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Asset Five Group PCL (BKK:A5) Risk Assessment


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What is Asset Five Group PCL Risk Assessment?

Risk Assessment represents the investment risk of a stock derived from our exclusive method. It suggests how risky the investment opportunity is based on the valuation and the fundamental performance of the stock. It is derived from following key aspects:

1. GuruFocus internally developed valuations of the stock, such as GF valuation.
2. Quality Rank, a business quality indicator developed by GuruFocus.
3. Fundamental performance: Piotroski F-Score, Altman Z-Score, Beneish M-Score, etc.
4. Growth opportunities: 5-year revenue growth rate, 5-Year EPS without NRI Growth Rate, etc.

Value investors are always willing to find undervalued stocks. However, not all the undervalued stocks are good deals, we should also be careful of how risky the investment opportunity is. We believe that if the company's financial strength and profitability are strong, and the stock price is within a reasonable range of the GF valuation, or stock has a high return with its price being undervalued, then it might be a good investment opportunity with low risk.

Based on those aspects listed above, GuruFocus believes the risk assessment of Asset Five Group PCL is: High Risk: High uncertainty.


Competitive Comparison of Asset Five Group PCL's Risk Assessment

For the Real Estate - Development subindustry, Asset Five Group PCL's Risk Assessment, along with its competitors' market caps and Risk Assessment data, can be viewed below:

* Competitive companies are chosen from companies within the same industry, with headquarter located in same country, with closest market capitalization; x-axis shows the market cap, and y-axis shows the term value; the bigger the dot, the larger the market cap. Note that "N/A" values will not show up in the chart.


Asset Five Group PCL's Risk Assessment Distribution in the Real Estate Industry

For the Real Estate industry and Real Estate sector, Asset Five Group PCL's Risk Assessment distribution charts can be found below:

* The bar in red indicates where Asset Five Group PCL's Risk Assessment falls into.



Asset Five Group PCL  (BKK:A5) Risk Assessment Explanation

Based on the four aspects listed above, GuruFocus provides the following 7 evaluations:

All-in-One Screener Examples (1)
Low Risk: Strong fundamentals, worth long-term holding
Moderate Risk: Sensitive, better choose undervalued stock
High Risk: High uncertainty with risk-return tradeoff
High Risk: Good fundamentals, beware of shrinking business
High Risk: Sensitive to economic or industry trends
High Risk: High uncertainty
No Data: Cannot be evaluated

(1) These are some simple examples. You can access our Risk Assessment filter under All-in-One Screener’s Fundamental tab and set your own criteria.


Asset Five Group PCL Risk Assessment Related Terms

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Asset Five Group PCL Business Description

Traded in Other Exchanges
Address
Vibhavadi-Rangsit Road, 349 SJ Infinite one business complex, 19th Floor, 1901 Unit, Chomphon, Chatuchak, Bangkok, THA, 10900
Asset Five Group PCL operates as a holding company. Together with its subsidiaries, the firm is engaged in real estate development. It generates revenue from the sales of houses and sales of condominiums, of which key revenue is derived from the sales of houses. The group's operations are located in Thailand.

Asset Five Group PCL Headlines

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