Comstock Holding Companies, Inc.

NCM: CHCI
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📈 ZcoreAI Score

Our AI model analyzes Comstock Holding Companies, Inc.'s price action across multiple timeframes using regression channels and statistical scoring.

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About Comstock Holding Companies, Inc.

Real Estate Real Estate Services
Comstock Holding Companies, Inc. operates as an asset manager, developer, and operator of mixed-use and transit-oriented properties in the United States. The company acquires, develops, operates, and sells residential, commercial, and mixed-use properties. It provides various asset and property management, development and construction management, leasing and marketing services, acquisition and disposition, asset recapitalization, designing services comprising planning and entitlements, investment consultation and execution, and various other property-specific services to its asset-owning clients, which include primarily institutional real estate investors, high net worth family offices, financial institutions, and governmental bodies. The company also provides leasing and marketing, acquisition and disposition, asset recapitalization, planning and entitlements, strategic investment consultation and execution, and various other property-specific services. The company was formerly known as Comstock Homebuilding Companies, Inc. and changed its name to Comstock Holding Companies, Inc. in June 2012. Comstock Holding Companies, Inc. was founded in 1985 and is headquartered in Reston, Virginia.

📊 Fundamental Analysis

Comstock Holding Companies, Inc. demonstrates a profit margin of 27.1%, which is below the sector average, suggesting competitive pressure.

The company recently reported 41.5% revenue growth, which is well above average for the Real Estate sector.

Return on Equity (ROE) is 27.9%, which exceeds the Real Estate sector average, reflecting efficient capital allocation.

At a current price of $18.37, CHCI currently trades near the top of its 52-week range (88%) (Range: $8.70 - $19.72).

💰 Valuation Insight

CHCI trades at a 67.8% discount (PE: 11.27), which may represent a value opportunity given the sector average of 35.00.

🏥 Financial Health

🔴 Profit Margin Weak
Debt/Equity Excellent
Revenue Growth Excellent
Return on Equity Excellent
Beta (Risk) Low Volatility

Key Financials

Market Cap
$187.57M
Trailing P/E
11.27
Forward P/E
--
Beta (5Y)
-0.41
52W High
$19.72
52W Low
$8.70
Avg Volume
21K
Day High
Day Low
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