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UK

BEARISH
$0.3 Live
Ucommune International Ltd · NASDAQ
$0.28 52W Range $1.55

At a glance

Key valuation, profitability, growth, and risk metrics.

Updated Apr 22, 2026
Market cap
$2.02M
P/E
N/A
ROE
-26.1%
Profit margin
-144.9%
Debt/Equity
0.17
Dividend yield
N/A

AI Analysis

AI-powered fundamental assessment

Confidence
95%
Ucommune International Ltd exhibits severe financial distress, highlighted by a weak Piotroski F-Score of 3/9 and a catastrophic 5-year price decline of 99.9%. The company is operating with extreme inefficiency, evidenced by a profit margin of -144.88% and a negative ROE of -26.11%. While the Price-to-Book ratio of 0.07 suggests a deep value play, the lack of earnings and negative cash flow indicators suggest a value trap. The absence of analyst coverage and a 0/100 technical trend further confirm a bearish outlook.

Key Strengths

Low Debt/Equity ratio (0.17) suggests limited long-term debt burden
Extremely low Price-to-Book ratio (0.07)
Low Price-to-Sales ratio (0.08)
Current ratio above 1.0 (1.07), indicating marginal short-term liquidity
Low absolute share price providing speculative entry for high-risk traders

Key Risks

Severe operational losses with profit margins at -144.88%
Catastrophic long-term price performance (-99.9% over 5 years)
Weak financial health as indicated by a Piotroski F-Score of 3/9
Lack of revenue and earnings growth data
Extreme technical bearishness with a 0/100 trend score

Performance Snowflake

Multi-dimensional analysis across 5 key categories

Overall
10
Weak
Value
20
Future
5
Past
0
Health
25
Dividend
0
AI Verdict
High Risk / Speculative
Key drivers: Severe negative margins, Piotroski F-Score weakness, Total collapse in share price
Confidence
90%
Value
20/100

Trades at a massive discount to book, but lacks the earnings to justify a valuation floor.

Positives
  • P/B of 0.07
  • P/S of 0.08
Watchpoints
  • Negative earnings make P/E and Graham Number inapplicable
  • Assets may be impaired
Future
5/100

No evidence of a turnaround strategy or growth trajectory.

Positives
No standout positives identified.
Watchpoints
  • No reported growth metrics
  • Operating margins are deeply negative
Past
0/100

Consistent and severe destruction of shareholder value over all measured timeframes.

Positives
No standout positives identified.
Watchpoints
  • 5Y Change: -99.9%
  • 1Y Change: -73.2%
Health
25/100

Low debt is the only positive, but it is offset by an inability to generate profit.

Positives
  • Low Debt/Equity
Watchpoints
  • Piotroski F-Score 3/9
  • Negative ROA and ROE
Dividend
0/100

Company is in no position to return capital to shareholders.

Positives
No standout positives identified.
Watchpoints
  • No dividend yield
  • 0/100 dividend strength

Stock Price & Analyst Targets

Real-time price movements and analyst price targets

Current Price
$0.3

Multi-Horizon Performance vs Peers

Price momentum across 5Y → 1W horizons for UK and closest competitors.

Updated 2026-04-21
UK
Ucommune International Ltd
Primary
5Y
-99.9%
3Y
-97.3%
1Y
-73.2%
6M
-70.2%
1M
-39.5%
1W
-31.8%
GIP
Generation Income Properties, Inc.
Peer
5Y
-96.1%
3Y
-93.1%
1Y
-83.1%
6M
-80.5%
1M
-31.0%
1W
-4.9%
LRH
La Rosa Holdings Corp.
Peer
5Y
-100.0%
3Y
-100.0%
1Y
-99.7%
6M
-99.4%
1M
-43.5%
1W
-27.6%
ALB
Avalon GloboCare Corp.
Peer
5Y
-99.6%
3Y
-98.0%
1Y
-84.7%
6M
-75.4%
1M
-16.7%
1W
-24.8%
REN
RenX Enterprises Corp.
Peer
5Y
-99.9%
3Y
-99.9%
1Y
-89.5%
6M
-89.8%
1M
-6.9%
1W
+0.8%

Positive values indicate cumulative gains over the specified period. Comparables pulled from the same sector to highlight whether momentum is stock-specific or industry-wide.

Historical Performance Trends

Long-term financial metrics and growth patterns

Revenue & Net Income

Profit & Operating Margins

Return on Equity (ROE)

Quarterly Revenue Growth

Historical data shows last 12 quarters (3 years)

Valuation Metrics

Key valuation ratios and pricing indicators

P/E Ratio
N/A
Forward P/E
N/A
PEG Ratio
N/A
P/B Ratio
0.07
P/S Ratio
0.08
EV/Revenue
-0.51
EV/EBITDA
0.38
Market Cap
$2.02M

Profitability

Profit margins and return metrics

Profit Margin -144.88%
Operating Margin -145.96%
Gross Margin -2.86%
ROE -26.11%
ROA -9.02%

Growth

Revenue and earnings growth rates

Revenue Growth N/A
Earnings Growth N/A
Q/Q Revenue Growth N/A
Q/Q Earnings Growth N/A

Financial Health

Balance sheet strength and liquidity metrics

Debt/Equity
0.17
Low debt
Current Ratio
1.07
Good
Quick Ratio
0.79
Poor
Cash/Share
$7.92

Financial Statement Flow

Interactive flow visualization showing how money moves through the company Q4 2025

Total Assets
$0.2B
Liabilities
$0.1B
Equity
$0.1B
Debt/Equity
0.57x

Real Estate Sector Comparison

Comparing UK against 109 companies in the Real Estate sector (5 bullish, 17 neutral, 87 bearish)
Return on Equity (ROE)
-26.11%
This Stock
vs
-53.7%
Sector Avg
-51.4% (Below Avg)
Profit Margin
-144.88%
This Stock
vs
8.99%
Sector Avg
-1712.4% (Weaker)
Debt to Equity
0.17
This Stock
vs
2.83
Sector Avg
-94.1% (Less Debt)
Current Ratio
1.07
This Stock
vs
6.05
Sector Avg
-82.3% (Weaker)

Similar Companies

Peer comparison within the same industry

SEC Filings

Recent regulatory filings from the SEC EDGAR database

20-F
ANNUAL REPORT
2026-03-24

The company submitted its SEC 20-F annual report on March 24, 2026. Due to the absence of provided excerpts, specific financial highlights and risk factors are not available for summary.

20-F
ANNUAL REPORT
2025-04-29

The company filed its Form 20-F annual report with the SEC on April 29, 2025. This comprehensive filing contains the entity's full-year financial performance and detailed risk disclosures for the reporting period.

20-F
ANNUAL REPORT
2024-04-25

The entity filed its annual report on Form 20-F on April 25, 2024. Due to the absence of provided excerpts, specific financial highlights and risk factors are unavailable for analysis.

Data sourced from SEC EDGAR. AI summaries generated automatically.

Past News Coverage

Recent headlines mentioning UK from our newsroom.

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