SHALF Stock Chart & Stats
$0.52
-$0.05(-8.70%)
At close: 4:00 PM EDT
$0.52
-$0.05(-8.70%)
Day’s Range― - ―
52-Week Range$0.46 - $0.73
Previous CloseN/A
Volume1.00K
Average Volume (3M)0.00
Market Cap
$1.89B
Enterprise Value$58.80K
Total Cash (Recent Filing)$2.54B
Total Debt (Recent Filing)$7.61B
Price to Earnings (P/E)16.7
Beta0.10
Next Earnings
Aug 21, 2026EPS Estimate
0.03Next Dividend Ex-DateN/A
Dividend Yield3.47%
Share Statistics
EPS (TTM)0.03
Shares Outstanding3,591,116,200
10 Day Avg. Volume0
30 Day Avg. Volume0
Financial Highlights & Ratios
PEG Ratio-0.64
Price to Book (P/B)0.41
Price to Sales (P/S)0.98
P/FCF Ratio23.85
Enterprise Value/Market Cap<0.01
Enterprise Value/Revenue<0.01
Enterprise Value/Gross Profit<0.01
Enterprise Value/Ebitda<0.01
Forecast
1Y Price TargetN/A
Price Target UpsideN/A
Rating ConsensusN/A
Number of Analyst Covering0
EPS Forecast (FY)<0.01
Revenue Forecast (FY)$289.19M
Bulls Say, Bears Say
Bulls Say
Operating Margin RecoveryStrong operating and EBITDA margins indicate the hotel's core operations regained pricing power and cost control. Durable property-level profitability improves resilience through cycles, supports reinvestment in assets, and underpins sustainable cash generation if demand remains stable.
Revenue RecoveryA return to ~2.24B revenue shows normalization of room, F&B and event demand, restoring scale benefits. Sustained top-line growth helps absorb fixed costs, improves unit economics across properties, and strengthens the structural ability to fund operations and maintenance over the medium term.
Multi-brand, Diversified Hospitality ModelA multi-brand portfolio and diversified services (rooms, F&B, banquets, management and property-related income) create multiple revenue streams and market segments. This structural diversification supports resilience across leisure/business cycles and enables cross-selling and fee-based growth.
Bears Say
Elevated LeverageHigh and rising leverage constrains financial flexibility, increasing interest and refinancing risk. With a large debt stock relative to equity, the company has reduced capacity to fund capex or cushion demand shocks, which can compress net margins and limit strategic optionality.
Weak Cash Conversion & FCF VolatilityOperating profits are not translating strongly into cash: low cash conversion and volatile free cash flow limit ability to deleverage, sustain dividends, or invest in assets. Persistent cash-flow weakness heightens refinancing and liquidity risk over the medium term.
Low ROE & Falling Net MarginsDeclining net margins and very low ROE indicate the asset-heavy model is delivering limited returns to shareholders. This structural earnings weakness reduces the firm's ability to generate excess capital and raises the bar for operational improvements to meaningfully boost shareholder value.
Shangri-La Asia News
SHALF FAQ
What was Shangri-La Asia Limited’s price range in the past 12 months?
Shangri-La Asia Limited lowest stock price was $0.46 and its highest was $0.72 in the past 12 months.
What is Shangri-La Asia Limited’s market cap?
Shangri-La Asia Limited’s market cap is $1.89B.
When is Shangri-La Asia Limited’s upcoming earnings report date?
Shangri-La Asia Limited’s upcoming earnings report date is Aug 21, 2026 which is in 16 days.
How were Shangri-La Asia Limited’s earnings last quarter?
Currently, no data Available
Is Shangri-La Asia Limited overvalued?
According to Wall Street analysts Shangri-La Asia Limited’s price is currently Overvalued.
Does Shangri-La Asia Limited pay dividends?
Shangri-La Asia Limited pays a Semiannually dividend of $0.013 which represents an annual dividend yield of 3.47%. See more information on Shangri-La Asia Limited dividends here
What is Shangri-La Asia Limited’s EPS estimate?
Shangri-La Asia Limited’s EPS estimate is 0.03.
How many shares outstanding does Shangri-La Asia Limited have?
Shangri-La Asia Limited has 3,591,116,200 shares outstanding.
What happened to Shangri-La Asia Limited’s price movement after its last earnings report?
Currently, no data Available
Which hedge fund is a major shareholder of Shangri-La Asia Limited?
Currently, no hedge funds are holding shares in SHALF
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
Shangri-La Asia Stock Smart Score
Neutral
1
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3
4
5
6
7
8
9
10
Technicals
SMA
Negative
20 days / 200 days
Momentum
-24.64%
12-Months-Change
Fundamentals
Return on Equity
3.47%
Trailing 12-Months
Asset Growth
6.88%
Trailing 12-Months
Company Description
Shangri-La Asia Limited
Shangri-La Asia Limited functions as a global hospitality and real estate conglomerate, primarily focusing on the development, ownership, leasing, management, and operation of hotels and related properties across the world. Its business activities are structured into four main divisions: Hotel Properties, Hotel Management and Associated Services, Investment Properties, and Property Development for Sale. Beyond its extensive hotel network, the company also engages in developing and operating commercial offices, retail spaces, serviced apartments, various restaurants, and amusement parks. Additionally, Shangri-La is involved in direct hotel ownership, property leasing and sales, general property investments, and the trading of wines. The company manages a wide array of renowned brands, including Shangri-La Hotels and Resorts, Kerry Hotels, JEN by Shangri-La, Traders Hotel, Rasa, Summer Palace, Shang Palace, and its spa brand, CHI, The Spa at Shangri-La. As of December 31, 2021, its portfolio included equity interests in 80 active hotels and 3 hotels operated under lease agreements, collectively offering 35,154 rooms. Established in 1971, Shangri-La Asia Limited maintains its headquarters in Quarry Bay, Hong Kong.
Technical Analysis
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Regal Hotels International Holdings Limited
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Ownership Overview
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Insiders
5.99% Mutual Funds
0.21% Other Institutional Investors
92.59% Public Companies and
Individual Investors




