We use cookies to see how investors use El Fondo and make its tools, data and markets better for you. You can accept or reject; essential cookies always stay on. Privacy Policy
Trades about 2,044% below its sector, cheaper than its peers on earnings.
CITIC Guoan Information Industry Co., Ltd. is a multifaceted enterprise with significant involvement in developing and managing communication infrastructure, particularly cable television and satellite networks. The company offers a comprehensive suite of media and broadband services, including standard television programming, on-demand video, high-definition entertainment, and high-speed cable internet, alongside other value-added digital offerings. Beyond media, its technology portfolio spans software and hardware development, IT system integration, call center outsourcing, and innovative solutions for enterprise information communication and mobile internet. Notably, CITIC Guoan also maintains a substantial presence in real estate development, constructing residential complexes, hotels, office spaces, and tourism-related properties. Furthermore, the company conducts research and development in internet network technologies and application solutions, coupled with the sale of domain names and associated digital applications. Its expertise is applied across various intelligent sectors, such as smart buildings, smart transportation, and smart cities, among other advanced technological domains. Established in 1997, CITIC Guoan is headquartered in Beijing, China.
Loading the full price history…
Run your own numbersPast performance is not a forecast.
Save 000839.SZ and get told when something moves.
Get updates
A clear, direct weekly summary.
Learn the fundamentals behind this asset.
A stock is a fraction of ownership in a real company. Buy one share and you own a piece (usually a tiny piece) of every desk, factory, contract and brand the company runs. The price moves because the market keeps revising what that whole pie is worth.
The price-to-earnings ratio is how much investors are paying for one dollar of a company's profit. A multiple, never an absolute. Always compared to something: a sector, a region, the company's own past.
Dividend yield is the annual income a stock or ETF pays out, expressed as a percentage of what you paid for it. It is the visible part of total return: the cash that lands in your account every quarter, and the lever most retail investors actually feel.
Market cap is shares times price. A simple formula that produces wildly unequal numbers: a single US tech name can be worth more than every company on a LATAM exchange combined.