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Smart Share Global Limited
1.20
2 x 0.86
2 x 1.54
bid
ask
+
0.00
0.00%
2 @ 04:00 PM
1.18 -0.02 (1.26%)
Ytd2.14%
1y9.63%
1.20
day range
1.20
0.42
52 week range
1.18
Open1.20Prev Close1.20Low1.20High1.20Mkt Cap189.49M
Vol1.38MAvg Vol93.69KEPS0.03P/E24.33Forward P/E8.11
Beta0.57Short Ratio0.80Inst. Own4.33%DividendN/ADiv YieldN/A
Ex Div Date05-30Earning08-0750-d Avg0.72200-d Avg0.761yr Est1.80
Earning
DateForEstimateReportedSurprisesurprise %
2024-08-222024-0600.01N/AN/A
2024-06-032024-030N/AN/AN/A
2024-03-282023-120N/AN/AN/A
2023-11-272023-0900.02N/AN/A
2023-08-212023-0600.01N/AN/A
2023-06-202023-030N/AN/AN/A
Upgrade / Downgrade
DateFirmActionFromTo
2024-04-10CitigroupUpgradeBuyBuy
2022-06-28Goldman SachsDowngradeBuyNeutral
2022-06-21CitigroupUpgradeBuy
2021-12-03Goldman SachsUpgradeBuy
2021-05-11CitigroupUpgradeBuy
2021-05-05China RenaissanceUpgradeBuy
Profile
Smart Share Global Limited, a consumer tech company, provides mobile device charging services in the People's Republic of China. The company provides mobile device charging services through online and offline networks; and rents power banks. It offers services through its power banks placed in points of interests (POIs) operated by its location partners, such as entertainment venues, restaurants, shopping centers, hotels, transportation hubs, and public spaces. The company also offers advertising services, as well as sells merchandises through online platform or distributors. Smart Share Global Limited was incorporated in 2017 and is headquartered in Shanghai, the People's Republic of China.
Institution Ownership
Report DateOrganizationPositionValuePercentage
2024-09-29Carlyle Group Inc.4.81M3.51M2.17%
2024-09-29HHLR Advisors, LTD3.95M2.88M1.79%
2024-09-29Nomura Holdings Inc.91.05K66.47K0.04%
2024-09-29Rhumbline Advisers46.11K33.66K0.02%
2024-09-29UBS Group AG41.08K29.99K0.02%
2024-09-29Clear Creek Financial Management, LLC15.00K10.95K0.01%
Fund Ownership
Report DateOrganizationPositionValuePercentage
2024-10-30Fidelity NASDAQ Composite Index Fund22.40K16.35K0.01%
Dividend
DividendDate
0.032024-05-31