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Shangri-La Asia Limited (SHALF)
OTHER OTC:SHALF

Shangri-La Asia (SHALF) Stock Statistics & Valuation Metrics

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Total Valuation

Shangri-La Asia has a market cap or net worth of $1.76B. The enterprise value is $57.71K.
Market Cap$1.76B
Enterprise Value$57.71K

Share Statistics

Shangri-La Asia has 3,591,116,200 shares outstanding. The number of shares has decreased by -2.65% in one year.
Shares Outstanding3,591,116,200
Owned by Insiders
Owned by Institutions0.21%

Financial Efficiency

Shangri-La Asia’s return on equity (ROE) is 0.02 and return on invested capital (ROIC) is 1.48%.
Return on Equity (ROE)0.02
Return on Assets (ROA)<0.01
Return on Invested Capital (ROIC)1.48%
Return on Capital Employed (ROCE)0.03
Revenue Per Employee90.08K
Profits Per Employee9.04K
Employee Count24,800
Asset Turnover0.15
Inventory Turnover12.87

Valuation Ratios

The current PE Ratio of Shangri-La Asia is 12.2. Shangri-La Asia’s PEG ratio is -0.64.
PE Ratio12.2
PS Ratio0.98
PB Ratio0.41
Price to Fair Value0.41
Price to FCF23.85
Price to Operating Cash Flow4.98
PEG Ratio-0.64

Income Statement

In the last 12 months, Shangri-La Asia had revenue of 2.23B and earned 112.29M in profits. Earnings per share was 0.03.
Revenue2.23B
Gross Profit1.25B
Operating Income334.88M
Pretax Income224.19M
Net Income112.29M
EBITDA462.25M
Earnings Per Share (EPS)0.03

Cash Flow

In the last 12 months, operating cash flow was 350.56M and capital expenditures -33.52M, giving a free cash flow of 317.04M billion.
Operating Cash Flow350.56M
Free Cash Flow317.04M
Free Cash Flow per Share0.09

Dividends & Yields

Shangri-La Asia pays an annual dividend of $0.006, resulting in a dividend yield of 3.74%
Dividend Per Share$0.006
Dividend Yield3.74%
Payout Ratio47.64%
Free Cash Flow Yield
Earnings Yield

Stock Price Statistics

Beta0.15
52-Week Price Change-5.62%
50-Day Moving Average0.52
200-Day Moving Average0.56
Relative Strength Index (RSI)32.59
Average Volume (3m)0.00

Important Dates

Shangri-La Asia upcoming earnings date is Nov 9, 2026, TBA (Confirmed).
Last Earnings DateAug 27, 2026
Next Earnings DateNov 9, 2026
Ex-Dividend Date

Financial Position

Shangri-La Asia as a current ratio of 1.86, with Debt / Equity ratio of 149.09%
Current Ratio1.86
Quick Ratio1.81
Debt to Market Cap3.13
Net Debt to EBITDA11.61
Interest Coverage Ratio1.01

Taxes

In the past 12 months, Shangri-La Asia has paid 89.67M in taxes.
Income Tax89.67M
Effective Tax Rate0.40

Enterprise Valuation

Shangri-La Asia EV to EBITDA ratio is 16.35, with an EV/FCF ratio of 82.31.
EV to Sales3.38
EV to EBITDA16.35
EV to Free Cash Flow82.31
EV to Operating Cash Flow47.39

Balance Sheet

Shangri-La Asia has $2.74B in cash and marketable securities with $7.99B in debt, giving a net cash position of -$5.25B billion.
Cash & Marketable Securities$2.74B
Total Debt$7.99B
Net Cash-$5.25B
Net Cash Per Share-$1.46
Tangible Book Value Per Share$1.32

Margins

Gross margin is 56.22%, with operating margin of 14.99%, and net profit margin of 5.03%.
Gross Margin56.22%
Operating Margin14.99%
Pretax Margin10.03%
Net Profit Margin5.03%
EBITDA Margin20.69%
EBIT Margin12.12%

Analyst Forecast

The average price target for Shangri-La Asia is $0.66, which is 11.43% higher than the current price. The consensus rating is Moderate Buy
Price Target$0.66
Price Target Upside26.24% Upside
Analyst ConsensusModerate Buy
Analyst Count2
Revenue Growth Forecast5.00%
EPS Growth Forecast14.81%

Scores

Smart Score5
AI Score