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Analysis World Chess PLC (CHSS)

6/4/2024

Analysis World Chess PLC (CHSS)

Analysis of World Chess PLC (CHSS)

Based on the provided data for World Chess PLC (symbol: CHSS), we can see the following key points:

1. **Price Movement**: The closing price for World Chess PLC has been consistent at 0.03500 for the past several days, except for a significant increase to 3.50000 on May 21st and May 20th.

2. **Technical Indicators**:
- **RSI Indicator**: The Relative Strength Index (RSI) is around 36.57, indicating a neutral position.
- **MACD Indicator**: The Moving Average Convergence Divergence (MACD) is negative, with the MACD line below the signal line, suggesting a bearish trend.
- **MA Indicator**: The Moving Average (MA) indicator shows a decreasing trend, with the Simple Moving Average (SMA) and Exponential Moving Average (EMA) values declining over time.

3. **Overall Analysis**:
- The stock has been trading at a low price of 0.03500 consistently, except for the sudden spike to 3.50000 on May 21st and May 20th.
- The technical indicators suggest a bearish trend, with the MACD indicating a negative momentum.
- The RSI is neutral, indicating that the stock is neither overbought nor oversold.

4. **Recommendation**:
- Given the bearish trend indicated by the technical indicators and the low price stability, investors should exercise caution when considering investing in World Chess PLC.
- Further analysis, including fundamental factors and market conditions, would be necessary to make a more informed investment decision.

Please note that this analysis is based on the provided data and should be supplemented with additional research before making any investment decisions.

Earnings

The company's results for the most recent quarter, ending on April 30, 2025, have not been provided at this time. The previous quarter's results, ending on February 27, 2025, were handled by the Transfer Agent. The quarter before that, ending on January 31, 2025, had results released after hours. The results for the quarter ending on October 31, 2024, were not provided at the time. However, for the quarter ending on August 1, 2024, the company had an EPS estimate of 1.32.

Main Statystic 🧠

The data provides a comprehensive overview of the financial and stock-related metrics for a specific company. Here are the key points:

1. **Financials**:
- **Cash Flow**: Operating cash flow for the trailing twelve months (TTM) is $110,563,000,320. Levered free cash flow TTM is $84,726,874,112.
- **Balance Sheet**: Total cash on a quarterly basis is $67,150,000,128. Total debt on a quarterly basis is $104,590,000,128. Current ratio is 1.037. Book value per share is $4.837. Total cash per share is $4.379. Total debt to equity ratio is 140.968.
- **Profit Margin**: The profit margin is 26.306%.
- **Income Statement**: EBITDA is $131,393,000,000. Revenue TTM is $381,623,009,280. Diluted EPS TTM is $6.43. Gross profit TTM is $169,148,000,000. Revenue per share TTM is $24.537. Net income to common TTM is $100,389,003,264. Quarterly revenue growth is -4.3%. Quarterly earnings growth year-over-year is -2.2%.
- **Operating Margin**: The operating margin is 30.743%.
- **Return on Assets**: Return on assets TTM is 22.073999%.
- **Return on Equity**: Return on equity TTM is 147.25%.

2. **Stock Statistics**:
- **Short Interest**: Short ratio is 1.53. Float shares are 15,308,320,742. Shares short are 99,287,450. Average 10-day volume is 46,860,048. Average 90-day volume is 57,498,254. Shares outstanding are 15,334,099,968. Percentage held by insiders is 5.22%. Percentage held by institutions is 57.589%. Short percent of shares outstanding is 0.65%.

3. **Valuations Metrics**:
- **P/E Ratios**: PEG ratio is 26.319502. Forward P/E is 26.319502. Trailing P/E is 29.59409.
- **Enterprise Value**: Enterprise value is $2,950,762,332,160.
- **Price Metrics**: Price to book ratio is 39.3405. Price to sales TTM is 7.646095.
- **Enterprise Multiples**: Enterprise to EBITDA is 22.763. Enterprise to revenue is 7.732.
- **Market Capitalization**: Market capitalization is $2,917,925,650,432.

4. **Stock Price Summary**:
- **Market Performance**: Beta is 1.264. 50-day moving average is $176.2646. 200-day moving average is $181.0429. 52-week low is $164.08. 52-week high is $199.62. 52-week change is 6.853%.

5. **Dividends and Splits**:
- **Dividend Information**: Payout ratio is 14.93%. Dividend date is May 16, 2024. Last split date is August 31, 2020. Ex-dividend date is May 10, 2024. Last split factor is a 4-for-1 split. Forward annual dividend rate is $1. 5-year average dividend yield is 0.73%. Forward annual dividend yield is 0.5255%. Trailing annual dividend rate is $0.97. Trailing annual dividend yield is 0.5097%.

Revenue estimate

Based on the analysts' estimates for the future quarterly and annual sales of the company, we can draw the following conclusions:

1. For the current quarter ending on June 30, 2024, the average sales estimate is $77,545,400,000, with a sales growth of 2% compared to the same quarter last year. The number of analysts providing estimates is 25.

2. For the next quarter ending on September 30, 2024, the average sales estimate is $85,501,800,000, with a sales growth of 3% compared to the same quarter last year. The number of analysts providing estimates is 25.

3. For the current fiscal year ending on September 30, 2024, the average sales estimate is $357,772,000,000, with a sales growth of 1% compared to the previous fiscal year. The number of analysts providing estimates is 38.

4. For the next fiscal year ending on September 30, 2025, the average sales estimate is $380,772,000,000, with a sales growth of 6% compared to the current fiscal year. The number of analysts providing estimates is 38.

These estimates suggest a moderate growth trend in both quarterly and annual sales for the company, with slightly higher growth expected in the next fiscal year compared to the current one.

Growth estimates

Based on the consensus estimates provided by analysts, we can draw the following conclusions regarding the growth rate of the company for different periods:

1. Current Quarter: The estimated growth rate for the current quarter is 5.1%.
2. Next Quarter: The estimated growth rate for the next quarter is 5.2%.
3. Current Year: The estimated growth rate for the current year is 7.6%.
4. Next Year: The estimated growth rate for the next year is 9.7%.
5. Past 5 Years (per annum): The estimated average annual growth rate for the past 5 years is 20.1%.
6. Next 5 Years (per annum): The estimated average annual growth rate for the next 5 years is 9.7%.

These estimates suggest a positive growth trend for the company, with a slightly lower growth rate expected in the next 5 years compared to the past 5 years. It indicates that analysts are optimistic about the company's growth prospects in the near term.

Price target

The analysts' forecast for the future price of the security is as follows:
- Low: $164
- High: $275
- Median: $201.43
- Average: $204.58
- Current price: $192.25
- Currency: USD

Based on these forecasts, we can see that the analysts have a range of opinions on the future price of the security, with the majority clustering around the median and average values. The current price is below both the median and average forecast, indicating that analysts generally expect the price to increase in the future. However, it's important to note that these are just forecasts and actual market conditions may vary.

Income statement 💸

These are the revenues. Here are the conclusions:

1. The company's sales have been increasing steadily over the years, from $274.5 billion in 2020 to $383.3 billion in 2023.
2. The gross profit margin has been relatively stable, with gross profit ranging from around $105 billion to $169 billion.
3. Operating income has also shown a consistent growth trend, reaching $114.3 billion in 2023 from $66.3 billion in 2020.
4. Net income has been increasing over the years, from $57.4 billion in 2020 to $97 billion in 2023.
5. Earnings per share (EPS) have shown a slight fluctuation but have generally increased from $3.28 in 2020 to $6.16 in 2023.
6. The company has been able to maintain a healthy EBITDA margin, with EBITDA reaching $129.2 billion in 2023.
7. Despite an increase in income tax expenses, the company has managed to grow its net income continuously.
8. The company has been able to control its operating expenses effectively, allowing for growth in operating income.
9. Non-operating interest expenses have been relatively stable over the years.
10. The number of basic and diluted shares outstanding has remained constant, indicating no significant dilution of shares.

Balance Sheet

These are balance sheets. Here are the conclusions:

1. The total assets have been increasing over the years, reaching $365,725,000,000 in 2018.
2. Current assets include cash, inventory, and receivables, with a significant portion in cash equivalents and short-term investments.
3. Non-current assets consist mainly of investments and advances, along with machinery, furniture, and equipment.
4. Total liabilities have also been increasing, but at a slower pace compared to assets, resulting in a growth in shareholders' equity.
5. Shareholders' equity includes common stock, retained earnings, and other equity components.
6. The company has been managing its short-term and long-term debts while investing in non-current assets for future growth.
7. Accumulated depreciation has been significant, affecting the value of non-current assets.
8. The company has been maintaining a healthy balance between assets and liabilities, ensuring stability and growth potential.

Cash Flow 💶

This is the cash flow statement. Here are some conclusions we can draw from the data:

1. The company's free cash flow has been fluctuating over the years, with the highest value recorded in 2022 and the lowest in 2020.
2. Operating cash flow has been consistently higher than free cash flow, indicating that the company is generating sufficient cash from its core operations.
3. The company has been paying a significant amount in income taxes each year, with the highest amount paid in 2021.
4. Interest paid has also varied over the years, with a noticeable increase in 2023 compared to previous years.
5. The company has been actively involved in financing activities, including common stock repurchases, debt issuances, and dividend payments.
6. Investing activities have also been significant, with the company making investments, acquisitions, and divestitures over the years.
7. The end cash position has fluctuated, but overall, the company has maintained a healthy cash reserve.
8. Stock-based compensation has been a consistent expense for the company each year.
9. The company's net income has been relatively stable, with a slight increase in 2022.
10. Overall, the company's cash flow statement reflects a mix of operational, financing, and investing activities that have impacted its cash position over the years.

Earnings estimate

Based on the analysts' estimates for future quarterly and annual earnings per share:

1. For the current quarter ending on June 30, 2024, the average estimated EPS is $1.23, with a low estimate of $1.18 and a high estimate of $1.26. This shows an improvement compared to the EPS of $1.17 from the same quarter a year ago.

2. For the next quarter ending on September 30, 2024, the average estimated EPS is $1.42, with a low estimate of $1.33 and a high estimate of $1.51. This also indicates growth from the EPS of $1.35 in the same quarter last year.

3. Looking at the estimates for the current year ending on September 30, 2024, the average estimated EPS is $6.10, with a low estimate of $5.95 and a high estimate of $6.41. This reflects an increase from the EPS of $5.67 from the previous year.

4. For the next year ending on September 30, 2025, the average estimated EPS is $6.69, with a low estimate of $5.92 and a high estimate of $7.31. This suggests a slight improvement from the EPS of $6.10 in the previous year.

Overall, the analysts' estimates show a positive outlook for the company's earnings per share, with expected growth in both the quarterly and annual results over the specified periods.

MACD of CHSS

This is not investment advice. Remember to verify the information provided here.

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Contacts

Telephone number

+48 32 700 81 66

Email address

[email protected]

Company information

Honey Payment Group S.A. at Al. Aleje Jerozolimskie 65 / 79, 00-697 Warsaw, Poland, Register number KRS 0000335507, NIP 5252859204, REGON 388760204. Honey Payment Group is listed on the Warsaw Stock Exchange (WSE) under the ticker symbol HPG. Link