MarketIQ Analyst Report for Top Wealth Group Holding Limited Ordinary Shares

UNITS 714 & 715, HONG KONG PLAZA, HONG KONG, HK
TWG

Last Updated: 15 Oct 2024

Executive Summary

Top Wealth Group Holding Limited (TWG) is a publicly traded company on the NASDAQ exchange that specializes in the production and distribution of caviar and caviar-based gourmet products. The company has a market capitalization of $29.725 million and a trailing price-to-earnings (PE) ratio of 12.81. TWG's latest stock price is $4.60.

Company Overview

TWG was founded in 2004 and is headquartered in Hong Kong. The company's products are sold in Hong Kong and internationally. TWG's caviar is sourced from sturgeon fish that are raised in the Caspian Sea. The company's caviar is known for its high quality and is sold to a variety of customers, including restaurants, hotels, and retailers.

Fundamental Analysis

TWG's financial performance has been mixed in recent years. The company's revenue has grown in recent years, but its profitability has declined. In the past year, TWG's revenue increased by 1.07%, but its diluted EPS decreased by 0.865%. TWG's gross profit margin is 0%, and its operating margin is 12.3%. The company's return on assets (ROA) is 35.3%, and its return on equity (ROE) is 65.3%.

Technical Analysis

TWG's stock price has been in a downtrend in recent months. The stock's 52-week high is $8.60, and its 52-week low is $0.00. The stock's 50-day moving average is $0.841, and its 200-day moving average is $1.02.

Short Term Outlook

TWG's stock price is likely to continue to decline in the short term. The stock's technical indicators are bearish, and the company's financial performance has been mixed.

Long Term Outlook

TWG's long-term outlook is uncertain. The company's caviar is high-quality, but the company faces competition from other caviar producers. TWG's financial performance has been mixed in recent years, and the company's stock price has been in a downtrend.

Analyst Recommendations

Analysts are mixed on TWG's stock. Some analysts believe that the stock is undervalued and that it has the potential to rebound. Other analysts believe that the stock is overvalued and that it is likely to continue to decline.