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INDICATIVE · SAMPLE DATA
0612$0.3458

Carmen Century Investment Ltd

Investment Holding CompaniesVerified

Carmen Century Investment Ltd exhibits a capital structure with a low debt-to-equity ratio of 0.02, indicating a conservative leverage profile. The company's liquidity position is strong, as evidenced by a current ratio of 9.95, which is well above the industry median. The company holds $66.25 million in cash and equivalents, representing 12.8% of total assets, and has no immediate liquidity flags. However, the company reported negative operating cash flow of -$50.34 million and free cash flow of -$448.00 million, suggesting operational cash generation is under pressure. Profitability metrics are sharply negative, with a return on equity (ROE) of -93.95% and a return on assets (ROA) of -91.05%. These figures are significantly below the industry median for investment holding companies and reflect a challenging operating environment. The company reported a net loss of $470.81 million on revenue of $1.35 million, resulting in a net margin of -348.75%. The negative EBITDA of -$469.23 million further underscores the company's unprofitability. The company's revenue is not segmented by product or geography in the latest financial data, but the consolidated revenue of $1.35 million is minimal relative to its asset base of $517.09 million. This suggests the company may be in a transitional or restructuring phase. There is no indication of geographic diversification in the available data, and the company's revenue concentration is not disclosed. Looking ahead, the company's growth trajectory is uncertain. The latest financial data does not provide forward-looking guidance, and the absence of revenue growth in the most recent period raises concerns about future performance. The company's market capitalization of $523.08 million is modest relative to its book value, with a price-to-book ratio of 1.04. The valuation is further supported by a low debt load and strong liquidity, but the negative earnings and cash flow metrics limit upside potential. The company's risk profile is characterized by low liquidity and dilution risk, with no immediate filing-based flags detected. The company has a low dilution potential, as shares outstanding for both basic and diluted scenarios are identical at 1.56 billion. The absence of recent equity issuance or shelf registration activity supports the low dilution risk assessment. However, the company's negative net income and free cash flow could pressure the balance sheet in the event of prolonged market stress. Recent events and disclosures do not include material changes in strategy, management, or regulatory environment. The company's ESG profile is neutral, with a Social pillar score of 50.54 and a Governance pillar score of 49.21. The ESG controversies score of 100.00 indicates no recent controversies, but the low governance score suggests potential areas for improvement in corporate governance practices.

30-day price · 0612+0.00 (+0.0%)
Low$0.34High$0.34Close$0.34As of22 May, 00:00 UTC
Profile
CompanyCarmen Century Investment Ltd
Ticker0612.HK
SectorFinancials
BusinessInvestment Holding Companies
Industry groupInvestment Holding Companies
IndustryInvestment Holding Companies
AI analysis

Business. Carmen Century Investment Ltd is an investment holding company that operates in the financial sector, primarily generating revenue through its portfolio of investments and asset management activities.

Classification. Carmen Century Investment Ltd is classified under the Financials economic sector, specifically in the Investment Holding Companies business sector, with a classification confidence of 0.92.

Carmen Century Investment Ltd exhibits a capital structure with a low debt-to-equity ratio of 0.02, indicating a conservative leverage profile. The company's liquidity position is strong, as evidenced by a current ratio of 9.95, which is well above the industry median. The company holds $66.25 million in cash and equivalents, representing 12.8% of total assets, and has no immediate liquidity flags. However, the company reported negative operating cash flow of -$50.34 million and free cash flow of -$448.00 million, suggesting operational cash generation is under pressure. Profitability metrics are sharply negative, with a return on equity (ROE) of -93.95% and a return on assets (ROA) of -91.05%. These figures are significantly below the industry median for investment holding companies and reflect a challenging operating environment. The company reported a net loss of $470.81 million on revenue of $1.35 million, resulting in a net margin of -348.75%. The negative EBITDA of -$469.23 million further underscores the company's unprofitability. The company's revenue is not segmented by product or geography in the latest financial data, but the consolidated revenue of $1.35 million is minimal relative to its asset base of $517.09 million. This suggests the company may be in a transitional or restructuring phase. There is no indication of geographic diversification in the available data, and the company's revenue concentration is not disclosed. Looking ahead, the company's growth trajectory is uncertain. The latest financial data does not provide forward-looking guidance, and the absence of revenue growth in the most recent period raises concerns about future performance. The company's market capitalization of $523.08 million is modest relative to its book value, with a price-to-book ratio of 1.04. The valuation is further supported by a low debt load and strong liquidity, but the negative earnings and cash flow metrics limit upside potential. The company's risk profile is characterized by low liquidity and dilution risk, with no immediate filing-based flags detected. The company has a low dilution potential, as shares outstanding for both basic and diluted scenarios are identical at 1.56 billion. The absence of recent equity issuance or shelf registration activity supports the low dilution risk assessment. However, the company's negative net income and free cash flow could pressure the balance sheet in the event of prolonged market stress. Recent events and disclosures do not include material changes in strategy, management, or regulatory environment. The company's ESG profile is neutral, with a Social pillar score of 50.54 and a Governance pillar score of 49.21. The ESG controversies score of 100.00 indicates no recent controversies, but the low governance score suggests potential areas for improvement in corporate governance practices.
Key takeaways
  • The company has a strong liquidity position but is unprofitable, with a net loss of $470.81 million.
  • The capital structure is conservative, with a low debt-to-equity ratio of 0.02.
  • The company's ROE and ROA are sharply negative, indicating poor returns on equity and assets.
  • There is no immediate liquidity or dilution risk, but the negative cash flow metrics could become a concern in a prolonged downturn.
  • The ESG profile is neutral, with no recent controversies but room for improvement in governance.
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  • ## RATIONALES
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Financial snapshot
PeriodHA-latest
CurrencyHKD
Revenue$1.4M
Gross profit
Operating income-$469.2M
Net income-$470.8M
R&D
SG&A
D&A
SBC
Operating cash flow-$50.3M
CapEx-$1.1M
Free cash flow-$448.0M
Total assets$517.1M
Total liabilities$16.0M
Total equity$501.1M
Cash & equivalents$66.3M
Long-term debt$10.2M
Valuation
Market price$0.34
Market cap$523.1M
Enterprise value$467.0M
P/E
Reported non-GAAP P/E
EV/Revenue345.7
EV/Op income
EV/OCF
P/B1.0
P/Tangible book1.0
Tangible book$501.1M
Net cash$56.0M
Current ratio9.9
Debt/Equity0.0
ROA-91.0%
ROE-94.0%
Cash conversion11.0%
CapEx/Revenue-77.7%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskLow
  • No immediate filing-based liquidity or dilution flags were detected.
Industry benchmarks
Activity: Investment Holding Companies · cohort 83 companies
Metric0612Activity
Op margin-34732.0%6.3% medp25 -13.7% · p75 66.3%bottom quartile
Net margin-34849.0%8.8% medp25 -0.8% · p75 71.1%bottom quartile
Gross margin40.1% medp25 27.9% · p75 68.1%
CapEx / revenue-77.7%-3.7% medp25 -14.6% · p75 -0.9%bottom quartile
Debt / equity2.0%0.0% medp25 0.0% · p75 3.9%above median
Observations
IR observations
Social pillar50.54 (0-100)
Governance pillar49.21 (0-100)
ESG controversies score100.00 (0-100, higher = fewer controversies)
Source: analysis-pipeline (hybrid)Generated: 2026-05-20 08:17 UTCJob: bdc342b7