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AMTD DigitalHKD

NYSE
1,57 $-1.30%

AI многогоризонтный анализ

Короткий срокуверенность 55%
Медвежий

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.

Средний срокуверенность 60%
Медвежий

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

Долгий срокуверенность 65%
Медвежий

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

Общий ИИ-взглядуверенность 65%
Медвежий

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.

Подробный фундаментальный ИИ-анализ

Этот анализ изначально был написан на английский. Кэшированной версии на русский ещё нет — запустите живой анализ выше, чтобы сгенерировать.

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.

Финансовые данные

Из SEC EDGAR · Период отчета 2025-10-31 · Форма источника 20-F

Отчет о прибылях и убытках · Последние 4 периода

 
2025-10-31
20-F
2024-10-31
20-F
2023-10-31
20-F
2023-04-30
20-F
Выручка$136.10M$20.45M$24.95M$48.45M
Операционная прибыль$1.12M$37.00M$14.34M$153.0K
Чистая прибыль$96.99M$41.67M$30.79M$40.81M
Прибыль на акцию (разводненная)$0.44$0.58$0.42$0.57
Операционная маржа0.82%180.97%57.48%0.32%
Чистая маржа71.27%203.84%123.38%84.23%

Баланс · Последние 4 периода

 
2025-10-31
20-F
2024-10-31
20-F
2023-10-31
20-F
2023-04-30
20-F/A
Всего активов$955.36M$502.93M$537.50M$483.61M
Всего обязательств$351.70M$344.17M$159.30M$140.57M
Капитал акционеров$263.64M$18.47M$386.96M$337.18M
Денежные средства и эквиваленты$46.36M$60.86M$134.84M$152.93M
Коэффициент текущей ликвидности1.920.522.832.29

Отчет о движении денежных средств · Последние 4 периода

 
2025-10-31
20-F
2024-10-31
20-F
2023-10-31
20-F
2023-04-30
20-F
Денежные потоки от операционной деятельности$14.39M$4.25M$21.36M$15.50M
Денежные потоки от инвестиционной деятельности-$31.14M-$75.53M-$35.99M-$119.49M
Денежные потоки от финансовой деятельности$2.27M-$35.81M-$3.97M$243.46M
Капитальные расходы$60.0K$159.0K$17.0K$2.0K
Свободный денежный поток$14.33M$4.09M$21.34M$15.50M

Отчет о прибылях и убытках

Выручка
$136.10M
Валовая прибыль
Операционная прибыль
$1.12M
Чистая прибыль
$96.99M
Прибыль на акцию (базовая)
$0.44
Прибыль на акцию (разводненная)
$0.44

Баланс

Всего активов
$955.36M
Всего обязательств
$351.70M
Капитал акционеров
$263.64M
Денежные средства и эквиваленты
$46.36M
Долгосрочные обязательства
Выпущенные акции

Отчет о движении денежных средств

Денежные потоки от операционной деятельности
$14.39M
Денежные потоки от инвестиционной деятельности
-$31.14M
Денежные потоки от финансовой деятельности
$2.27M
Капитальные расходы
$60.0K
Свободный денежный поток
$14.33M

Ключевые коэффициенты

Валовая маржа
Операционная маржа
0.82%
Чистая маржа
71.27%
Коэффициент текущей ликвидности
1.92
Коэффициент задолженности (долг/капитал)
Свободный денежный поток
$14.33M

Ключевые показатели

$543.70MКапитализация
5,47 $52-недельный максимум
1,26 $52-недельный минимум
234 510Средний объем за 30 дней

166 сотрудники314.28M акции в обращениилистинг с 2022-07-15

О AMTD Digital

AMTD Digital Inc вместе со своими дочерними компаниями в основном занимается предоставлением услуг цифровых решений. Отчетные сегменты компании включают: сегмент услуг цифровых решений; сегмент гостиничного бизнеса, гостеприимства и VIP-услуг; сегмент медиа и развлекательных услуг; и стратегические инвестиции. Максимальный доход компания получает от сегмента услуг цифровых решений, который предоставляет своим институциональным и корпоративным клиентам эксклюзивный платный доступ для улучшения их коммуникаций с инвесторами, отношений с инвесторами и корпоративных коммуникаций с целью потенциального увеличения их оценки, а также предоставляет услуги цифровых решений. Географически компания получает доход из Китая, Гонконга, Европы, Америки и Юго-Восточной Азии.

Недавние ИИ-анализы SimianX

  • intelligenceуверенность 65%

    No ticker-specific catalysts for HKD; macro caution creates a neutral-to-slightly bearish tilt for this high-risk ADR.

  • indicatorМедвежий

    Daily price holds $1.61 after gap-down and pin-bar rejection but sits below key EMAs and SMAs with below-average volume.

  • intelligenceуверенность 75%

    Net bearish macro-driven signal for HKD amid broad risk-off flows and tech selloff, with no company-specific news.

  • indicatorМедвежий

    Daily price remains below key EMAs with bearish EMA alignment despite a minor MACD crossover and low-volume pin bar.

Последние новости

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