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Zhong Yang Financial Group Limited Ordinary Shares
Zhong Yang Financial Group Limited Ordinary Shares

Zhong Yang Financial Group Limited Ordinary Shares (TOP)

24HHigh$2.6424HLow$2.05
$2.52
+0.23%

Last updated: 2026-07-17 10:21:20

K-Line Chart, actual market data is subject to the trading page.

Key Data

Prev. Open
$2.05
Prev. Close
$2.52
Prev. Day's Range
$2.05 - $2.64
52W Range
$0.61 - $2.63
Trading Volume
2.226M
MC
$541.768M
P/E Ratio
--
EPS
$-0.03

Company Overview

NASDAQ

Zhong Yang Financial Group Limited (Ticker: TOP) is a prominent diversified financial services firm headquartered in Hong Kong, offering a range of services including asset management, investment advisory, and comprehensive financial consultancy. The company is dedicated to harnessing cutting-edge technology to enhance client experiences and meet the dynamic needs of institutional and individual investors alike. With a strategic focus on expanding its service offerings and geographic presence, Zhong Yang is strategically positioned to seize growth opportunities in the rapidly evolving Asia-Pacific financial sector, solidifying its role as a key player in the region's competitive landscape.

SectorFINANCIAL SERVICES
IndustryCAPITAL MARKETS
Headquarters#13-05 TONG ENG BUILDING, SINGAPORE, SINGAPORE, 069533
CountryUSA
Listing Date2022-06-01
Fiscal Year Ended2026-06-30
Shares Outstanding247.985M
CIK Code1848275

Financial Metrics

Indicator2025-12-312025-06-302024-12-312024-06-30
Income$2.869M$1.486M$1.843M$887.786K
Operating Expenses$916.647K$2.423M$659.757K$1.742M
Net Income$190.54K-$5.519M-$450.421K-$2.616M
Net Profit Margin6.6%-371.4%-24.4%-294.6%
Earnings Per Share--------
EBITDA$198.68K-$6.569M$1.178M-$5.139M
Effective Tax Rate---2.7%---0.5%

FAQ

TOP operates in the U.S. stock market as a company focused on [specific sector/industry, e.g., technology, consumer goods, healthcare]. Its core business involves [specific product/service category, such as software solutions, manufacturing goods, or providing financial services], and it drives revenue primarily through [e.g., selling products, subscriptions, licensing, or other mechanisms].
TOP is classified within the [sector name, e.g., technology, industrials, consumer discretionary] sector and operates in the [specific industry name, like cloud computing, retail, pharmaceuticals]. This positioning allows it to compete with other companies in the same market segment, leveraging industry trends and addressing investor interest.
TOP competes with companies such as [direct competitors based on its business, e.g., Microsoft, Amazon, Johnson & Johnson] depending on its specific industry niche. These competitors may offer similar products or services, creating dynamics around innovation, pricing, and market share.
Investing in TOP involves risks such as [specific risks like market volatility, regulatory changes, operational challenges]. Additionally, sector trends and global economic conditions can impact its revenue and profitability. Investors should also consider competitive pressures and fluctuations in the industries TOP serves.
The dividend policy of TOP depends on its financial strategy. [If applicable, add: Currently, it pays dividends at a rate of X%.] If no dividends are paid, investors rely on capital appreciation and overall company growth for returns.
TOP sees growth potential in areas such as [specific opportunities like expanding into untapped markets, innovative product offerings, leveraging emerging technologies]. These factors could help it strengthen its competitive position and attract investor interest as the company scales operations.
TOP’s valuation may be assessed using metrics like the price-to-earnings ratio (P/E) or enterprise value (EV). Investors compare these metrics to similar companies in the [specific industry] to determine whether TOP is undervalued, fairly valued, or overvalued.
TOP's revenue is influenced by [key revenue drivers such as product demand, pricing strategies, licensing agreements], while profitability depends on factors like [cost management or supply chain efficiency]. Changes in industry trends or macroeconomic conditions could also play a significant role.
Risk Warning
  1. 1.Stock prices may fluctuate significantly; invest with caution. Past performance is not indicative of future results.
  2. 2.Digital asset trading involves multiple risks, including market and technical risks. Please make rational decisions and allocate assets wisely.
  3. 3.The information contained on this page is for reference only and does not constitute any investment advice.