MSGY
Masonglory·NASDAQ
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5.10 / 10
Netural
MSGY's fundamental score of 5.1/10 is moderate but improving, driven by an impressive ROE of 46.57% (Group 4) and annualized return on equity at the same level, both historically linked to strong monthly returns (9.42%). The net profit ratio of 100% is in Group 1 with a 7.02% one-month return, while the interest coverage ratio of 48.59% (Group 3) shows a 6.89% return. Overall, the fundamentals are solid, with only minor caution on leverage.
Analysis Checks(3/4)
Annualized return on equity (%)
Value46.57
Score3/3
Weight30.16%
1M Return9.42%
Value46.57
Score3/3
Weight30.16%
1M Return9.42%
Interest coverage ratio (EBIT / Interest expense) (%)
Value48.59
Score1/3
Weight19.14%
1M Return6.89%
Value48.59
Score1/3
Weight19.14%
1M Return6.89%
Net profit attributable to parent company shareholders / Net profit (%)
Value100.00
Score2/3
Weight20.54%
1M Return7.02%
Value100.00
Score2/3
Weight20.54%
1M Return7.02%
ROE (%)
Value46.57
Score3/3
Weight30.16%
1M Return9.42%
Value46.57
Score3/3
Weight30.16%
1M Return9.42%
Annualized return on equity (%)
Value46.57
Score3/3
Weight30.16%
1M Return9.42%
Value46.57
Score3/3
Weight30.16%
1M Return9.42%
Net profit attributable to parent company shareholders / Net profit (%)
Value100.00
Score2/3
Weight20.54%
1M Return7.02%
Value100.00
Score2/3
Weight20.54%
1M Return7.02%
Interest coverage ratio (EBIT / Interest expense) (%)
Value48.59
Score1/3
Weight19.14%
1M Return6.89%
Value48.59
Score1/3
Weight19.14%
1M Return6.89%
ROE (%)
Value46.57
Score3/3
Weight30.16%
1M Return9.42%
Value46.57
Score3/3
Weight30.16%
1M Return9.42%
Is MSGY undervalued or overvalued?
- MSGY scores 5.10/10 on fundamentals and holds a Fair valuation at present. Backed by its 46.57% ROE, 5.47% net margin, 8.03 P/E ratio, 2.96 P/B ratio, and -9.09% earnings growth, these metrics solidify its Netural investment rating.
