0285.HK
BYD Electronic (International) Company LimitedTechnology·Hardware, Equipment & Parts
$29.18
$65.5B market cap
Revenue
$98.9B
Free Cash Flow
$9.5B
Rev Growth
+0.0%
FCF Margin
9.6%
P/FCF
6.0x
EV/FCF
5.0x
Fwd EV/EBITDA
--
Fair Value
--
Upside
--
BYD Electronic (International) Company Limited, an investment holding company, designs, manufactures, assembles, and sells mobile handset components and modules in the People's Republic of China and internationally. The company provides high-level assembly services; and manufactures and sells batteries, chargers, and iron phosphate batteries for use in electric buses, trucks, cars, and forklifts, as well as its components and spare parts. It builds and maintains monorail projects. The company wa
2-Year Price History
$26.30-19.3%
Quarterly Financials & Projections
Quarterly Waterfall (CNY M)
| Period | Rev | EBITDA | OpIn | NI | OCF | FCF | CapEx | Cash | Debt | Shares | ROIC | IntCov | EV/EBITDA | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Act | 2025-Q4 | 98,872 | 4,252 | 1,395 | 1,785 | 11,441 | 9,486 | -1,955 | 18,525 | 8,894 | 2,243 | 11.5% | 22.1x | -- |
Valuation & Metrics
Market Stats
Price$29.18
Market Cap$65.5B
Enterprise Value$47.0B
P/S Ratio0.6x
P/FCF6.0x
EV/FCF5.0x
FCF Margin (TTM)9.6%
FCF Yield16.8%
Dividend Yield (TTM)0.6%
Annual Dilution0.0%
CurrencyHKD
TTM Financial Snapshot
Revenue$98.9B
Net Income$1.8B
Free Cash Flow$9.5B
Revenue Growth (YoY)+0.0%
EBITDA Margin4.3%
Net Margin1.8%
FCF Margin9.6%
CapEx % of Revenue2.0%
SBC % of Revenue0.0%
ROIC11.5%
WC Change % Rev0.0%
Interest Coverage22.1x
Forward Outlook & Risk
Employees
Headcount150,000
Revenue / Employee$659,145
Gross Profit / Employee$34,758
Institutional Ownership
Headline & net flow
NEUTRAL
Net flow · —still filing
No float data — flow unavailable.
Ownership composition
Active
0.0%(+0.0% YoY)
1 filers
hedge / family / endowment
Retail funds
—
Fidelity, Schwab, 401(k)
Passive
0.0%(+0.0% YoY)
0 filers
Vanguard, iShares, SPDR
Market makers
0.0%(+0.0% YoY)
0 filers
Citadel, Susquehanna
Insiders
—
Form 4 — latest per insider
ActiveRetail fundsPassiveMarket makersRetail direct
Top holders
| Fund | $ value | Cost basis | Δ QoQ | Δ YoY | α life | Fund AUM |
|---|---|---|---|---|---|---|
| Stanley-Laman Group, Ltd. | $933K | $28.40 | +$6.3M | +$933K | +0.2% | $805M |
Cost basis is a volume-weighted estimate from accumulation periods within our 13F history; holders who built their position before our window started will show a stale basis. % above the cost basis is the unrealized gain at the current price.
Trading behavior
Smart-money alpha (lifetime, %/qtr)NEUTRAL
Holders
+0.23%
avg per quarter
Holders (ex-self)
+0.23%
excl. this stock
Buyers (this Q)
+0.23%
1 buyers · $0.00B in
Sellers (this Q)
+0.00%
0 sellers · $0.00B out
alpha coverage: 100% of $ has a lifetime-alpha record
Holder behavior on this stocksource: stock
On big dips (−10%+)
+43.4%
how holders react when this stock falls
On quiet Qs
+0.0%
−10% to +10% baseline
On rallies (+10%+)
-50.0%
how they react when this stock rises
Holders' portfolio flow this Q
+13.1%
inflows — adds are organic
Sellers' portfolio flow this Q
+0.0%
Sellers' overall flow ~ flat.
▸ Compare to holder-profile behavior (across all their stocks)
Holder dip (any stock)
-1.8%
Holder mid (any stock)
-6.5%
Holder rally (any stock)
-7.4%
Top-5 holders · 100.0%
Stanley-Laman Group, Ltd.--
Top Holders Over Time
5-year share-count history (top 10 holders by peak, incl. exited) + price
hover the chart for per-quarter detailprice (right axis)
Stanley-Laman Group, Ltd.265KTUCKER ASSET MANAGEMENT LLC—