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INDICATIVE · SAMPLE DATA
00242358

COFCO Capital Holdings Co Ltd

Life & Health InsuranceVerified

COFCO Capital Holdings Co Ltd maintains a liquidity position with a current ratio of 1.87, indicating a moderate ability to meet short-term obligations. The company's liquidity_fpt is not explicitly provided, but the negative net cash position after subtracting total debt suggests potential liquidity constraints. In terms of profitability, the company's return on equity (ROE) is 4.98%, which is below the typical industry benchmark for life and health insurers. The return on assets (ROA) is 0.65%, further indicating that the company is not generating strong returns relative to its asset base. These metrics suggest that the company's performance is lagging compared to industry standards. The company's revenue is concentrated in a single business segment, as disclosed in its financial statements, with no material geographic diversification reported. This lack of diversification could expose the company to higher operational and market risks. Looking at the growth trajectory, the company's revenue has shown a modest increase in recent periods, but the outlook for the current and next fiscal years is not explicitly provided. The absence of a clear growth strategy or significant capital expenditure plans may limit its ability to expand its market share. The risk assessment indicates a medium liquidity risk and a low dilution risk. However, the negative net cash position after subtracting total debt raises concerns about the company's ability to fund operations without external financing. No recent dilution events have been reported, and the company's capital structure appears stable in the near term. Recent filings and transcripts do not highlight any major strategic shifts or operational disruptions. The company's ESG score of 30.64 and a governance score of 40.29 suggest that it has room for improvement in environmental, social, and governance practices.

30-day price · 002423-1.03 (-9.9%)
Low$9.31High$10.57Close$9.33As of22 May, 00:00 UTC
Profile
CompanyCOFCO Capital Holdings Co Ltd
Ticker002423.SZ
SectorFinancials
BusinessInsurance
Industry groupInsurance
IndustryLife & Health Insurance
AI analysis

Business. COFCO Capital Holdings Co Ltd operates in the life and health insurance sector, providing insurance products and services to customers in China.

Classification. The company is classified under the Financials sector, specifically in the Insurance business sector, with a confidence level of 0.92.

COFCO Capital Holdings Co Ltd maintains a liquidity position with a current ratio of 1.87, indicating a moderate ability to meet short-term obligations. The company's liquidity_fpt is not explicitly provided, but the negative net cash position after subtracting total debt suggests potential liquidity constraints. In terms of profitability, the company's return on equity (ROE) is 4.98%, which is below the typical industry benchmark for life and health insurers. The return on assets (ROA) is 0.65%, further indicating that the company is not generating strong returns relative to its asset base. These metrics suggest that the company's performance is lagging compared to industry standards. The company's revenue is concentrated in a single business segment, as disclosed in its financial statements, with no material geographic diversification reported. This lack of diversification could expose the company to higher operational and market risks. Looking at the growth trajectory, the company's revenue has shown a modest increase in recent periods, but the outlook for the current and next fiscal years is not explicitly provided. The absence of a clear growth strategy or significant capital expenditure plans may limit its ability to expand its market share. The risk assessment indicates a medium liquidity risk and a low dilution risk. However, the negative net cash position after subtracting total debt raises concerns about the company's ability to fund operations without external financing. No recent dilution events have been reported, and the company's capital structure appears stable in the near term. Recent filings and transcripts do not highlight any major strategic shifts or operational disruptions. The company's ESG score of 30.64 and a governance score of 40.29 suggest that it has room for improvement in environmental, social, and governance practices.
Key takeaways
  • COFCO Capital Holdings Co Ltd has a moderate liquidity position but faces potential constraints due to a negative net cash position.
  • The company's ROE and ROA are below typical industry benchmarks, indicating suboptimal profitability.
  • Revenue is concentrated in a single business segment, increasing exposure to market and operational risks.
  • The company's ESG performance is weak, with a score of 30.64 and a governance score of 40.29.
  • No significant dilution events have been reported, and the capital structure appears stable in the near term.
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  • ## RATIONALES
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Financial snapshot
PeriodHA-latest
CurrencyCNY
Revenue$11.16B
Gross profit$3.14B
Operating income$2.41B
Net income$1.13B
R&D
SG&A
D&A
SBC
Operating cash flow$18.88B
CapEx-$136.6M
Free cash flow$1.33B
Total assets$173.23B
Total liabilities$150.49B
Total equity$22.75B
Cash & equivalents
Long-term debt$7.01B
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$22.75B
Net cash-$7.01B
Current ratio1.9
Debt/Equity0.3
ROA0.7%
ROE5.0%
Cash conversion16.7%
CapEx/Revenue-1.2%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Life & Health Insurance · cohort 1 companies
Metric002423Activity
Op margin21.6%21.1% medp25 16.7% · p75 136.5%above median
Net margin10.1%10.4% medp25 5.7% · p75 19.8%below median
Gross margin28.2%21.0% medp25 21.0% · p75 21.0%top quartile
CapEx / revenue-1.2%2.4% medp25 2.4% · p75 2.4%bottom quartile
Debt / equity31.0%48.5% medp25 43.7% · p75 53.3%bottom quartile
Observations
IR observations
market data ESG Score30.64 (0-100, higher is better)
Environment pillar15.98 (0-100)
Social pillar26.56 (0-100)
Governance pillar40.29 (0-100)
ESG controversies score100 (0-100, higher = fewer controversies)
ESG gradeC-
Source: analysis-pipeline (hybrid)Generated: 2026-05-20 01:27 UTCJob: 4bf5f09a