Lifestyle China Group Ltd 02136
About Quantitative Ratings
Morningstar Quantitative Ratings for Stocks are generated using an algorithm that compares companies that are not under analyst coverage to peer companies that do receive analyst-driven ratings. Companies with quantitative ratings are not formally covered by a Morningstar analyst, but are statistically matched to analyst-rated companies, allowing our models to calculate a quantitative moat, fair value, and uncertainty rating.
Trading Information
- Previous Close Price
- HKD 0.76
- Day Range
- HKD 0.77–0.81
- 52-Week Range
- HKD 0.55–1.14
- Bid/Ask
- HKD 0.78 / HKD 0.80
- Market Cap
- HKD 1.17 Bil
- Volume/Avg
- 1.9 Mil / 430,164
Key Statistics
- Price/Earnings (Normalized)
- 12.13
- Price/Sales
- 0.78
- Dividend Yield (Trailing)
- —
- Dividend Yield (Forward)
- —
- Total Yield
- —
Company Profile
Lifestyle China Group Ltd is an investment holding company. It is engaged in the operation of department stores and related retailing businesses. Geographically, it derives all of its revenues from China.
- Sector
- Consumer Cyclical
- Industry
- Department Stores
- Stock Style Box
- Small Value
- Total Number of Employees
- 1,172
Comparables
Valuation
Metric
|
02136
|
LANV
|
09992
|
---|---|---|---|
Price/Earnings (Normalized) | 12.13 | — | 37.70 |
Price/Book Value | 0.11 | 1.02 | 5.79 |
Price/Sales | 0.78 | 0.46 | 7.07 |
Price/Cash Flow | 3.67 | — | 24.07 |
Price/Earnings
02136
LANV
09992
Financial Strength
Metric
|
02136
|
LANV
|
09992
|
---|---|---|---|
Quick Ratio | 2.72 | 0.29 | 3.66 |
Current Ratio | 2.81 | 0.72 | 4.43 |
Interest Coverage | 2.66 | −6.31 | 39.08 |
Quick Ratio
02136
LANV
09992
Profitability
Metric
|
02136
|
LANV
|
09992
|
---|---|---|---|
Return on Assets (Normalized) | 1.61% | −19.97% | 12.93% |
Return on Equity (Normalized) | 2.78% | −60.38% | 16.21% |
Return on Invested Capital (Normalized) | 2.38% | −28.54% | 13.28% |
Return on Assets
02136
LANV
09992
Department Stores Industry Comparables
Ticker
|
Name
|
Morningstar Rating for Stocks
|
Capital Allocation
|
Economic Moat
|
Market Cap
|
---|---|---|---|---|---|
SVTMF
| SM Investments Corp | — | Gjkpdv | $18.6 Bil | |
AONNY
| AEON Co Ltd ADR | — | Ffft | $18.2 Bil | |
ELPQF
| El Puerto de Liverpool SAB de CV | — | Zxz | $12.2 Bil | |
SRHGF
| Shoprite Holdings Ltd | — | Cpqhkh | $7.8 Bil | |
SRGHY
| Shoprite Holdings Ltd ADR | — | Knjbgjb | $7.8 Bil | |
MAKSF
| Marks & Spencer Group PLC | — | Rnk | $7.2 Bil | |
MAKSY
| Marks & Spencer Group PLC ADR | — | Sswd | $7.2 Bil | |
M
| Macy's Inc | Mwyxqqftt | Ywrc | $5.4 Bil | |
JWN
| Nordstrom Inc | Pxbtpqv | Srpt | $3.6 Bil | |
KSS
| Kohl's Corp | Cvzddvwgw | Jxw | $2.9 Bil |