STAR HOLDINGS

NASDAQ: STHO (Star Holdings - Shares of Benef)

Last update: 4 days ago, 12:56AM

8.31

0.09 (1.09%)

Previous Close 8.22
Open 8.29
Volume 8,061
Avg. Volume (3M) 39,285
Market Cap 100,457,696
Price / Sales 1.40
Price / Book 0.390
52 Weeks Range
6.06 (-27%) — 9.25 (11%)
Earnings Date 11 May 2026
Profit Margin -76.57%
Operating Margin (TTM) 18.41%
Diluted EPS (TTM) -3.40
Quarterly Revenue Growth (YOY) -12.00%
Total Debt/Equity (MRQ) 63.32%
Current Ratio (MRQ) 11.40
Operating Cash Flow (TTM) -31.29 M
Levered Free Cash Flow (TTM) -21.89 M
Return on Assets (TTM) -0.96%
Return on Equity (TTM) -22.69%

Market Trend

Short Term Medium Term
Industry Real Estate Services (US) Mixed Mixed
Real Estate Services (Global) Bearish Mixed
Stock Star Holdings - Shares of Benef - -

AIStockmoo Score

0.6
Analyst Consensus 0.0
Insider Activity NA
Price Volatility -2.0
Technical Moving Averages 2.5
Technical Oscillators 2.0
Average 0.63

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Star Holdings engages in non-ground lease-related businesses, including real estate finance, operating properties, and land and development. Its portfolio is comprised of its interests in Asbury and Magnolia Green residential development projects, a portfolio of commercial real estate properties, and loans that are being marketed for sale. The Company operates its business through one reportable and operating segment that focuses on realizing value for shareholders by generating cash flows through active asset management and sales of its existing loans, operating properties and land and development properties.

Sector Real Estate
Industry Real Estate Services
Investment Style Small Value
% Held by Insiders 3.71%
% Held by Institutions 83.15%

Ownership

Name Date Shares Held
Newedge Wealth, Llc 31 Dec 2025 156,821

No data within this time range.

No data within this time range.

The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.

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Risk Profile

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Conservative
Moderate Conservative
Moderate
Moderate Aggressive
Aggressive
Margin of Safety (EP)
Partial Profit (TP1)
Target Profit (TP2)
Maximum Loss (SL)

Disclaimer: The above is for illustrative purposes only and is NOT investment advice. Seek advice from a qualified financial professional.

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Take Profit 2 (TP2)

Stop Loss (SL)

52W Range
 
52WL
 
52WH
SL
EP
TP1
TP2

All alert prices are within 52 weeks price range

Realized Profit -
Unrealized Profit -
Dividend Received 2026 -
Total Profit -
Avg. Return -
Quantity (Buy) -
Avg. Price (Buy) -
Quantity (Sold) -
Avg. Price (Sold) -
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