Meituan
3690.HK
Below: live stock price for Meituan (3690.HK), a 1-year chart, 8 indicators (RSI, MACD, Bollinger, MA, EMA, Stochastic, ATR, Volume), and a compare mode. Add to your portfolio, star to your watchlist, or set a price alert in one place.
Meituan (3690.HK) is a Consumer Cyclical company based in China. Operating in Internet Retail, it employs about 111,298 people. Over the past year 3690.HK traded between 63.65 and 109.7 HKD.
- Prev close
- $9.58
- Volume (24h)
- $116.76M
- Market cap
- $53.38B
- Currency
- USD (native HKD)
Score
47/ 100 · Mixed
- Value47
- Quality9
- Momentum14
- Growth48
- Risk60
- Dividend100
- Liquidity53
Composite of public market data. Informational only — not investment advice.
Trend projection
Where the recent trend points if it continues.
- +5 bars
- 9.5801 +0.37%
- +20 bars
- 9.6289 +0.88%
- +60 bars
- 9.6478 +1.08%
- +120 bars
- 9.6485 +1.09%
Linear-regression continuation — not a prediction, not investment advice. ±1σ ≈ 68% range · ±2σ ≈ 95% range: ±0.0125 USD.
Interpretation
Composite signals look mixed. Strength: dividend with weakness: quality. Price sits near the lower third of the recent range, trend is roughly flat.
Descriptive observation — not investment advice.
Score breakdown
Raw values behind each pillar so you can see what the composite is reading.
- Value47/100
Value looks mixed — driven by PEG (28.72).
P/E:15.37P/B:2.58PEG:28.72 - Quality9/100
Quality looks fragile — driven by Gross margin (28.72%).
ROE:-21.76%ROA:-8.07%Profit margin:-10.04%Gross margin:28.72% - Momentum14/100
Momentum looks fragile — driven by 52w change (-28.94%).
52w change:-28.94% - Growth48/100
Growth looks mixed — driven by Revenue growth (13.90%).
Revenue growth:13.90% - Risk60/100
Risk looks solid — driven by Debt / equity (56.65).
Beta:0.22Debt / equity:56.65 - Dividend100/100
Dividend looks strong — driven by Payout ratio (0.00%).
Payout ratio:0.00% - Liquidity53/100
Liquidity looks mixed — driven by Current ratio (1.91).
Current ratio:1.91Quick ratio:1.45
Derived from public market data — informational, not investment advice.
Price report
How this asset has actually moved over the last 246 days.
Where the price sits between the window low and high.
- Volatility (annualised)
- 41.0%
- Max drawdown
- -39.6%
- Below period high
- -32.1%
- Best day
- +13.92%
- Worst day
- -6.65%
- Up days
- 44%
- Current streak
- 3 down
- Typical day swing
- 3.5%
- Volume vs average
- -51%
Spread of returns. Higher means larger swings in both directions.
Worst peak-to-trough fall inside the window.
Current price against the highest point in the window.
Share of days that closed above the one before.
Average high-to-low spread within a single day.
Last 10 days against the whole window.
Descriptive statistics over past prices — not a forecast and not investment advice.
Reference levels
Fibonacci retracements and extensions across the recent range.
Reference only — not investment advice.
These coordinates describe past-trade clustering, not where to buy or sell. Do your own research before any trade.
Levels derived from: 12.3654 high → 8.1603 low · 60 bars
- ResistanceFib +161.8% extensionnot reached19.1693 USD+100.83% from current
- ResistanceFib +100% extensionnot reached16.5705 USD+73.61% from current
- ResistanceFib +61.8% extensionnot reached14.9642 USD+56.78% from current
- ResistanceFib +27.2% extensionnot reached13.5092 USD+41.53% from current
- ResistanceFib 23.6% retracementtested 7×11.373 USD+19.15% from current
- ResistanceFib 38.2% retracementtested 5×10.759 USD+12.72% from current
- ResistanceFib 50% midpointtested 10×10.2628 USD+7.52% from current
- ResistanceFib 61.8% retracementNearesttested 5×9.7666 USD+2.32% from current
- Current9.5449 USD
- SupportFib 78.6% retracementtested 3×9.0602 USD-5.08% from current
- SupportFib −27.2% extensionnot reached7.0165 USD-26.49% from current
- SupportFib −61.8% extensionnot reached5.5615 USD-41.73% from current
- SupportFib −100% extensionnot reached3.9551 USD-58.56% from current
How to read this
We take the highest and lowest price of the last 60 bars and cut the gap between them at the classic Fibonacci ratios (23.6%, 38.2%, 50%, 61.8%, 78.6%), plus extensions beyond both ends.
“Tested N×” counts how many of those 60 bars actually traded through the level. A level price has crossed many times is one the market has repeatedly agreed on; a level at 0 is pure geometry the price has never reached.
This is a map of where trading has already happened — not a forecast and not a signal. Price moves through these levels all the time.
Financials
- 52w high
- $109.70
- 52w low
- $63.65
- 52w change
- -28.94%
- Day high
- $75.60
- Day low
- $73.55
- Forward P/E
- 15.37
- PEG
- 28.72
- Price / Book
- 2.58
- Beta (5Y)
- 0.22
- Enterprise value
- 384.83B
- EV / Revenue
- 1.01
- EV / EBITDA
- -10.14
- EPS (TTM)
- -$7.42
- Forward EPS
- $4.84
- Payout ratio
- 0.00%
- Revenue (TTM)
- 382.84B
- EBITDA
- -37.96B
- Free cash flow
- -23.08B
- Total cash
- 168.31B
- Total debt
- 95.82B
- Debt / Equity
- 56.65
- Current ratio
- 1.91
- Quick ratio
- 1.45
- Profit margin
- -10.04%
- Gross margin
- 28.72%
- Return on assets
- -8.07%
- Return on equity
- -21.76%
- Shares outstanding
- 5.59B
- Float
- 5.44B
Meituan operates as a technology driven retail company in the People's Republic of China, Hong Kong, Macao, Taiwan, and internationally. It operates through Core Local Commerce and New Initiatives segments. The company offers daily goods and services, such as food delivery, in-store, hotel and travel booking, and other services and sales; bike sharing, e-moped sharing, power banks and micro-credit; and operates Kuailv and Xiaoxiang Supermarkets. It also sells goods from B2B food distribution services; provides online marketing services to merchants; e-commerce; multimedia information technology; online retail platform; cloud computing; and merchant information advisory services. The company was formerly known as Meituan Dianping and changed its name to Meituan in October 2020. Meituan was founded in 2003 and is headquartered in Beijing, China.
Analyst & Risk
- Beta (vs S&P 500)
- 0.22
- very stable
- 52-week change
- -28.94%
- Debt / Equity
- 56.65
- very high leverage
- Current ratio
- 1.91
- Quick ratio
- 1.45
- ROE
- -21.76%
- ROA
- -8.07%
- PEG ratio
- 28.72
- richly valued
- EV / Revenue
- 1.01
- EV / EBITDA
- -10.14
- Revenue growth
- 13.90%
- EBITDA
- -37.96B
- Free cash flow
- -23.08B
- Total cash
- 168.31B
- Total debt
- 95.82B
- Insider holdings
- 1.85%
- Institutional
- 39.34%
Recent rating changes
- 2022-03-28BarclaysUnderweightmain
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