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ETF
Annual · values20252024
Gross Margin42.35%44.76%
Operating Margin-39.31%11.66%
EBITDA Margin-37.58%12.86%
Net Margin-39.61%8.37%
Current Ratio1.531.24
Quick Ratio0.830.50
Debt / Equity0.030.21
ROE-88.47%35.37%
ROA-29.45%7.95%
Asset Turnover0.740.95
Book Value / Share0.330.19

Marwynn Holdings Inc. is a prominent company operating in the diversified financial services industry. The primary function of the company is to manage a portfolio of various investments, including but not limited to real estate, equities, and fixed income securities. As a holding company, it primarily aims to generate returns by strategically acquiring and managing its subsidiaries across multiple sectors such as finance, insurance, and energy. Marwynn Holdings Inc. is known for its prudent investment strategies and efficient capital allocation, impacting industries such as real estate development, insurance underwriting, and renewable energy production. Its significance in the financial market stems from its ability to provide investors with exposure to a broad range of industries while benefitting from the strategic oversight and governance. This makes Marwynn Holdings Inc. a key player in offering diversified investment opportunities and contributing to market stability through its robust asset management practices.