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The closing price of FinVolution Group ADR (NYSE: FINV) was $4.74 for the day, down -0.63% from the previous closing price of $4.77. In other words, the price has decreased by -$0.63 from its previous closing price. On the day, 1.66 million shares were traded. FINV stock price reached its highest trading level at $4.89 during the session, while it also had its lowest trading level at $4.7.
Ratios:
Our analysis of FINV’s different ratios will help us gain a deeper understanding of the company. 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:
Also, insider trades can serve as a great indicator of what management thinks about the future direction of a stock’s price. 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 1231665408 and an Enterprise Value of 369699360. As of this moment, FinVolution’s Price-to-Earnings (P/E) ratio for their current fiscal year is 3.23, and their Forward P/E ratio for the next fiscal year is 3.33. The expected Price-to-Earnings-to-Growth (PEG) calculation for the next 5 years is 0.35. For the stock, the TTM Price-to-Sale (P/S) ratio is 0.34 while its Price-to-Book (P/B) ratio in mrq is 0.52. Its current Enterprise Value per Revenue stands at 0.026 whereas that against EBITDA is 0.05.
Stock Price History:
The Beta on a monthly basis for FINV is 0.52, which has changed by -0.24038464 over the last 52 weeks, in comparison to a change of 0.1028198 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 $4.74. The 50-Day Moving Average of the stock is -28.90%, while the 200-Day Moving Average is calculated to be -42.55%.
Shares Statistics:
FINV traded an average of 1.70M shares per day over the past three months and 1558990 shares per day over the past ten days. A total of 140.07M shares are outstanding, with a floating share count of 140.07M. Insiders hold about 0.00% of the company’s shares, while institutions hold 54.74% stake in the company. Shares short for FINV as of 1761868800 were 9067295 with a Short Ratio of 5.33, compared to 1759190400 on 6043221. Therefore, it implies a Short% of Shares Outstanding of 9067295 and a Short% of Float of 7.3999999999999995.
Dividends & Splits
With its trailing 12-month dividend rate of 2.02, FINV has a forward annual dividend rate of 0.28. Against a Trailing Annual Dividend Yield of 0.4234801. The stock’s 5-year Average Dividend Yield is 3.91.






