In the quest to outshine the broader market, stock pickers diligently seek out stocks with the potential for superior performance. Making the right choices can significantly elevate your wealth.
In the latest session, FinVolution Group ADR (NYSE: FINV) closed at $4.96 up 0.61% from its previous closing price of $4.93. In other words, the price has increased by $0.61 from its previous closing price. On the day, 1.29 million shares were traded. FINV stock price reached its highest trading level at $5.06 during the session, while it also had its lowest trading level at $4.9135.
Ratios:
For a deeper understanding of FinVolution Group ADR’s stock, let’s take a closer look at its various ratios. For the most recent quarter (mrq), Quick Ratio is recorded 4.00 and its Current Ratio is at 4.00. In the meantime, Its Debt-to-Equity ratio is 0.07 whereas as Long-Term Debt/Eq ratio is at 0.06.
On March 20, 2025, UBS Downgraded its rating to Neutral which previously was Buy and also upped its target price recommendation from $7.80 to $11.80.
Citigroup Upgraded its Neutral to Buy on March 18, 2025, whereas the target price for the stock was revised from $6 to $11.
Insider Transactions:
Additionally, insider trades can be beneficial to investors who want to learn what the management thinks about stock prices in the future. A recent insider transaction in this stock occurred on Mar 24 ’25 when Xu Jiayuan bought 100,000 shares for $10.72 per share.
Wang Yuxiang bought 50,000 shares of FINV for $456,000 on Mar 20 ’25. On Dec 05 ’24, another insider, Jun Zhang, who serves as the Director of the company, bought 200,000 shares for $6.90 each.
Valuation Measures:
Investors should consider key stock statistics when deciding whether to invest or divest. In the wake of the recent closing price, FINV now has a Market Capitalization of 1288831360 and an Enterprise Value of 645469568. As of this moment, FinVolution’s Price-to-Earnings (P/E) ratio for their current fiscal year is 3.38, and their Forward P/E ratio for the next fiscal year is 3.97. The expected Price-to-Earnings-to-Growth (PEG) calculation for the next 5 years is 0.64. For the stock, the TTM Price-to-Sale (P/S) ratio is 0.36 while its Price-to-Book (P/B) ratio in mrq is 0.55. Its current Enterprise Value per Revenue stands at 0.046 whereas that against EBITDA is 0.087.
Stock Price History:
The Beta on a monthly basis for FINV is 0.39, which has changed by -0.28343022 over the last 52 weeks, in comparison to a change of 0.12415576 over the same period for the S&P500. Over the past 52 weeks, FINV has reached a high of $11.08, while it has fallen to a 52-week low of $4.70. The 50-Day Moving Average of the stock is -21.10%, while the 200-Day Moving Average is calculated to be -39.05%.
Shares Statistics:
For the past three months, FINV has traded an average of 1.62M shares per day and 2426690 over the past ten days. A total of 140.07M shares are outstanding, with a floating share count of 139.81M. Insiders hold about 0.19% of the company’s shares, while institutions hold 54.56% stake in the company. Shares short for FINV as of 1763078400 were 6569674 with a Short Ratio of 4.05, compared to 1760486400 on 6090785. Therefore, it implies a Short% of Shares Outstanding of 6569674 and a Short% of Float of 5.3600002.
Dividends & Splits
According to the company, the forward annual dividend rate for FINV is 0.28, from 2.02 in the trailing year. Against a Trailing Annual Dividend Yield of 0.4097363. The stock’s 5-year Average Dividend Yield is 3.91.





