《大行报告》小米(01810.HK)投资评级及目标价(表)(更新)
小米集团(01810.HK)将於下周三(26日)公布今年首季业绩,据调查机构IDC早前研究指出小米今年首季智能手机付运量按年升近65%至4,860万台,兼且受惠於智能手机产品走向高端化,本网综合7间券商料小米2021年首季非国际财务报告准则经调整净利润预测介乎33.62亿至45.66亿人民币,较2020年首季23亿人民币,按年升46.4%至98.5%;中位数41.62亿人民币,按年升81%。
综合5间券商料小米2021年首季利润预测介乎33.68亿至47.1亿人民币,较2020年首季利润21.6亿人民币,上升55.9%至118%;中位数36.13亿人民币,按年升67.3%。券商料小米首季在欧洲市场的智能手机市场份额提升,可抵销印度市场份额流失的影响,兼且集团转拓较高端售价的手机可提升收入表现,相信投资者将关注来自竞争对手荣耀所带来竞争、印度市场情况及集团拓展电动车指引。
本网综合16间券商对小米的投资评级及目标价(港元):
券商│投资评级│目标价(港元)
中信证券│买入│36元
银河-联昌证券│收集│34.8元
瑞信│跑嬴大市│34.3元
中金│跑嬴行业│34元
光大证券│买入│34元
广发证券│买入│33.6元
摩根大通│增持│32元
里昂│买入│32元
摩根士丹利│增持│31.5元
华泰证券│买入│30.1元
花旗│买入│30元
高盛│买入│30元
中信建投证券│买入│30元
瑞银│中性│28元
美银证券│中性│27.4元
野村│买入│27元
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