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1456 Stock Chart & Stats
HK$5.19
HK$0.00(0.00%)
At close: 4:00 PM EST
HK$5.19
HK$0.00(0.00%)
Day’s Range― - ―
52-Week RangeHK$3.67 - HK$7.56
Previous CloseN/A
Volume3.98M
Average Volume (3M)4.87M
Market Cap
HK$56.31B
Enterprise ValueHK$126.90K
Total Cash (Recent Filing)HK$10.47B
Total Debt (Recent Filing)HK$100.38B
Price to Earnings (P/E)25.7
Beta2.49
Next Earnings
Aug 29, 2026EPS EstimateN/A
Next Dividend Ex-DateN/A
Dividend Yield1.73%
Share Statistics
EPS (TTM)0.35
Shares Outstanding442,640,000
10 Day Avg. Volume2,796,150
30 Day Avg. Volume4,870,098
Financial Highlights & Ratios
PEG Ratio0.09
Price to Book (P/B)0.50
Price to Sales (P/S)2.53
P/FCF Ratio7.30
Enterprise Value/Market CapN/A
Enterprise Value/RevenueN/A
Enterprise Value/Gross ProfitN/A
Enterprise Value/EbitdaN/A
Forecast
1Y Price TargetN/A
Price Target UpsideN/A
Rating ConsensusN/A
Number of Analyst Covering0
EPS Forecast (FY)0.4
Revenue Forecast (FY)HK$8.38B
Bulls Say, Bears Say
Bulls Say
Diversified Business ModelA broad mix of fee, advisory, asset-management and trading businesses reduces reliance on a single cycle. Over a 2–6 month horizon this diversification smooths revenue swings across market conditions, aids cross-selling, and supports stable fee income when trading softens.
Solid Profitability And Recent Revenue GrowthSustained revenue growth with high operating and net margins indicates durable earnings power relative to peers. Healthy margins provide internal funding for business development and buffer against market volatility, supporting long-term competitiveness and mandate wins.
Scale And Market ReachA sizable distribution network and institutional coverage increases ability to source underwriting and advisory mandates, capture retail flows, and scale asset-management AUM. Scale supports recurring fee generation and long-term client relationship depth.
Bears Say
Weak Cash GenerationRecent reversal to breakeven operating cash flow and negative free cash flow reduces internal funding for growth, raises reliance on external financing, and increases liquidity risk. If persistent, weak cash conversion constrains investment, payouts, and shock absorption.
Rising LeverageAn increased debt load reduces financial flexibility and raises funding costs, making the firm more vulnerable to market or funding shocks. Higher leverage can constrain capital allocation and risk appetite over the medium term if market conditions deteriorate.
Margin Volatility And Earnings SensitivityVolatile margins typical of capital-markets businesses make earnings less predictable and planning harder. Over 2–6 months this sensitivity can lead to swings in profitability and complicate retention of talent, client pricing and long-term margin improvement initiatives.
1456 FAQ
What was Guolian Securities Co., Ltd. Class H’s price range in the past 12 months?
Guolian Securities Co., Ltd. Class H lowest stock price was HK$3.67 and its highest was HK$7.56 in the past 12 months.
What is Guolian Securities Co., Ltd. Class H’s market cap?
Guolian Securities Co., Ltd. Class H’s market cap is HK$56.31B.
When is Guolian Securities Co., Ltd. Class H’s upcoming earnings report date?
Guolian Securities Co., Ltd. Class H’s upcoming earnings report date is Aug 29, 2026 which is in 27 days.
How were Guolian Securities Co., Ltd. Class H’s earnings last quarter?
Guolian Securities Co., Ltd. Class H released its earnings results on Apr 27, 2026. The company reported HK$0.104 earnings per share for the quarter, beating the consensus estimate of N/A by HK$0.104.
Is Guolian Securities Co., Ltd. Class H overvalued?
According to Wall Street analysts Guolian Securities Co., Ltd. Class H’s price is currently Overvalued.
Does Guolian Securities Co., Ltd. Class H pay dividends?
Guolian Securities Co., Ltd. Class H pays a Annually dividend of HK$0.069 which represents an annual dividend yield of 1.73%. See more information on Guolian Securities Co., Ltd. Class H dividends here
What is Guolian Securities Co., Ltd. Class H’s EPS estimate?
Guolian Securities Co., Ltd. Class H’s EPS estimate for its next earnings report is not yet available.
How many shares outstanding does Guolian Securities Co., Ltd. Class H have?
Guolian Securities Co., Ltd. Class H has 442,640,000 shares outstanding.
What happened to Guolian Securities Co., Ltd. Class H’s price movement after its last earnings report?
Guolian Securities Co., Ltd. Class H reported an EPS of HK$0.104 in its last earnings report, beating expectations of N/A. Following the earnings report the stock price went down -0.886%.
Which hedge fund is a major shareholder of Guolian Securities Co., Ltd. Class H?
Currently, no hedge funds are holding shares in HK:1456
What is the TipRanks Smart Score and how is it calculated?
Smart Score combines eight research factors - such as analyst recommendations, hedge fund trends, and technical indicators - to measure a stock’s outlook. These signals are unified into a single score that reflects bullish or bearish momentum. See detailed methodology
Guolian Securities Co., Ltd. Class H Stock Smart Score
Underperform
1
2
3
4
5
6
7
8
9
10
Technicals
SMA
Positive
20 days / 200 days
Momentum
30.76%
12-Months-Change
Fundamentals
Return on Equity
1.73%
Trailing 12-Months
Asset Growth
43.73%
Trailing 12-Months
Company Description
Guolian Securities Co., Ltd. Class H
Guolian Securities Co., Ltd., along with its affiliated entities, delivers a comprehensive array of financial offerings and solutions across the People's Republic of China. Its operations are structured into several key divisions: Brokerage and Wealth Management, Credit Transactions, Investment Banking, Proprietary Trading, and Asset Management and Investment. The firm provides a wide spectrum of services including securities trading and brokerage activities, as well as extending financial leverage to brokerage clients, offering securities-backed loans, and engaging in securities repurchase agreements. It also delivers corporate finance and financial advisory services to institutional clients, alongside operating as a market maker. Furthermore, Guolian Securities is involved in the sale of wealth management products, direct investments, and fund-related endeavors. Its expertise extends to management and maintenance services, investment consultation and advice, transaction execution, and strategic asset allocation. The company's diverse activities also encompass the underwriting and sponsorship of securities and bonds, investment management, internal investments in venture capital, industrial projects, and equities, general asset management, acting as an introducing broker for futures companies, facilitating margin financing and securities lending, and distributing financial broker products on an agency basis. As of December 31, 2021, the company maintained an extensive network of 101 outlets, comprising 13 main branch offices and 88 dedicated securities branches. Originally established in 1992 as Wuxi Securities Co., Ltd., the company adopted its current name, Guolian Securities Co., Ltd., in May 2008. Its corporate headquarters are situated in Wuxi, People's Republic of China.
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