Greentown Management
9979.HK
HKD3.07 1.32%
Exchange: HKSE | Sector: Real Estate | Industry: Real Estate Services
Q2 2025
Published: Jun 30, 2025

Earnings Highlights

  • Revenue of $687.13M up 55.1% year-over-year
  • EPS of $0.06 increased by 72.6% from previous year
  • Gross margin of 40.0%
  • Net income of 128.06M
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Greentown Management Holdings Company Limited (9979.HK) QQ2 2025 Results Analysis – Real Estate Services with Margin Strength, Low Leverage and Pipeline Backing Growth

Executive Summary

Greentown Management reported solidQQ2 2025 top-line momentum with a revenue of 687.13 million CNY and a robust gross margin of 40.04%. The company posted an operating margin of 22.38% and a net margin of 18.64%, generating net income of 128.06 million CNY and EPS of 0.0648 for the quarter. Year-over-year advances are evident across key profitability metrics: revenue up 55.14%, gross profit up 30.19%, operating income up 36.70%, net income up 70.77%, and EPS up 72.57%. The quarterly figures imply meaningful margin stability in a services-led model with limited capital investment.

Key Performance Indicators

Revenue

687.13M
QoQ: 100.00% | YoY:55.14%

Gross Profit

275.16M
40.04% margin
QoQ: 100.00% | YoY:30.19%

Operating Income

153.75M
QoQ: 100.00% | YoY:36.70%

Net Income

128.06M
QoQ: 100.00% | YoY:70.77%

EPS

0.06
QoQ: 100.00% | YoY:72.57%

Revenue Trend

Margin Analysis

Key Insights

  • Revenue: 687.13 million CNY; YoY growth +55.14%; QoQ data appears inconsistent with the cited 100% QoQ growth for several line items, suggesting a dataset alignment issue (revenue shown flat vs prior quarter in QQ2 2025). - Gross Profit: 275.16 million CNY; Gross margin: 40.04%; YoY +30.19% and QoQ +100% (dataset anomaly noted). - Operating Income: 153.75 million CNY; Operating margin: 22.38%; YoY +36.70%; QoQ ~100% (data misalignment risk). - Net Income: 128.06 million CNY; Net margin: 18.64%; YoY +70.77%; EPS: 0.0648; YoY +72.57%. - EBITDA: 172.44 million CNY; EBITDA margin: 25.10%. - Balance sheet: Debt ratio 0.12%, cash ratio 0.535, company equity multiplier ~1.91, ROA 3.74%, ROE 7.13%, ROCE 8.13%. - Cash flow: Operating cash flow per share and free cash flow per share are reported as 0, while cash per share is 0.832; CFO/CFI signals require working-capital assessment. - Valuation: P/E ~5.21x, P/B ~1.48x, EV/EBITDA ~10.72x; price-to-sales ~3.88x; dividend yield 0%.

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2025 687.13 0.06 +55.1% View
Q1 2025 687.13 0.06 -17.7% View
Q4 2024 885.80 0.08 +1.0% View
Q3 2024 885.80 0.08 +1.0% View