KE Holdings Inc
KE Holdings Inc provides real estate services, including property management, community services, and commercial services, primarily in China.
Business. KE Holdings Inc (NYSE: BEKE.K) is a real estate services company operating within the Real Estate sector. The firm provides real estate services, though specific operating segments and geographic details are not disclosed in the available data. The company is headquartered in the United States and is primarily listed on the New York Stock Exchange under the ticker symbol BEKE.K.
Analyst recommendations
17 analysts · consensus BuyAt a glance
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.
News & coverage
1Sector rotation
Developing storylines
Analysis
AI analysisOpportunity
Upcoming catalysts
Scheduled public events. Informational only — not investment advice.
- Company
- EarningsQ3 2026 earnings (expected)2026-10-28 · estimated
- 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
This is the first analysis for Ke Holdings Inc (BEKE.K), establishing a baseline with no prior data for delta computation. Consequently, there are no material changes to report relative to a previous period, and the company currently has zero analyst coverage, zero index memberships, and no reported officer count in the available data. The most significant activity involves a major holder change for investor ID 478, detected on June 26, 2026. This investor drastically reduced their position from 11,225,720 shares to just 87 shares as of March 31, 2026. The value of this holding dropped from $0.168 million to $0.000002 million, and the weight percentage fell from 0.0194% to 0.00000023%. A subsequent signal detected on June 24, 2026, appears to reflect a reversal or correction of this data, showing the same investor holding 11,225,720 shares again. This conflicting data point suggests a potential reporting anomaly or adjustment in the holder's disclosed position for the same reporting period. Despite these holder fluctuations, cross-source signals indicate zero news dispatches and no sentiment data from June 25, 2026, through July 15, 2026. With 22 top holders identified but no analyst estimates or ESG ratings currently available, the market narrative for Ke Holdings remains quiet, lacking external commentary or financial projections.
Signals & dispatch
Composite-score breakdown
Synthesis
KE Holdings Inc (NYSE: BEKE.K) is a real estate services company operating within the Real Estate sector. The firm provides real estate services, though specific operating segments and geographic details are not disclosed in the available data. The company is headquartered in the United States and is primarily listed on the New York Stock Exchange under the ticker symbol BEKE.K.
KE Holdings Inc has a liquidity position that is characterized by a current ratio of 1.61, indicating that the company has sufficient current assets to cover its current liabilities. However, the company's operating cash flow is negative at -376.17 million CNY, which may signal potential short-term liquidity challenges. The company's free cash flow is positive at 574.56 million CNY, suggesting that it generates enough cash to fund operations and potentially invest in growth.
In terms of profitability, KE Holdings Inc has a return on equity (ROE) of 4.51% and a return on assets (ROA) of 2.57%. These figures are below the industry median for ROE and ROA, indicating that the company is underperforming its peers in terms of generating returns for shareholders and utilizing its assets efficiently. The company's operating income of 2.004 billion CNY and net income of 2.994 billion CNY suggest that it is profitable, but the gross profit margin of 21.37% is a key area to monitor for sustainability.
KE Holdings Inc's revenue is primarily concentrated in its core real estate services, with no significant diversification across segments or geographies disclosed in the available data. The company's exposure to a single market or segment could pose a concentration risk, as any downturn in the real estate sector in China could significantly impact its revenue.
The company's growth trajectory is not clearly defined in the available data, but the positive free cash flow and the presence of a capital expenditure of -607.73 million CNY suggest that the company is investing in its operations. Analysts have provided a mean price target of 22.46 CNY, with a median of 22.45 CNY, indicating a generally positive outlook. However, the company's future growth will depend on its ability to maintain profitability and manage its liquidity effectively.
The risk assessment for KE Holdings Inc indicates a medium liquidity risk and a low dilution risk. The company's debt-to-equity ratio is 0.02, which is relatively low, suggesting that it is not heavily leveraged. However, the negative net cash position after subtracting total debt is a concern and may require closer monitoring. The company's capital structure is supported by a strong equity base, with total equity of 66.441 billion CNY.
Recent events and filings do not provide specific details on the company's strategic initiatives or major developments. However, the company's financial performance and analyst recommendations suggest that it is maintaining a stable position in the market. The company's ability to navigate the real estate market in China and adapt to regulatory changes will be critical for its long-term success.
This is the first analysis for Ke Holdings Inc (BEKE.K), establishing a baseline with no prior data for delta computation. Consequently, there are no material changes to report relative to a previous period, and the company currently has zero analyst coverage, zero index memberships, and no reported officer count in the available data. The most significant activity involves a major holder change for investor ID 478, detected on June 26, 2026. This investor drastically reduced their position from 11,225,720 shares to just 87 shares as of March 31, 2026. The value of this holding dropped from $0.168 million to $0.000002 million, and the weight percentage fell from 0.0194% to 0.00000023%. A subsequent signal detected on June 24, 2026, appears to reflect a reversal or correction of this data, showing the same investor holding 11,225,720 shares again. This conflicting data point suggests a potential reporting anomaly or adjustment in the holder's disclosed position for the same reporting period. Despite these holder fluctuations, cross-source signals indicate zero news dispatches and no sentiment data from June 25, 2026, through July 15, 2026. With 22 top holders identified but no analyst estimates or ESG ratings currently available, the market narrative for Ke Holdings remains quiet, lacking external commentary or financial projections.
- KE Holdings Inc has a current ratio of 1.61, indicating sufficient liquidity to cover short-term obligations.
- The company's ROE of 4.51% and ROA of 2.57% are below industry medians, suggesting underperformance in generating returns.
- The company's revenue is concentrated in its core real estate services, posing a concentration risk.
- Analysts have a generally positive outlook, with a mean price target of 22.46 CNY.
- The company's debt-to-equity ratio is low at 0.02, indicating a conservative capital structure.
- The company's negative net cash position after subtracting total debt is a concern for liquidity.
Bull / Bear case
Generated · model-assistedIn focus — financials by report
Valuation
Revenue by segment
Business relationships
Supply chain
Peer comparison
Market position
Stress test
Predictor forecast
| Metric | Our forecast | Guidance | Consensus |
|---|---|---|---|
| EPS | —no estimate | —no estimate | 6,51 |
| Revenue | —no estimate | —no estimate | 90,3B CNY |
| Operating income | —no estimate | —no estimate | 8,0B CNY |
Options
Short squeeze
Earnings-call key lines
Consensus distribution
sell-side coverageEstimate revisions
consensus EPS · 26-week trendSell-side observations
Themes
ESG
Risk factors
- Net cash is negative after subtracting total debt.
Benchmarks vs cohort
Corporate actions / M&A
FX exposure
Comparable transactions
Derivatives & instruments
Derivative transactions
- Director · Restricted Share Units → American Depositary SharesDisposed 3 874exercise · 2026-03-26
- Director · Restricted Share Units → American Depositary SharesAcquired 4 353grant · 2026-03-26
Actions
Ask Handelsavisen
- Market data
- Market data cache
- Issuer disclosures
- Public news
- Earnings transcripts
- Consensus estimates
- ESG data
- Dilution Ratio(shares_outstanding_diluted - shares_outstanding_basic) / shares_outstanding_basic
- Net Cashcash_and_equivalents + short_term_investments - short_term_debt - long_term_debt
- Capex To Revenuecapital_expenditure / revenue
- Return On Equitynet_income / total_equity
- Debt To Equity(short_term_debt + long_term_debt) / total_equity
- Cash Conversion Ratiooperating_cash_flow / net_income
- KE Holdings Inc Market data — financials · 2026-05-27
- KE Holdings Inc Market data — analyst estimates · 2026-05-27
- KE Holdings Inc Market data — ESG · 2026-05-27
Ownership & reference
Top holders
- Investment Managers · as of 2024-12-310,03 %$104M
- Investment Managers · as of 2026-03-310,02 %$115M
- Investment Managers · as of 2026-03-310,02 %$0M
- Investment Managers · as of 2024-06-300,01 %$488M
- Investment Managers · as of 2026-03-310,01 %$60M
- Investment Managers · as of 2026-03-310,01 %$15M
- Investment Managers · as of 2025-12-310,01 %$406M
- Investment Managers · as of 2026-03-310,00 %$16M
- Investment Managers · as of 2026-03-310,00 %$15M
- Investment Managers · as of 2026-03-310,00 %$31M
- Investment Managers · as of 2026-03-310,00 %$47M
- Investment Managers · as of 2026-03-310,00 %$8M
- Funds · as of 2026-03-310,00 %$6M
- Investment Managers · as of 2026-03-310,00 %$3M
- Institutional Investor · as of 2026-03-310,00 %$6M
- Institutional Investor · as of 2026-03-310,00 %$1M
- Investment Managers · as of 2026-03-310,00 %$0M
- Investment Managers · as of 2026-03-310,00 %$0M
- Investment Managers · as of 2026-03-310,00 %$0M
- Brokerage Firms · as of 2026-03-310,00 %$0M
- Investment Managers · as of 2026-03-310,00 %$0M
- Institutional Investor · as of 2026-03-310,00 %$0M
Insider activity
- Director, Executive Director · Class A ordinary sharesOther 372 320 · 2026-06-08
- Director, Executive Director · Class B ordinary sharesOther 372 320 · 2026-06-08
- Director, Chief Executive Officer · Class A ordinary sharesOther 858 107 · 2026-06-08
- Director, Chief Executive Officer · Class B ordinary sharesOther 858 107 · 2026-06-08
- Director, Executive Director · Class A ordinary sharesOther 1 · 2026-06-08
- Director, Executive Director · Class A ordinary sharesOther 7 177 119 · 2026-04-27
- Director, Executive Director · Class A ordinary sharesOther 425 840 · 2026-04-07
- Director, Executive Director · Class B ordinary sharesOther 425 840 · 2026-04-07
- Director, Chief Executive Officer · Class A ordinary sharesOther 981 459 · 2026-04-07
- Director, Chief Financial Officer · Class A ordinary sharesOther 1 · 2026-04-07
- Director, Chief Executive Officer · Class B ordinary sharesOther 981 459 · 2026-04-07
- Director · American Depositary SharesOther 767 @ $15,37$12K · 2026-03-27
- Director · American Depositary SharesOther 3 874 · 2026-03-26
Short positioning
Geographic breakdown
Intel & risk
Evidence & claims
From filings & derived data- Total assets (YoY) (2025-12-31 vs 2024-12-31): -8.5%Derived (calculated)
- Shareholders' equity (YoY) (2025-12-31 vs 2024-12-31): -2.8%Derived (calculated)
- Revenue (YoY) (2025-12-31 vs 2024-12-31): 5.6%Derived (calculated)
- R&D expense (YoY) (2025-12-31 vs 2024-12-31): 18.0%Derived (calculated)
- Operating cash flow (YoY) (2025-12-31 vs 2024-12-31): -104.2%Derived (calculated)
- Total liabilities (YoY) (2025-12-31 vs 2024-12-31): -15.2%Derived (calculated)
- Cash & equivalents (YoY) (2025-12-31 vs 2024-12-31): -32.1%Derived (calculated)
- Cost of revenue (YoY) (2025-12-31 vs 2024-12-31): 10.1%Derived (calculated)
- EPS (basic) (YoY) (2025-12-31 vs 2024-12-31): -18.8%Derived (calculated)
- EPS (diluted) (YoY) (2025-12-31 vs 2024-12-31): -25.0%Derived (calculated)
- Gross profit (YoY) (2025-12-31 vs 2024-12-31): -8.0%Derived (calculated)
- Net income (YoY) (2025-12-31 vs 2024-12-31): -23.1%Derived (calculated)
- Operating income (YoY) (2025-12-31 vs 2024-12-31): -41.5%Derived (calculated)
- Net margin (FY 2025-12-31): 3.2%Derived (calculated)
- Gross margin (FY 2025-12-31): 21.4%Derived (calculated)
- Return on equity (FY 2025-12-31): 4.5%Derived (calculated)
- Return on assets (FY 2025-12-31): 2.6%Derived (calculated)
- Current ratio (FY 2025-12-31): 1.61xDerived (calculated)
- Debt-to-equity (FY 2025-12-31): 0.75xDerived (calculated)
- Total liabilities (annual): USD 7.17BSEC XBRL filing
- Pre-tax income (annual): USD 668.82MSEC XBRL filing
- Current liabilities (annual): USD 6.06BSEC XBRL filing
- Shareholders' equity (annual): USD 9.5BSEC XBRL filing
- EPS (diluted) (annual): USD-PER-SHARES 0SEC XBRL filing