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Touyun Biotech Group Limited (1332.HK)

HKD0.16 +0.01 (+5.19%)
HK HKSE Consumer Cyclical Packaging & Containers
Address Kwan Chart Tower
Wan Chai, HK
CEO Liang Wang
IPO 2012-07-12
ISIN BMG8962M1038

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Description

Touyun Biotech Group Limited functions as a diversified investment holding company, primarily focused on the global design, development, manufacturing, and sale of a wide array of packaging products. Its market presence extends across Hong Kong, the People's Republic of China, Europe, North and South America, and other international territories. The company's operations are divided into four main business segments. The QR Code Business provides comprehensive solutions, including QR codes for product packaging and advertising display services. The Packaging Products segment specializes in creating and selling items such as luxury watch and jewelry boxes, eyewear cases, various bags and pouches, and retail display units. The Treasury Investment segment is engaged in the investment and trading of securities, alongside offering financial services like money lending, placing and underwriting, securities brokerage, asset management, and margin financing. Additionally, the Chlamydomonas Reinhardtii Product Business segment focuses on cultivating and marketing Chlamydomonas reinhardtii micro-algae and associated products. Beyond these core activities, the group also offers business intelligence IT solutions, online advertising display, and corporate management services. Established in 1989 and headquartered in Wan Chai, Hong Kong, the company transitioned to its current name, Touyun Biotech Group Limited, in May 2021, having previously been known as China Touyun Tech Group Limited.

Market Cap & Enterprise Value
Merger & Acquisition History

No mergers or acquisitions recorded for this company.

Technical Outlook
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Signal Summary Loading…
Indicator 1D1W2W3W1M
Each column is computed on that timeframe's candles (1D = daily, 1W ≈ weekly, 1M ≈ monthly), not on the same last day. ▲ bullish · ▼ bearish · — neutral. The Net row counts signals per column; hover any cell (or the indicator name) to see the exact rule behind it.
Day Score & sub-scores
Statistical fingerprint & regime detail
Conditional historical analysis
Customize analysis (advanced)
Indicative levels generated algorithmically. Not financial advice.
Risk Profile
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Price Chart
Averages
Trend
Price
Levels
Draw
HKD0.16 +0.01 (+5.19%)
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Volume Profile
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Liquidity & share structure
Average Volume
1M
Beta
-0.61
Float Shares
1.69B
Free Float %
60.4%
Price Performance
1D5D1M3M6M YTD1Y3Y5Y10YMax
+1.65% -1.60% -21.15% +2.50% -60.95% -51.76% +46.43% -76.79% -87.82% -89.75% -45.86%
Rolling Volatility
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Drawdown
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Relative Strength
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Monthly Returns Heatmap
From To
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Annual Monthly Returns
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Daily Returns Distribution
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Revenue flow

Revenue by geography

Revenue by segment

From To

Revenue composition

From To

By product

By geography

Financial Statements

Income Statement

Balance Sheet

Cash Flow Statement

Key Metrics

Financial Ratios

Employees

Financial Growth (CAGR)

Market Data

Price Targets & DCF
Current price
0.16
Quality scores
Altman Z-Score
-1.18
Distress
Piotroski F-Score
2 / 9
Weak
MOAT Score
0 / 10
No MOAT
Composite Rating
C-
Overall Score
1 / 5
Low
DCF Score
1 / 5
Low
ROE Score
1 / 5
Low
ROA Score
4 / 5
High
D/E Score
1 / 5
Low
P/E Score
1 / 5
Low
P/Book Score
1 / 5
Low
Operational MOAT
✗ Below peers
  • Revenue growth Packaging & Containers: +2.6%
    -58.1% Q4'25: -62.8% (vs Q4'23)
  • EPS growth Packaging & Containers: +8.0%
    +104.5% Q4'25: +96.1% (vs Q4'23)
  • FCF margin FCF growth · Packaging & Containers: +34.6%
    -94.1% Q4'25: -0.1% (vs Q4'23)
  • EBIT margin Packaging & Containers: +7.0%
    -89.8% Q4'25: -73.0% (vs Q4'23)
  • ROIC Packaging & Containers: +6.2%
    -13.8% Q4'25: -23.8% (vs Q4'23)
  • Share dilution Packaging & Containers: +0.2%
    +0.1% Q4'25: +0.2% (vs Q4'23)
  • Debt / EBITDA Net debt/EBITDA · Packaging & Containers: 0.83×
    -8.64× Q4'25: -7.93× (vs Q4'23)
Valuation Multiples From To
Price Forecast (3Y) From To
Model
Adjust
P/E
Theoretical Return — If Invested Today

* These projections are based on analyst consensus estimates and user-defined valuation multiples. This table is for informational purposes only and does not constitute a recommendation to buy or sell any security. Past performance is not indicative of future results.

DCF Interactive Model (UFCF)
Projection years:
Market assumptions
WACC components (optional)
Ke (Cost of Equity) = Rf + β (-0.61) × ERP
WACC = 46% × Ke + 54% × Kd (5.1%) × (1−t)

Modifying these values recalculates WACC automatically.

Business assumptions
Current price: 0.16
Enterprise Value: Equity Value: Terminal Value: TV as % of EV:

Base values reflect the latest available data for this company and market conditions.

Historical Ratings (3M)
Date Rating Overall DCF ROE ROA D/E P/E P/B
2026-05-29 C- 1/5 1/5 1/5 4/5 1/5 1/5 1/5
2026-05-28 C- 1/5 1/5 1/5 4/5 1/5 1/5 1/5
2026-05-27 C- 1/5 1/5 1/5 4/5 1/5 1/5 1/5
2026-05-26 C- 1/5 1/5 1/5 4/5 1/5 1/5 1/5
2026-05-22 C- 1/5 1/5 1/5 4/5 1/5 1/5 1/5
2026-05-21 C- 1/5 1/5 1/5 4/5 1/5 1/5 1/5
2026-05-20 C- 1/5 1/5 1/5 4/5 1/5 1/5 1/5
2026-05-19 C- 1/5 1/5 1/5 4/5 1/5 1/5 1/5
2026-05-18 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-05-15 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-05-14 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-05-13 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-05-12 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-05-11 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-05-08 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-05-07 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-05-06 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-05-05 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-05-04 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-04-30 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-04-29 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-04-28 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-04-27 C 2/5 1/5 1/5 4/5 1/5 2/5 1/5
2026-04-24 C 2/5 1/5 1/5 5/5 1/5 2/5 1/5
2026-04-23 C 2/5 1/5 1/5 5/5 1/5 2/5 1/5
2026-04-22 C 2/5 1/5 1/5 5/5 1/5 2/5 1/5
2026-04-21 C 2/5 1/5 1/5 5/5 1/5 2/5 1/5
2026-04-20 C 2/5 1/5 1/5 5/5 1/5 2/5 1/5
2026-04-17 C 2/5 1/5 1/5 5/5 1/5 2/5 1/5
2026-04-16 C 2/5 1/5 1/5 5/5 1/5 2/5 1/5

Owner Earnings

Owner's Earnings (history) From To
Owner alignment
Owner's Earnings TTM
-228.18M
OE per share TTM
-0.08
Owner's Yield
-33.34%
Maintenance CapEx ratio
476.35%
Maint CapEx / Avg PPE
119.0%

Ownership Overview

Ownership breakdown

Ownership breakdown not available.

At a glance
Institutional holders
Total invested
Insider transactions (90d)
0
Beneficial owners (>5%)
0
Beneficial owners (>5%)

No beneficial ownership filings recorded.

Institutional Activity (13F)

Institutional ownership trend

Institutional history not available.

Top institutional holders

Top holders not available.

ETF Ownership

Top ETFs holding this stock Held by 1 ETFs in our universe
# ETF Weight Est. AUM exposure TER
1 Dimensional World ex U.S. Core Equity 2 ETF DFAX 0.00% 2.3K 0.28%

Insider Activity

Insider Activity — Latest Quarter

No insider activity available.

Insider buys vs sells (history)

Insider history not available.

Recent insider transactions

No recent insider transactions.

Executive team

Top executives
EBIT / Employee
-124.0K
Shares Outstanding
2.81B

Executive compensation

Executive compensation (annual)

Executive compensation not available.

CEO compensation breakdown

No CEO compensation history available.

Proxy statements

Proxy statements (DEF 14A)

No proxy statements available for this company yet.

Recent SEC filings

Recent SEC filings

No SEC filings available for this company yet.

Executive team

NameTitleCompensationGender
Liang Wang Executive Chairman 4M male
Dong Du Executive Director 1M male
On Lok Li Company Secretary female
ESG Score History

No data available for this company.

Senate Trading Activity

No Senate trading activity found for this company.

House Trading Activity

No House trading activity found for this company.

Market share among peers
Peer comparison — filtered group (TTM)
Your opinion

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Dividend history

Earnings history

Earnings reports

Stock splits