KE Holdings Inc. (NYSE:BEKE) Projects Near-Term Uptrend Backed By Cost Discipline And Share Buyback

KE Holdings shows technical momentum alongside improving profitability metrics and a board-authorized equity buyback; fundamentals present cash strength but mixed top-line performance. The immediate bias favors modest upside pressure with valuation still tagged as under-valued by WMDST.

Recent News

On June 12, 2026 shareholders approved board re-elections and share-authority items at the annual general meeting; subsequently the company commenced an equity buyback for 349,377,597 shares under that authorization. Markets recorded analyst activity and price-target updates through late August, and the company scheduled and later announced second-quarter 2026 unaudited results for reporting in August.

Technical Analysis

Directional indicators show mixed structure: ADX at 19.76 signals no dominant trend, yet DI+ at 37.08 increasing constitutes a bullish directional development while DI- at 23.03 peak-and-reversal also signals a bullish shift; together they indicate constructive directional pressure without a strong trend backbone.

MACD sits at 0.32 and has crossed above its 0.27 signal line with an increasing MACD trend, confirming bullish momentum on the price oscillator and supporting near-term upward bias tied to the introduction of buyback activity and improving profitability.

MRO at 19.66 reads positive, which reflects price sitting above the WMDST target and implies potential downside pressure from stretched short-term momentum; the MRO peak-and-reverse trend suggests that upside momentum may moderate from current levels.

RSI at 55.62 and increasing indicates neutral-to-modestly bullish momentum without overbought conditions, compatible with a steady continuation rather than an extended breakout move.

Price sits above short- and long-term averages: close $17.87 exceeds the 12-day and 26-day EMAs ($17.43 / $17.08) and the 50-/200-day averages ($16.30 / $16.59), a configuration that supports modest bullish bias. Price trades near the upper Bollinger band (upper 1σ $17.78), with superTrend lower support at $17.01; intraday volume slightly above 10- and 50-day averages confirms active participation on recent moves.

 


Fundamental Analysis

Profitability shows meaningful improvement on an absolute basis: operating income (EBIT) $1,272,720,000 and EBIT margin 6.74%. EBIT margin sits above the industry peer mean of 3.11% and above the industry peer median of 1.995%, supporting the valuation context that the business currently generates higher operating profitability than typical peers.

Earnings per share landed at $2.85 versus an estimate of $2.12, an EPS beat of $0.73 representing a 34.43% surprise. That beat materially lifted trailing profitability metrics even as revenue trends diverge.

Top-line dynamics show mixed timing: total revenue $18,891,977,000 with reported revenue growth YoY at -40.69% and revenue growth QoQ at 296.53%, indicating a year-over-year contraction but a strong sequential rebound in the most recent quarter; operating margin YoY rose 166.07% while operating margin QoQ fell 35.40%, reflecting volatile margin swings across periods.

Liquidity and balance-sheet metrics remain robust: cash and short-term investments total $44.99 billion and the cash ratio stands at 1.10; total debt $16.27 billion yields debt-to-assets 14.49% and debt-to-equity 0.25, while interest coverage near 45.21x demonstrates comfortable coverage of interest expense.

Cash flow shows stress in free cash flow: free cash flow -$1.47 billion and free cash flow yield -2.58%, with free cash growth negative year-over-year; operating cash flow also recorded negative in the most recent reporting period, creating a caution point despite large cash balances.

Valuation picture: trailing P/E about 11.91 with forward P/E around 60.21 driven by a low forward EPS disposition; price-to-book stands at 0.88, below the industry peer mean of 2.81 and below the industry peer median of 2.46, aligning with WMDST’s determination that the current valuation reads as under-valued relative to book multiples. Enterprise metrics show EVR ~1.49 and enterprise multiple 22.17x.

MOST-RECENT QUARTERLY REPORT
REPORT PERIOD ENDING: 2026-03-31
REPORT DATE: 2026-08-21
NEXT REPORT DATE: 2026-11-20
CASH FLOW  Begin Period Cash Flow 15.9 B
 Operating Cash Flow -1.47 B
 Capital Expenditures
 Change In Working Capital -2.73 B
 Dividends Paid
 Cash Flow Delta 4.0 B
 End Period Cash Flow 20.0 B
 
INCOME STATEMENT REVENUE
 Total Revenue 18.9 B
 Forward Revenue 3.9 B
COSTS
 Cost Of Revenue 14.3 B
 Depreciation
 Depreciation and Amortization
 Research and Development 492.6 M
 Total Operating Expenses 17.6 B
PROFITABILITY
 Gross Profit 4.6 B
 EBITDA 1.3 B
 EBIT 1.3 B
 Operating Income 1.3 B
 Interest Income 134.9 M
 Interest Expense
 Net Interest Income 134.9 M
 Income Before Tax 1.8 B
 Tax Provision 576.6 M
 Tax Rate 31.481 %
 Net Income 1.3 B
 Net Income From Continuing Operations 1.3 B
EARNINGS
 EPS Estimate 2.12
 EPS Actual 2.85
 EPS Difference 0.73
 EPS Surprise 34.434 %
 Forward EPS 0.31
 
BALANCE SHEET ASSETS
 Total Assets 112.3 B
 Intangible Assets 5.4 B
 Net Tangible Assets 59.0 B
 Total Current Assets 67.1 B
 Cash and Short-Term Investments 45.0 B
 Cash 11.1 B
 Net Receivables 4.0 B
 Inventory 2.8 B
 Long-Term Investments 1.9 B
LIABILITIES
 Accounts Payable 5.0 B
 Short-Term Debt 817.5 M
 Total Current Liabilities 41.0 B
 Net Debt
 Total Debt 16.3 B
 Total Liabilities 47.9 B
EQUITY
 Total Equity 64.4 B
 Retained Earnings 2.1 B
VALUATION & PER-SHARE METRICS EQUITY & PER-SHARE METRICS
 Book Value Per-Share 19.13
 Shares Outstanding 3.366 B
 Revenue Per-Share 5.61
VALUATION
 Market Capitalization 56.9 B
 Enterprise Value 28.2 B
 Enterprise Multiple 22.168
Enterprise Multiple QoQ 72.45 %
Enterprise Multiple YoY -72.838 %
Enterprise Multiple IPRWA high: 218.433
median: 88.276
mean: 87.475
BEKE: 22.168
low: -182.291
 EV/R 1.493
CAPITAL STRUCTURE
 Asset To Equity 1.745
 Asset To Liability 2.345
 Debt To Capital 0.202
 Debt To Assets 0.145
Debt To Assets QoQ -9.979 %
Debt To Assets YoY -15.301 %
Debt To Assets IPRWA high: 1.342
median: 0.299
mean: 0.291
BEKE: 0.145
low: 0.0
 Debt To Equity 0.253
Debt To Equity QoQ -10.552 %
Debt To Equity YoY -22.122 %
Debt To Equity IPRWA high: 4.543
median: 0.956
mean: 0.94
BEKE: 0.253
low: -2.299
PRICE-BASED VALUATION
 Price To Book (P/B) 0.884
Price To Book QoQ 0.751 %
Price To Book YoY -13.664 %
Price To Book IPRWA high: 8.558
mean: 2.813
median: 2.463
BEKE: 0.884
low: -1.436
 Price To Earnings (P/E) 11.911
Price To Earnings QoQ -68.308 %
Price To Earnings YoY -29.832 %
Price To Earnings IPRWA high: 353.676
mean: 103.561
median: 90.79
BEKE: 11.911
low: -104.727
 PE/G Ratio 0.057
 Price To Sales (P/S) 3.013
Price To Sales QoQ 14.648 %
Price To Sales YoY -0.297 %
Price To Sales IPRWA high: 62.054
mean: 9.936
median: 4.066
BEKE: 3.013
low: 0.033
FORWARD MULTIPLES
Forward P/E 60.206
Forward PE/G 0.288
Forward P/S 16.059
EFFICIENCY OPERATIONAL
 Operating Leverage 3.028
ASSET & SALES
 Asset Turnover Ratio 0.165
Asset Turnover Ratio QoQ -12.261 %
Asset Turnover Ratio YoY -6.716 %
Asset Turnover Ratio IPRWA high: 0.56
mean: 0.201
BEKE: 0.165
median: 0.13
low: 0.002
 Receivables Turnover 4.738
Receivables Turnover Ratio QoQ -17.628 %
Receivables Turnover Ratio YoY 5.992 %
Receivables Turnover Ratio IPRWA high: 20.641
BEKE: 4.738
mean: 3.166
median: 1.578
low: 0.281
 Inventory Turnover 5.069
Inventory Turnover Ratio QoQ
Inventory Turnover Ratio YoY
Inventory Turnover Ratio IPRWA high: 44.428
mean: 10.31
BEKE: 5.069
median: 1.057
low: 0.003
 Days Sales Outstanding (DSO) 19.258
CASH CYCLE
 Cash Conversion Cycle Days (CCC) 5.126
Cash Conversion Cycle Days QoQ
Cash Conversion Cycle Days YoY -140.502 %
Cash Conversion Cycle Days IPRWA high: 167.532
mean: 31.443
median: 9.285
BEKE: 5.126
low: -50.366
CAPITAL DEPLOYMENT
 Cash Conversion Ratio 0.726
 CapEx To Revenue
 CapEx To Depreciation
 
CAPITAL, LIQUIDITY & COVERAGE CAPITAL STRUCTURE
 Total Capital 65.1 B
 Net Invested Capital 66.0 B
 Invested Capital 66.0 B
 Net Tangible Assets 59.0 B
 Net Working Capital 26.0 B
LIQUIDITY
 Cash Ratio 1.096
 Current Ratio 1.634
Current Ratio QoQ 1.741 %
Current Ratio YoY 22.893 %
Current Ratio IPRWA high: 10.921
mean: 1.811
BEKE: 1.634
median: 1.384
low: 0.471
 Quick Ratio 1.566
Quick Ratio QoQ 1.757 %
Quick Ratio YoY
Quick Ratio IPRWA high: 11.239
mean: 1.907
BEKE: 1.566
median: 1.492
low: 0.448
COVERAGE & LEVERAGE
 Debt To EBITDA 12.784
 Cost Of Debt 0.106 %
 Interest Coverage Ratio 45.207
Interest Coverage Ratio QoQ -44.995 %
Interest Coverage Ratio YoY 115.509 %
Interest Coverage Ratio IPRWA BEKE: 45.207
high: 21.15
median: 3.119
mean: 2.771
low: -38.698
 Operating Cash Flow Ratio 0.004
TIMING / LIQUIDITY
 Days Payables Outstanding (DPO) 28.932
DIVIDENDS
 Dividend Coverage Ratio
 Dividend Payout Ratio
 Dividend Rate
 Dividend Yield
PERFORMANCE GROWTH
 Asset Growth Rate -3.73 %
 Revenue Growth -14.858 %
Revenue Growth QoQ 296.531 %
Revenue Growth YoY -40.687 %
Revenue Growth IPRWA high: 79.044 %
mean: -3.085 %
median: -5.215 %
BEKE: -14.858 %
low: -82.107 %
 Earnings Growth 208.696 %
Earnings Growth QoQ -454.148 %
Earnings Growth YoY 3239.136 %
Earnings Growth IPRWA BEKE: 208.696 %
high: 163.636 %
median: -41.026 %
mean: -42.805 %
low: -123.529 %
MARGINS
 Gross Margin 24.137 %
Gross Margin QoQ 12.6 %
Gross Margin YoY 16.801 %
Gross Margin IPRWA high: 100.0 %
mean: 41.799 %
median: 38.306 %
BEKE: 24.137 %
low: -50.277 %
 EBIT Margin 6.737 %
EBIT Margin QoQ -35.395 %
EBIT Margin YoY 166.074 %
EBIT Margin IPRWA high: 61.604 %
BEKE: 6.737 %
mean: 3.111 %
median: 1.995 %
low: -58.12 %
 Return On Sales (ROS) 6.737 %
Return On Sales QoQ 226.88 %
Return On Sales YoY 166.074 %
Return On Sales IPRWA high: 41.436 %
BEKE: 6.737 %
mean: 5.985 %
median: 3.287 %
low: -70.996 %
CASH FLOW
 Free Cash Flow (FCF) -1.47 B
 Free Cash Flow Yield -2.584 %
Free Cash Flow Yield QoQ -215.564 %
Free Cash Flow Yield YoY -54.054 %
Free Cash Flow Yield IPRWA high: 20.933 %
mean: -1.472 %
median: -2.117 %
BEKE: -2.584 %
low: -11.83 %
 Free Cash Growth -212.827 %
Free Cash Growth QoQ -499.961 %
Free Cash Growth YoY 8.235 %
Free Cash Growth IPRWA high: 507.935 %
mean: -48.9 %
median: -164.903 %
BEKE: -212.827 %
low: -498.104 %
 Free Cash To Net Income -1.172
 Cash Flow Margin 0.841 %
 Cash Flow To Earnings 0.126
VALUE & RETURNS
 Economic Value Added 0.03
 Return On Assets (ROA) 1.097 %
Return On Assets QoQ 1382.432 %
Return On Assets YoY 69.029 %
Return On Assets IPRWA high: 2.387 %
BEKE: 1.097 %
median: 0.627 %
mean: 0.456 %
low: -4.297 %
 Return On Capital Employed (ROCE) 1.786 %
 Return On Equity (ROE) 0.019
Return On Equity QoQ 1377.273 %
Return On Equity YoY 56.879 %
Return On Equity IPRWA high: 0.037
BEKE: 0.019
mean: 0.013
median: 0.01
low: -0.097
 DuPont ROE 1.92 %
 Return On Invested Capital (ROIC) 1.322 %
Return On Invested Capital QoQ -48.52 %
Return On Invested Capital YoY 149.905 %
Return On Invested Capital IPRWA high: 3.815 %
BEKE: 1.322 %
median: 0.96 %
mean: 0.581 %
low: -4.039 %

Six-Week Outlook

Directional setup favors modest upside: short-term oscillators (MACD crossing above signal, rising RSI) and price above key EMAs support a continuation of recent gains, while ADX below 20 warns of limited trend conviction. The buyback commencement and above-peer operating margin underpin bullish sentiment, but MRO positive and negative free cash flow inject mean-reversion risk. Expect price to test resistance near the upper Bollinger band and the recent high while the $17.01 superTrend lower provides a clear near-term support reference; volatility and catalyst flow (company announcements or analyst updates) should drive directional moves within this window.

About KE Holdings Inc.

KE Holdings Inc. (NYSE:BEKE) develops an integrated platform for real estate transactions and services in China. Headquartered in Beijing, the company operates through its primary brands, Beike and Lianjia. Beike offers a comprehensive digital ecosystem for buying, selling, and renting properties, while Lianjia provides face-to-face real estate brokerage services through its extensive chain of stores. The company organizes its operations into four main segments: Existing Home Transaction Services, New Home Transaction Services, Home Renovation and Furnishing, and Emerging and Other Services. These segments enable KE Holdings to meet diverse customer needs, from property transactions to home improvement solutions. KE Holdings utilizes advanced technology to enhance its service offerings, employing an Agent Cooperation Network and software-as-a-service systems to facilitate collaboration among service providers. The company also ensures transparency and security in real estate transactions by offering services such as contract management, secure payment processing, and escrow services. Through its multifaceted approach, KE Holdings plays a significant role in China’s real estate market, integrating online and offline experiences to streamline housing transactions and services.



© 2026 WMDST — The World’s Most Dangerous Swing Trader. All rights reserved.