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JX Luxventure Limited (KBSF) Stock Analysis

NASDAQConsumer CyclicalApparel - Manufacturers

$3.05+1.67%
1-year price historyRange $2.91 – $3.86
52-week range$3.05
$2.00$5.83

What JX Luxventure Limited does

KBS Fashion Group Limited operates as a casual menswear enterprise primarily engaged in the design, marketing, and distribution of fashionable apparel for men across the People's Republic of China. Its business model is supported by three distinct operational segments: a robust Distribution Network, directly managed Corporate Retail Outlets, and Original Equipment Manufacturing (OEM) services. The company's diverse product portfolio encompasses a wide array of clothing, such as cotton and down jackets, knitwear, suits, shirts, T-shirts, denim trousers, and other pants. Additionally, it provides various accessories, including footwear, bags, belts, socks, and headwear. These products are specifically designed for urban men aged 20 to 40 and are sold under the KBS brand. As of the close of 2019 (December 31st), KBS Fashion Group maintained a physical retail presence through one corporate-owned store and 29 franchised establishments. The firm's principal offices are located in Shishi, People's Republic of China.

Key metrics

Market cap
$0
P/E (TTM)
-1.46
EPS (TTM)
$-2.09
Beta
1.39
50-day avg
$3.26
200-day avg
$3.50
52-week high
$5.83
52-week low
$2.00
CEO
Keyan Yan

ETFs linked to KBSF

Broad-market and Consumer Cyclical sector ETFs an investor holding JX Luxventure Limited is often also exposed to. Open an ETF page to see its actual top holdings.

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Frequently asked questions

What is the ticker symbol for JX Luxventure Limited?
JX Luxventure Limited trades under the ticker KBSF on NASDAQ.
Which exchange is KBSF listed on?
KBSF is listed on NASDAQ.
What sector does JX Luxventure Limited operate in?
JX Luxventure Limited is classified in the Consumer Cyclical sector (Apparel - Manufacturers industry).
How can PortView help analyze KBSF in a portfolio?
PortView shows KBSF's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.

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