Springview Holdings Ltd

Springview Holdings Ltd(SPHL)股票分析

$2.430

-0.039 (-1.62%)收盤時

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High
2.530
Open
2.480
VWAP
2.45
Vol
9.82K
Mkt Cap
Low
2.380
Amount
24.03K
EV/EBITDA, TTM
0.00

Springview Holdings Ltd is a Cayman Islands-based holding company. The Company engages in the design and construction of residential and commercial buildings. The Company’s projects cover four main types of work, namely new construction, reconstruction, additions and alterations, and other general contracting services. Its projects are carried out in either design and build mode or construction mode. In design and build mode, the Company provides design input and serves as the main contractor. In construction mode, it acts only in the role of a contractor. The Company offers a comprehensive range of services such as design, construction, furniture customization, and project management. It also offers post-project services, including defect repairs and maintenance. The Company serves individual and independent homeowners in Singapore.

AI analysis of Springview Holdings Ltd (SPHL)

hold

Springview Holdings Ltd is currently not a strong buy due to its negative performance indicators and high volatility risks. The stock has a current price of 2.53, which is significantly below its 200-day simple moving average of 3.135, indicating a bearish trend. Additionally, the RSI is at 44.015, suggesting that it is neither overbought nor oversold, but the recent 5-day change of -1.94% and 20-day change of -3.80% indicate a downward trend. The forward P/E ratio is 0, which reflects uncertainty in future earnings, and the stock has seen a 25.59% decline over the past year, raising concerns about its long-term viability. The main risk is the liquidity risk due to a recent reverse split, which has resulted in thin trading volumes and increased volatility.

估值指標

The current forward P/E ratio for Springview Holdings Ltd (SPHL) is 0.00, compared to its 5-year average forward P/E of 0.00.

Forward P/E

Strongly Undervalued
5Y Average P/E
0.00
Current P/E
0.00
高估
0.00
低估
0.00

Forward EV/EBITDA

Strongly Undervalued
5Y Average EV/EBITDA
0.00
Current EV/EBITDA
0.00
高估
0.00
低估
0.00

Forward P/S

Strongly Undervalued
5Y Average P/S
0.00
Current P/S
0.00
高估
0.00
低估
0.00

Alphio AI Price Scenarios for SPHL

Scenario prices are the last monthly forecast band of the current year. Probabilities are fixed model weights (25 / 50 / 25), not guarantees.

B

Bull

Bull · 25%SPHL

$0.52

情境價格

B

Base

Base · 50%SPHL

$0.52

情境價格

B

Bear

Bear · 25%SPHL

$0.46

情境價格

事件時間軸

2026-06-08 (ET)

10:10:00

Springview Holdings Ltd Trading Halted Due to Volatility

2026-01-29 (ET)

07:30:00

Springview Identifies Pilot Residential Sustainability Project in Singapore

2026-01-26 (ET)

07:10:00

Springview Holdings Secures Patent License for Drainage Technologies in Singapore and Southeast Asia

2026-01-22 (ET)

10:00:00

Springview Holdings Ltd Trading Halted Due to Volatility

2026-01-21 (ET)

10:10:00

Springview Holdings Trading Halted Due to Volatility

資訊

SPHL FAQ — answered by Alphio AI

Springview Holdings Ltd is a Cayman Islands-based holding company. The Company engages in the design and construction of residential and commercial buildings. The Company’s projects cover four main types of work, namely new construction, reconstruction, additions and alterations, and other general contracting services. Its projects are carried out in either design and build mode or construction mode. In design and build mode, the Company provides design input and serves as the main contractor. In construction mode, it acts only in the role of a contractor. The Company offers a comprehensive range of services such as design, construction, furniture customization, and project management. It also offers post-project services, including defect repairs and maintenance. The Company serves individual and independent homeowners in Singapore. It operates in the Consumer Cyclicals sector.

Springview Holdings Ltd is currently not a strong buy due to its negative performance indicators and high volatility risks. The stock has a current price of 2.53, which is significantly below its 200-day simple moving average of 3.135, indicating a bearish trend. Additionally, the RSI is at 44.015, suggesting that it is neither overbought nor oversold, but the recent 5-day change of -1.94% and 20-day change of -3.80% indicate a downward trend. The forward P/E ratio is 0, which reflects uncertainty in future earnings, and the stock has seen a 25.59% decline over the past year, raising concerns about its long-term viability. The main risk is the liquidity risk due to a recent reverse split, which has resulted in thin trading volumes and increased volatility.

本頁僅供研究參考,不構成投資建議。模型可能出錯。過往表現不代表未來結果。

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