Quote | Super Quote
06969 SMOORE INTL
6.820 +0.110 (+1.639%) High
6.970
Share Tr
6.787M
Prev Close
6.710
1 Month High
7.460
MKT Cap
42.043B
Low
6.700
Turnover
46.541M
Open
6.710
1 Month Low
6.390
Short Sell (26/04)
833,220
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Active Buy(am/pm) Active Sell(am/pm)
  • Today
  • 32%
    33%
    11%
    24%
  • Block Trade
  • 100%
Transacted Price HKD AMS Non-AMS
  • 6.880
  • 591K
  • 0
  • 6.870
  • 696K
  • 0
  • 6.860
  • 991K
  • 0
  • 6.850
  • 1,005K
  • 0
  • 6.840
  • 795K
  • 0
  • Bid #
  • 6.840
  • 10-D SMA
  • 6.815
  • Ask #
  • 6.850
  • 20-D SMA
  • 6.858
  • No of Tr
  • 814
  • 50-D SMA
  • 6.268
  • Amount/T
  • 55,245
  • 100-D SMA
  • 6.078
  • VWAP
  • 6.858
  • 250-D SMA
  • 7.026
  • Currency
  • HKD
  • 52-W High
  • 9.180
  • BoardLot
  • 1000
  • 52-W Low
  • 4.610
  • Admission Fee
  • 6,820
  • 14-D RSI
  • 50.430
  • Spread
  • 0.010/0.010
  • 10-D R. of Returni
  • -3.112%
  • P/E Ratio/Est.
  • 23.014/22.200
  • Rate of Riski
  • 1.093%
  • % Yld/Est.
  • 1.460/1.609
  • Risk Return Ratei
  • -2.847
  • EPS
  • RMB 0.270
  • Betai
  • +1.318
  • DPS
  • RMB 0.091
  • Listing Date
  • 10/07/2020
  • NBV Per Share
  • RMB 3.488
  • Listing Price
  • 12.400
  • POS/CAS Elig.i
  • Y/Y
  • VCM Elig.i
  • Y
Bull/Bear Ratio
Not Applicable
Call/Bull Put/Bear
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  • 26/04
  • *122,000
  • *3.281%
  • 25/04
  • 505,000
  • 8.704%
  • 24/04
  • 356,000
  • 8.376%
  • 23/04
  • 517,000
  • 12.414%
  • 22/04
  • 679,000
  • 13.375%
     
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23
     
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26
Mainboard Short Sell(26/04) *10.911B(17.712%)
Data updated on 26/04/2024 12:25
* Half-day data
Dividend Records 18/03/2024
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Fin Div HKD 0.05
Ex-date: 30/05/2024
Payable Date:17/06/2024
Last Updated: 26/04/2024 15:00
# Bid and Ask are 15-min delayed.
Code Name   Nominal Change %Change PE P/E Range# Amount/T*
06969SMOORE INTLup6.850+0.140+2.086%23.014PE
55,245
00669TECHTRONIC INDup108.900+2.400+2.254%26.066PE
401,624
06690HAIER SMARTHOMEup27.000+0.550+2.079%13.688PE
110,217
00921HISENSE HAup30.950+1.150+3.859%13.503PE
137,538
01070TCL ELECTRONICSup5.040+0.010+0.199%16.444PE
43,787
02285CHERVONup20.300+0.900+4.639% 
14,950
00751SKYWORTH GROUPup3.170+0.030+0.955%6.667PE
46,733
01691JS GLOBAL LIFEup1.470+0.010+0.685%4.941PE
10,290
02148VESYNCup4.400+0.070+1.617%8.121PE
52,020
00186NIMBLE HOLDINGSunchange0.2600.0000.000% 
00493GOME RETAILdown0.028-0.001-3.448% 
29,984
Remark:  * Amount/T indicates the turnover per each transaction.
  # P/E Range is the comparison of P/E of that stock with the industry, left hand side indicating lower P/E and getting larger towards the right hand side.
  Index bar's Local indice is real time, last updated: 26/04/2024 15:00
  Index bar's Shanghai (Securities) Composite Indice is real time, last updated: 26/04/2024 15:01
  Index bar's Futures are real time updated. Last updated: 26/04/2024 15:00
  The calculation of Industry Price Up/Down Ratio, Call/Put Ratio and Bull/Bear Ratio are based on at least 15-min Delayed turnover.
  All Quote data displayed without real time indication of "RT" is at least 15-min delayed.
  Issue price is not adjusted for dividend, bonus issue, ex-rights or any corporate actions.
  Real time quote last updated: 26/04/2024 15:00
  Real-time basic market prices of Hong Kong securities are provided by HKEx; a Designated Website authorized by the HKEx Group to provide the Service
 
Price Up Stocks
Price Down Stocks
No change
Idle Stocks
Code Name   Nominal Turnover
00700TENCENTup348.0008.227B
02800TRACKER FUNDup17.9305.917B
03690MEITUAN-Wup116.0005.449B
09988BABA-SWup75.3504.528B
02828HSCEI ETFup63.5804.280B
Real time quote last updated: 26/04/2024 15:00
%Gainers More 更多 %Gainers
Code Name   Nominal %Change
00960LONGFOR GROUPup10.900+11.224%
00688CHINA OVERSEASup14.020+8.682%
06618JD HEALTHup26.600+7.258%
02382SUNNY OPTICALup38.000+7.042%
02331LI NINGup21.250+6.784%
%Losers More 更多 %Losers
Code Name   Nominal %Change
01099SINOPHARMdown21.550-0.920%
00836CHINA RES POWERdown19.700-0.605%
00003HK & CHINA GASdown5.990-0.498%
Last updated: 26/04/2024 14:45
%Gainers More 更多 %Gainers
Code Name   Nominal %Change
00020SENSETIME-Wup1.100+32.530%
00960LONGFOR GROUPup10.900+11.224%
09868XPENG-Wup30.450+9.336%
00688CHINA OVERSEASup14.020+8.682%
06618JD HEALTHup26.600+7.258%
%Losers More 更多 %Losers
Code Name   Nominal %Change
01658PSBCdown4.050-1.220%
01288ABCdown3.540-0.282%
03328BANKCOMMdown5.430-0.184%
Last updated: 26/04/2024 14:45
Profit / (Loss) Attributable to Shareholders (K¥)RMB 1,645,090
%Change-34.467%
EPS / (LPS)RMB 0.270
NBV Per Share (¥)RMB 3.488
Hold

Ranking based on 5 research report(s)

Broker Ranking EPS/
(LPS) (RMB (cts))
DPS (RMB (cts))
DAIWAOutPerform29.2010.20
CICCOutPerform28.0012.00
UBSNeutral28.006.00
CITIC SECBuy27.000.00
BANK OF AMERICAUnderPerform27.909.80
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計算以10天持有時間為限的回報率。數值愈大,回報愈高;數值愈小,回報愈低。正數表示盈餘,負數表示虧損。
風險率乃指標準差(以過往一年數據為計算基礎),作為量度投資回報穩定性的指標。標準差數值愈大,代表回報遠離過去平均數值,即較不穩定,故風險愈高。相反,標準差數值愈小,代表回報較為穩定,風險亦較低。
回報/風險比率乃10天回報率與風險率相除計算所得。數值大於1,表示波動性較過往一年為高;數值少於1,即波動性較過往一年為低。正數表示向上動力,負數則指向下動力。
啤打系數用於顯示股價相對整體市場的波動性。如數值大於1,意即波動性較市場為大,相反如數值少於1,意即波動性較市場為小。簡言之,數值愈大,風險愈高;數值愈小,風險愈低。
During 09:00 to 09:30 of POS,
- 1st stage: orders could be placed within the ±15% of prev. close
- 2nd stage: orders would further be restricted by upper/lower price limits recorded at the end of Order Input Period.

During 16:00 to 16:10 of CAS,
- Orders could be placed within the ±5% of ref. price and between lowest ask and highest bid.
VCM is triggered if a stock/futures contract (covered under VCM) is far away from the last traded price 5-min ago. A 5-min cooling-off period will start to allow trading within the band. Normal trading will resume afterwards. More Info: click here