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Shangri-La Asia (SHALY)
OTHER OTC:SHALY
US Market
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Shangri-La Asia (SHALY) Price & Analysis

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SHALY Stock Chart & Stats

$12.04
$0.10(0.81%)
At close: 4:00 PM EST
$12.04
$0.10(0.81%)

Bulls Say, Bears Say

Bulls Say
High Gross MarginsSustained ~56% gross margins indicate durable unit economics for hotel operations, reflecting pricing power on room rates and F&B. High gross margins provide a structural buffer versus cyclical revenue swings, supporting profitability and reinvestment capacity over the medium term.
Return To Profitability And Steady RevenueRe-establishing positive net income after pandemic losses and achieving low but consistent revenue growth demonstrates operational recovery and market demand normalization. This improves ability to service obligations and execute strategic plans over the next several quarters.
Diversified Premium Brand And Revenue MixA multi-brand portfolio across premium and upscale segments plus multiple revenue streams (rooms, F&B, MICE, management fees) creates structural diversification. This spreads demand risk across customer segments and geographies and supports recurring fee income as management contracts scale.
Bears Say
Rising LeverageA rising debt-to-equity (~1.43) increases financial risk in a cyclical lodging industry, reducing flexibility to weather demand shocks and limiting capital allocation options. Higher leverage raises interest and refinancing exposure over the medium term, pressuring cash available for growth or dividends.
Weaker Cash Conversion In 2025A sharp drop in OCF and FCF in 2025 signals deteriorating cash conversion efficiency. Lower free cash flow constrains reinvestment, debt repayment and shareholder returns, and raises the chance management must curb capex or seek external funding if the trend persists.
Earnings Margin CompressionFalling net margins despite steady revenue suggest rising below-the-line costs or volatile non-operating items. Margin compression reduces retained earnings and returns on capital, weakening the company's ability to build reserves and invest in brand or asset upgrades over the medium term.

SHALY FAQ

What was Shangri-La Asia’s price range in the past 12 months?
Shangri-La Asia lowest stock price was $10.24 and its highest was $13.71 in the past 12 months.
    What is Shangri-La Asia’s market cap?
    Shangri-La Asia’s market cap is $1.84B.
      When is Shangri-La Asia’s upcoming earnings report date?
      Shangri-La Asia’s upcoming earnings report date is Aug 21, 2026 which is in 66 days.
        How were Shangri-La Asia’s earnings last quarter?
        Currently, no data Available
        Is Shangri-La Asia overvalued?
        According to Wall Street analysts Shangri-La Asia’s price is currently Overvalued. Get more investment ideas with TipRanks Premium
          Does Shangri-La Asia pay dividends?
          Shangri-La Asia pays a Quarterly dividend of $0.256 which represents an annual dividend yield of 3.19%. See more information on Shangri-La Asia dividends here
            What is Shangri-La Asia’s EPS estimate?
            Shangri-La Asia’s EPS estimate is 0.6.
              How many shares outstanding does Shangri-La Asia have?
              Shangri-La Asia has 179,555,800 shares outstanding.
                What happened to Shangri-La Asia’s price movement after its last earnings report?
                Currently, no data Available
                Which hedge fund is a major shareholder of Shangri-La Asia?
                Currently, no hedge funds are holding shares in SHALY
                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

                  3
                  Underperform
                  1
                  2
                  3
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                  6
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                  8
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                  10

                  Technicals

                  SMA
                  Positive
                  20 days / 200 days
                  Momentum
                  -18.97%
                  12-Months-Change

                  Fundamentals

                  Return on Equity
                  2.12%
                  Trailing 12-Months
                  Asset Growth
                  6.88%
                  Trailing 12-Months

                  Company Description

                  Shangri-La Asia

                  Shangri-La Asia Limited operates as a global investment holding company, specializing in the hospitality and real estate industries. Its primary activities encompass the worldwide development, acquisition, leasing, operation, and management of hotels and associated properties. The company structures its operations into four main divisions: Hotel Properties, Hotel Management and Related Services, Investment Properties, and Property Development for Sale. In addition to its hotel ventures, Shangri-La Asia Limited also develops, owns, and manages various commercial assets, including office buildings and serviced residences, and oversees the operation of restaurants and amusement parks. Its diversified interests further include property investment and wine distribution. Shangri-La's extensive hotel portfolio features a range of well-known brands such as Shangri-La Hotels and Resorts, Kerry Hotels, JEN by Shangri-La, Traders Hotel, Rasa, Summer Palace, and Shang Palace, alongside the wellness brand CHI, The Spa at Shangri-La. By the close of 2021 (December 31st), the company held equity interests in 80 active hotels and managed an additional 3 hotels under operating leases, bringing its total room count to 35,154. Established in 1971, Shangri-La Asia Limited is headquartered in Quarry Bay, Hong Kong.

                  Shangri-La Asia (SHALY) Earnings & Revenues

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                  Ownership Overview

                  0.01%99.99%
                  Insiders
                  Mutual Funds
                  0.01% Other Institutional Investors
                  99.99% Public Companies and
                  Individual Investors

                  Options Prices

                  Currently, No data available
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