividend yield of about 2.86 %. For the coming 12 months, Concordia Financial Group is expected to pay a dividend of 25.66 JPY.

What is the dividend yield of Concordia Financial Group?

The current dividend yield of Concordia Financial Group is 2.86 %.

When does Concordia Financial Group pay dividends?

Concordia Financial Group pays a quarterly dividend. This is distributed in the months of October, April, October, April.

How secure is the dividend of Concordia Financial Group?

Concordia Financial Group paid dividends every year for the past 12 years.

What is the dividend of Concordia Financial Group?

For the upcoming 12 months, dividends amounting to 25.66 JPY are expected. This corresponds to a dividend yield of 2.94 %.

In which sector is Concordia Financial Group located?

Concordia Financial Group is assigned to the 'Finance' sector.

Wann musste ich die Aktien von Concordia Financial Group kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of Concordia Financial Group from 12/1/2024 amounting to 13 JPY, you needed to have the stock in your portfolio before the ex-date on 9/27/2024.

When did Concordia Financial Group pay the last dividend?

The last dividend was paid out on 12/1/2024.

What was the dividend of Concordia Financial Group in the year 2023?

In the year 2023, Concordia Financial Group distributed 20.5 JPY as dividends.

In which currency does Concordia Financial Group pay out the dividend?

The dividends of Concordia Financial Group are distributed in JPY.

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Andere Kennzahlen von Concordia Financial Group

Our stock analysis for Concordia Financial Group Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of Concordia Financial Group Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.