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AMTD DigitalHKD

NYSE
US$1,57-1.30%

Analisis AI Multi-Horison

Jangka pendekkepercayaan 55%
Bearish

Intraday collapse from $5.47 high to $1.26 low; MACD bearish crossover and price below EMA-26/SMA-50; low volume suggests fragile bounce.

Jangka menengahkepercayaan 60%
Bearish

Operating margin collapse and 61% dilution outweigh revenue surge; current ratio improved but cash declining; technicals confirm medium-term weakness.

Jangka panjangkepercayaan 65%
Bearish

Operating margin collapsed from 181% to 0.8% while FCF remains modest; 61% dilution and cash burn signal structural weakness despite revenue growth.

Pandangan AI Keseluruhankepercayaan 65%
Bearish

Revenue exploded 566% but operating margin collapsed to 0.8% while dilution hit 61%; technicals show bearish MACD crossover and price below key EMAs; cash declining despite asset growth.

Analisis Fundamental AI Mendetail

Analisis ini awalnya ditulis dalam Inggris. Belum ada versi Indonesia yang ter-cache — luncurkan analisis langsung di atas untuk menghasilkannya.

Business Snapshot

  • AMTD Digital Inc. (HKD) is a holding company listed via American Depositary Receipts (ADRs), with each ADR representing 2/5 of a Class A Ordinary Share. The company is incorporated in the Cayman Islands and operates primarily in the digital financial services and technology sectors in Asia.
  • The ADRC structure (ADR with a ratio of 5:2) means the ADR price does not directly equal the underlying share price, and liquidity can be thinner than a standard common stock.
  • The company has a volatile history since its July 2022 IPO, with extreme price swings. The current price of $1.61 is near the session low of $1.26, reflecting significant intraday and recent volatility.
  • No specific sector or industry classification is provided, but based on financials, it appears to be a growth-stage entity with a mix of digital services, investment, and potentially fintech operations.

Financial Trends

  • Revenue: Massive acceleration. Revenue surged from $20.4M (FY2024) to $136.1M (FY2025), a 566% increase. This is a dramatic inflection compared to the prior decline from $48.5M (Apr 2023) to $20.4M (Oct 2023). The latest period shows a clear reversal of the downtrend.
  • Operating Income: Volatile and non-linear. Operating income swung from $37.0M (FY2024) down to $1.1M (FY2025), a 97% decline. This is a sharp deceleration, suggesting the revenue growth came with significant cost increases or one-time charges.
  • Net Income: Up 133% from $41.7M (FY2024) to $97.0M (FY2025). However, net income margin fell from 203.8% to 71.3%, indicating that while net income grew, it did not keep pace with the revenue explosion. The prior period's margin >100% suggests non-operating gains (e.g., investment income) were a major factor.
  • Free Cash Flow (FCF): FCF improved from $4.1M (FY2024) to $14.3M (FY2025), a 250% increase. This is a positive trend, but the absolute level remains modest relative to the $136M revenue base.
  • Balance Sheet: Total assets more than doubled from $502.9M (FY2024) to $955.4M (FY2025), driven by a surge in current assets ($84.6M to $321.4M). However, liabilities also increased, with total liabilities rising from $344.2M to $351.7M. Shareholders' equity jumped from $18.5M to $263.6M—a massive 1,327% increase—likely due to a capital raise or revaluation.
  • Cash & Equivalents: Decreased from $60.9M (FY2024) to $46.4M (FY2025), a 24% decline, despite the large increase in total assets. This suggests the asset growth came from non-cash items (e.g., receivables, investments).
  • Diluted Shares Outstanding: Increased from 76.8M (FY2024) to 123.8M (FY2025), a 61% dilution. This partially explains why EPS fell from $0.58 to $0.44 despite net income growth.

Financial Health

  • The latest period (FY2025) shows a company in transition: revenue is exploding, but operating margins are collapsing (from 181% to 0.8%). This implies the revenue growth may be from a low-margin or one-time business line, or costs are spiraling.
  • The balance sheet is stronger than the prior period, with a current ratio of 1.92 (up from 0.52) and positive working capital of $154M. This is a healthy liquidity position, reversing the prior period's negative working capital.
  • However, the massive dilution (61% increase in shares) and declining cash position are red flags. The company is burning cash from investing activities ($31.1M outflow) while financing activities provided only $2.3M. This suggests reliance on equity issuance to fund operations.
  • The debt/equity ratio is not reported, but given the equity surge, leverage appears low. The lack of retained earnings data for the latest period is a notable gap—this would indicate cumulative profitability.

Insider Activity

  • No insider filings found in the specified period (2026-04-19 to 2026-07-18). This means no insider transactions or sentiment data is available for the last 90 days.
  • The absence of insider activity is neutral but could indicate a lack of confidence or simply that insiders are not trading. For a volatile ADR like HKD, insider buying would be a strong bullish signal, while selling would be bearish. None of that is present here.

Multi-Timeframe Technical Context

  • 1D timeframe: The stock closed at $1.61, down 14.36% from the open of $1.88. The session range was extreme: high of $5.47, low of $1.26—a 334% intraday spread. This suggests extreme volatility and potential manipulation or news-driven moves.
  • RSI: 14-period RSI at 52.63 is neutral (not overbought/oversold). 21-period RSI at 44.26 is mildly bearish. No clear momentum signal.
  • Moving Averages: Price ($1.61) is slightly above the EMA-12 ($1.59) and SMA-20 ($1.59), but below the EMA-26 ($1.61), EMA-50 ($1.64), and SMA-50 ($1.67). This indicates short-term support but medium-term resistance. The SMA-200 is at $1.61, exactly at the current price—a key level.
  • Bollinger Bands: Price is near the middle band ($1.59), with upper band at $1.70 and lower band at $1.49. The bands are relatively tight (width ~$0.21), suggesting low volatility on a closing basis, but the intraday range contradicts this.
  • Volume: Current volume (89,863) is below the 20-day SMA (148,708), indicating lower-than-average participation. This could mean the recent price action is driven by a few large trades rather than broad interest.
  • MACD: MACD (-0.0228) is below the signal line (-0.0331), a bearish crossover. The histogram is negative but shallow, indicating weak downward momentum.

Bull / Bear Cases

Short-Term (Minutes to Hours):

  • Bull: The stock bounced from the session low of $1.26 and closed near $1.61. If this represents a reversal from the intraday panic, a move back toward $1.70 (upper BB) or $1.88 (previous open) is possible. Low volume could allow for sharp moves.
  • Bear: The bearish MACD crossover, declining RSI, and price below key EMAs suggest continued weakness. The extreme intraday range (high $5.47) could indicate a failed breakout, trapping buyers. A break below $1.49 (lower BB) could accelerate selling toward $1.26.

Long-Term (Weeks to Months):

  • Bull: Revenue growth of 566% year-over-year, positive FCF, and a strengthened balance sheet (current ratio >1.9) provide a fundamental base. If the revenue is sustainable and margins improve, the stock could re-rate higher. The massive equity increase suggests potential for acquisitions or investment.
  • Bear: The operating margin collapse to near zero, 61% dilution, and declining cash reserves are warning signs. The revenue surge may be non-recurring (e.g., asset sales, one-time contracts). Without margin improvement, the company is burning cash. The ADR structure and thin volume amplify downside risk.

Key Levels & Triggers

  • Support: $1.49 (Bollinger lower band), $1.26 (session low), $1.00 (psychological level).
  • Resistance: $1.67 (SMA-50), $1.70 (BB upper band), $1.88 (prior day open), $5.47 (session high—a massive gap).
  • Volume Trigger: A volume spike above the 20-day average (148,708) with a close above $1.70 would be a bullish confirmation. Conversely, a volume spike with a break below $1.49 would signal further downside.
  • Fundamental Triggers: Any SEC filing (e.g., 6-K, earnings release) that clarifies the revenue source or margin trajectory. A share buyback announcement would be a strong positive signal given the dilution.
  • Technical Trigger: The SMA-200 at $1.61 is a critical pivot. A sustained close above it could attract buyers, while a close below it would reinforce bearish momentum.

Data Keuangan

Dari SEC EDGAR · Periode laporan 2025-10-31 · Formulir sumber 20-F

Laporan Laba Rugi · 4 Periode Terakhir

 
2025-10-31
20-F
2024-10-31
20-F
2023-10-31
20-F
2023-04-30
20-F
Pendapatan$136.10M$20.45M$24.95M$48.45M
Laba Operasi$1.12M$37.00M$14.34M$153.0K
Laba Bersih$96.99M$41.67M$30.79M$40.81M
Laba per Saham (Terbagi)$0.44$0.58$0.42$0.57
Margin Operasi0.82%180.97%57.48%0.32%
Margin Bersih71.27%203.84%123.38%84.23%

Neraca · 4 Periode Terakhir

 
2025-10-31
20-F
2024-10-31
20-F
2023-10-31
20-F
2023-04-30
20-F/A
Total Aset$955.36M$502.93M$537.50M$483.61M
Total Kewajiban$351.70M$344.17M$159.30M$140.57M
Ekuitas Pemegang Saham$263.64M$18.47M$386.96M$337.18M
Kas dan Setara Kas$46.36M$60.86M$134.84M$152.93M
Rasio Lancar1.920.522.832.29

Laporan Arus Kas · 4 Periode Terakhir

 
2025-10-31
20-F
2024-10-31
20-F
2023-10-31
20-F
2023-04-30
20-F
Arus Kas dari Aktivitas Operasi$14.39M$4.25M$21.36M$15.50M
Arus Kas dari Aktivitas Investasi-$31.14M-$75.53M-$35.99M-$119.49M
Arus Kas dari Aktivitas Pendanaan$2.27M-$35.81M-$3.97M$243.46M
Belanja Modal$60.0K$159.0K$17.0K$2.0K
Arus Kas Bebas$14.33M$4.09M$21.34M$15.50M

Laporan Laba Rugi

Pendapatan
$136.10M
Laba Kotor
Laba Operasi
$1.12M
Laba Bersih
$96.99M
Laba per Saham (Dasar)
$0.44
Laba per Saham (Terbagi)
$0.44

Neraca

Total Aset
$955.36M
Total Kewajiban
$351.70M
Ekuitas Pemegang Saham
$263.64M
Kas dan Setara Kas
$46.36M
Utang Jangka Panjang
Saham Beredar

Laporan Arus Kas

Arus Kas dari Aktivitas Operasi
$14.39M
Arus Kas dari Aktivitas Investasi
-$31.14M
Arus Kas dari Aktivitas Pendanaan
$2.27M
Belanja Modal
$60.0K
Arus Kas Bebas
$14.33M

Rasio Kunci

Margin Kotor
Margin Operasi
0.82%
Margin Bersih
71.27%
Rasio Lancar
1.92
Rasio Utang terhadap Ekuitas
Arus Kas Bebas
$14.33M

Statistik Utama

$543.70MKapitalisasi pasar
US$5,47Tinggi 52 Minggu
US$1,26Rendah 52 Minggu
234.510Rata-rata Volume 30 Hari

166 karyawan314.28M saham beredartercatat sejak 2022-07-15

Tentang AMTD Digital

AMTD Digital Inc beserta anak perusahaannya, utamanya bergerak dalam penyediaan layanan solusi digital. Segmen yang dilaporkan meliputi segmen layanan solusi digital; segmen operasional hotel, perhotelan, dan layanan VIP; segmen layanan media dan hiburan; serta Investasi Strategis. Perusahaan menghasilkan pendapatan maksimum dari segmen Layanan Solusi Digital, yang menyediakan akses eksklusif berbayar kepada klien institusional dan korporatnya untuk meningkatkan komunikasi investor, hubungan investor, dan komunikasi korporat guna memaksimalkan valuasi mereka, serta menyediakan layanan solusi digital. Secara geografis, perusahaan menghasilkan pendapatan dari Tiongkok, Hong Kong, Eropa, Amerika, dan Asia Tenggara.

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