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Companies Financials ACAMD.CA
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ACAMD.CA CAI Investment Management & Fund Operators

Arab Co for Asset Management and Development

$2,23
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Mcap
3,0B EGP
P/E
EV / Rev
690,3x
Div yield
Op margin
-1 508,3 %
ROE
-2,9 %
Net margin
-1 203,9 %
Debt / equity
0,02
Beta
52w range
Volume
Day range
Prev close
Open
Next earnings
Ex-dividend
TR 1Y
About

Arab Co for Asset Management and Development operates in the investment management and fund operations sector, providing services related to asset management and development.

Business. Arab Co for Asset Management and Development (ACAMD.CA) operates in the Investment Management & Fund Operators industry within the broader Financials sector. The company generates revenue primarily through fee-based models associated with asset management and fund operations. Specific details regarding operating segments, headquarters location, and primary stock exchange listings are not available in the provided data. Consequently, the business is described at the industry level without geographic or segment-specific breakdowns.

Classification92 %
SectorFinancials
Business sectorBanking & Investment Services
IndustryInvestment Management & Fund Operators
ActivityBanking & Investment Services
Generated · model-assisted
Sell-side consensus
consensus pending
— buy— hold— sell
Avg 12m price target
Upcoming events
— missing data
See all catalysts →

At a glance

Score
not yet scored
Valuation
valuation pending
Analysts
not yet wired
Ownership
not yet wired
Profitability
-2,9 %
return on equity
Quality
not yet scored

What drives this business

The watch-list the newsroom runs for this company — derived from its sector path, sharpened layer by layer. Not investment advice.

— missing data

News & coverage

0
  • No recent newsroom coverage mentioning ACAMD.
  • Sector rotation

    Sector1D1Mvs mkt
    Materials+2,3 %+6,6 %+1,7 %
    Communication Services+2,2 %−5,5 %+1,6 %
    Energy+0,6 %+3,3 %+0,0 %
    Health Care+0,6 %−0,8 %+0,0 %
    Information Technology+0,6 %+6,7 %+0,0 %
    Consumer Discretionary+0,4 %+7,6 %−0,2 %
    Financials · THIS SECTOR−0,3 %−2,8 %−0,9 %
    Consumer Staples−0,4 %+2,5 %−1,0 %
    Real Estate−0,7 %+10,9 %−1,3 %
    Industrials−1,9 %−3,1 %−2,5 %
    Utilities−1,9 %+28,2 %−2,5 %

    Developing storylines

    No tracked sagas currently linked to ACAMD.CA. Browse all sagas →

    Analysis

    AI analysis
    Generated · analysis pipeline · tier hybrid · as of 2026-08-04 ↑ At a glance

    Opportunity

    — missing data

    Upcoming catalysts

    Scheduled public events. Informational only — not investment advice.

    • Macro
    • Rate decisionBank of England rate decision (press conf.)2026-08-06 · GB
    • Rate decisionReserve Bank of Australia rate decision (press conf.)2026-08-12 · AU
    • Rate decisionNorges Bank rate decision (press conf.)2026-08-20 · NO
    • Rate decisionSveriges Riksbank rate decision (press conf.)2026-09-03 · SE
    • Rate decisionBank of Canada rate decision (press conf.)2026-09-09 · CA
    • Rate decisionEuropean Central Bank rate decision (press conf.)2026-09-10 · EU
    • Macro & political
    • ElectionSE Swedish Election2026-09-14 · SE
    • ElectionUS U.S. Midterms2026-11-03 · US
    • ElectionFR French Legislative2027-06-01 · FR

    Pre-earnings brief

    — missing data

    Signals & dispatch

    peak dispatch · —

    Composite-score breakdown

    Synthesis

    Business

    Arab Co for Asset Management and Development (ACAMD.CA) operates in the Investment Management & Fund Operators industry within the broader Financials sector. The company generates revenue primarily through fee-based models associated with asset management and fund operations. Specific details regarding operating segments, headquarters location, and primary stock exchange listings are not available in the provided data. Consequently, the business is described at the industry level without geographic or segment-specific breakdowns.

    Classification92 %
    SectorFinancials
    Business sectorBanking & Investment Services
    IndustryInvestment Management & Fund Operators
    ActivityBanking & Investment Services
    AI synthesis
    GENERATED

    The company's capital structure is characterized by a high level of equity, with total equity of EGP 116,945,030 and total liabilities of EGP 58,620,650, resulting in a debt-to-equity ratio of 0.02. The liquidity position is strong, with a current ratio of 3.46 and cash and equivalents amounting to EGP 44,783,130. However, the company's valuation metrics are mixed, with a price-to-book ratio of 8.6 and a price-to-tangible-book ratio of 8.6, indicating that the market is valuing the company significantly above its book value.

    Profitability metrics are negative, with a return on equity of -2.87% and a return on assets of -1.91%, suggesting that the company is not generating returns for its shareholders or assets. The operating income is negative at EGP -4,209,680, and the net income is also negative at EGP -3,360,040, indicating that the company is currently operating at a loss. These figures are below the industry median for profitability metrics, which typically reflect a more stable and profitable operation.

    The company's revenue is concentrated in a single segment, with no disclosed geographic diversification. This lack of diversification could pose a risk if the company's primary market experiences a downturn. The company's revenue is EGP 279,100, and there is no information on the geographic distribution of this revenue.

    The company's growth trajectory is uncertain, with no disclosed revenue growth or decline in the current fiscal year. The operating cash flow is negative at EGP -10,552,430, and the free cash flow is also negative at EGP -3,754,360, indicating that the company is not generating positive cash flow from its operations. The capital expenditure is negative at EGP -723,890, suggesting that the company is not investing in new assets.

    The risk assessment indicates that the company has low liquidity and dilution risks, with no immediate filing-based liquidity or dilution flags detected. The company's dilution potential is low, and there are no adjustments applied to the valuation metrics. The company's risk score is not disclosed, but the low liquidity and dilution risks suggest that the company is not facing immediate financial distress.

    Recent events and filings do not indicate any significant changes in the company's operations or financial position. The company's financial statements do not disclose any recent events that could impact its operations or financial performance. The company's risk factors are not disclosed in the financial statements, but the low liquidity and dilution risks suggest that the company is not facing immediate financial distress.

    Key takeaways
    • The company has a strong liquidity position with a current ratio of 3.46 and significant cash and equivalents.
    • The company is operating at a loss, with negative operating and net income figures.
    • The company's profitability metrics are negative, indicating poor returns for shareholders and assets.
    • The company's revenue is concentrated in a single segment, posing a risk if the primary market experiences a downturn.
    • The company's growth trajectory is uncertain, with no disclosed revenue growth or decline in the current fiscal year.
    • The company has low liquidity and dilution risks, with no immediate filing-based liquidity or dilution flags detected.

    Bull / Bear case

    Generated · model-assisted
    BULL CASE · 5

    The company maintains a minimal debt-to-equity ratio of 0.02, significantly below the cohort median of 0.03.

    Total assets grew 48.8% year-over-year to 261.3 million EGP, indicating substantial balance sheet expansion.

    Cash conversion is rated best-in-class at 3.14, vastly outperforming the cohort median of 0.31.

    Revenue demonstrated a 14.4% four-year CAGR, suggesting long-term top-line growth potential despite recent volatility.

    Dilution and liquidity risks are assessed as low, providing a stable capital structure environment.

    BEAR CASE · 2

    Operating margin of -15.1% places the company in the bottom quartile of its investment management cohort.

    Return on equity is negative at -2.9%, ranking in the bottom quartile compared to peers.

    In focus — financials by report

    Valuation FY

    Market price
    $2,23
    Market cap
    $1.01B
    Enterprise value
    $963.3M
    P/E
    Non-GAAP P/E
    EV / Revenue
    690.3x
    EV / Op income
    EV / OCF
    P / B
    8.6x
    P / Tangible book
    8.6x
    Tangible book
    $116.9M
    Net cash
    $43.0M
    Current ratio
    3.5
    Debt / equity
    0.0
    ROA
    -1.9%
    ROE
    -2.9%
    Cash conversion
    314.0%
    CapEx / revenue
    -2.6%
    SBC / revenue
    Dilution ratio
    0.0%

    Revenue by segment

    Market share

    — missing data

    Business relationships

    — missing data

    Supply chain

    — missing data

    Peer comparison

    — missing data

    Market position

    Stress test

    — missing data

    Predictor forecast

    Options

    — missing data

    Short squeeze

    — missing data

    Earnings-call key lines

    — missing data

    Estimate revisions

    consensus EPS · 26-week trend
    — missing data

    Sell-side observations

    — missing data

    Themes

    — missing data

    ESG

    — missing data

    Risk factors

    Dilution riskLow
    Liquidity riskLow
    Filing-based flags
    • No immediate filing-based liquidity or dilution flags were detected.

    Benchmarks vs cohort

    Op Margin-1 508,3 %Bottom quartile
    Net Margin-1 203,9 %Bottom quartile
    ROE-2,9 %Bottom quartile
    Capex / Rev-259,4 %Bottom quartile
    D/E0,02Above median
    Cash Conv3,14Best in class

    Corporate actions / M&A

    — missing data

    FX exposure

    — missing data

    Comparable transactions

    — missing data

    Derivatives & instruments

    — missing data

    Actions

    Ask Handelsavisen

    — missing data
    Data sources
    • Market data
    • Market data cache
    • Issuer disclosures
    • Public news
    • Earnings transcripts
    • Consensus estimates
    • ESG data
    How metrics are computed
    • Return On Equity
      net_income / total_equity
    • Price To Book
      market_price / (adjusted_book_value / shares_outstanding_diluted)
    • Dilution Ratio
      (shares_outstanding_diluted - shares_outstanding_basic) / shares_outstanding_basic
    • Market Price
      input from market-data provider (delayed close or quote-shim mid)
    • Market Cap
      market_price * shares_outstanding_diluted
    • Ev To Revenue
      enterprise_value / revenue
    Source documents
    • Arab Co for Asset Management and Development Market data — financials · 2026-05-27

    Ownership & reference

    Insider activity

    — missing data

    Short positioning

    — missing data

    Geographic breakdown

    — missing data
    Listings · one canonical issuer all listings resolve to the canonical
    ACAMD.CACanonical
    CAI · EGP

    Intel & risk

    peak dispatch · —
    OSINT findings
    Dilution riskLow
    Liquidity riskLow
    No immediate filing-based liquidity or dilution flags were detected.

    Evidence & claims

    From filings & derived data
    — missing data

    The Thread

    Everything we know, in order
    — missing data
    Sources filings · IR · transcripts · market data · tier hybrid · as of 2026-08-04 Market data · Issuer disclosures · Public news · Earnings transcripts · Consensus estimates · ESG data Premium coverage