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Star Holdings (STHO)
NASDAQ:STHO
US Market

Star Holdings (STHO) AI Stock Analysis

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Star Holdings

(NASDAQ:STHO)

41Neutral
Star Holdings' overall stock score is low due to persistent financial challenges, including sustained losses and negative cash flows. The technical analysis signals bearish momentum, adding to the negative outlook. Valuation metrics are unattractive with a negative P/E ratio and no dividend yield, further weighing down the score. While recent corporate actions could improve financial flexibility and shareholder value, they are not sufficient to offset the broader financial and market challenges.

Star Holdings (STHO) vs. S&P 500 (SPY)

Star Holdings Business Overview & Revenue Model

Company Descriptionnull
How the Company Makes Moneynull

Star Holdings Financial Statement Overview

Summary
Star Holdings faces significant financial challenges with persistent losses, negative cash flows, and a reduced asset base. Despite a strong equity ratio and no debt, profitability and cash generation issues weigh heavily on financial health.
Income Statement
35
Negative
Star Holdings has shown a weak financial performance over the past years. The revenue growth from 2023 to 2024 was modest at approximately 12%, but profitability remains a significant issue. The company reported negative net incomes for the past three years, indicating sustained losses. Gross Profit Margin improved from negative to positive, reflecting potential operational improvements. However, both EBIT and EBITDA margins remain negative, raising concerns about operational efficiency and cost management.
Balance Sheet
60
Neutral
The balance sheet presents a mixed picture. Star Holdings has a strong equity base with no debt in the latest year, indicating financial stability and low leverage risk. The Equity Ratio remains high, suggesting a solid asset base funded by equity. However, the decline in total assets and stockholders' equity over the years indicates potential asset liquidation or impairment issues. A strong cash position relative to liabilities is a positive factor.
Cash Flow
40
Negative
Cash flow analysis reveals challenges in liquidity and operational cash generation. The company reports consistent negative operating cash flows, pointing to issues in generating sufficient cash from operations. Free cash flow growth remains negative, reflecting ongoing cash burn, while the Operating Cash Flow to Net Income Ratio is negative due to losses, signaling inefficiencies in cash generation relative to reported net income.
Breakdown
Dec 2024Dec 2023Dec 2022
Income StatementTotal Revenue
88.86M101.17M96.11M
Gross Profit
-25.57M-9.24M-17.23M
EBIT
-12.06M-32.00M12.86M
EBITDA
-77.03M-168.75M10.64M
Net Income Common Stockholders
-86.75M-196.36M-36.35M
Balance SheetCash, Cash Equivalents and Short-Term Investments
34.96M50.66M4.23M
Total Assets
608.65M669.20M1.01B
Total Debt
218.44M194.43M2.01M
Net Debt
183.49M143.77M-2.22M
Total Liabilities
263.66M235.36M33.10M
Stockholders Equity
345.00M411.55M971.54M
Cash FlowFree Cash Flow
-31.29M-32.77M-49.84M
Operating Cash Flow
-31.29M-18.72M-27.36M
Investing Cash Flow
306.00K186.02M236.06M
Financing Cash Flow
15.81M-114.06M-218.31M

Star Holdings Technical Analysis

Technical Analysis Sentiment
Negative
Last Price6.48
Price Trends
50DMA
8.18
Negative
100DMA
8.94
Negative
200DMA
10.89
Negative
Market Momentum
MACD
-0.57
Positive
RSI
34.40
Neutral
STOCH
18.04
Positive
Evaluating momentum and price trends is crucial in stock analysis to make informed investment decisions. For STHO, the sentiment is Negative. The current price of 6.48 is below the 20-day moving average (MA) of 7.39, below the 50-day MA of 8.18, and below the 200-day MA of 10.89, indicating a bearish trend. The MACD of -0.57 indicates Positive momentum. The RSI at 34.40 is Neutral, neither overbought nor oversold. The STOCH value of 18.04 is Positive, not indicating any strong overbought or oversold conditions. Overall, these indicators collectively point to a Negative sentiment for STHO.

Star Holdings Risk Analysis

Star Holdings disclosed 50 risk factors in its most recent earnings report. Star Holdings reported the most risks in the “Finance & Corporate” category.
Finance & Corporate - Financial and accounting risks. Risks related to the execution of corporate activity and strategy
Latest Risks Added 0 New Risks

Star Holdings Peers Comparison

Overall Rating
UnderperformOutperform
Sector (59)
Financial Indicators
Name
Overall Rating
Market Cap
P/E Ratio
ROE
Dividend Yield
Revenue Growth
EPS Growth
59
Neutral
$2.71B11.520.08%8691.97%5.56%-16.56%
50
Neutral
$71.74M26.79%10.69%51.69%
RFRFL
50
Neutral
$53.84M-57.90%156.73%-2380.26%
48
Neutral
$40.52M-83.20%-30.10%51.03%
43
Neutral
$54.88M-77.25%136.66%-532.74%
41
Neutral
$86.31M1.44-23.58%-4.92%55.82%
* Real Estate Sector Average
Performance Comparison
Ticker
Company Name
Price
Change
% Change
STHO
Star Holdings
6.48
-5.57
-46.22%
ASPS
Altisource Portfolio Solutions SA
0.82
-0.88
-51.76%
LODE
Comstock Mining
2.04
-0.81
-28.42%
RFL
Rafael Holdings
1.68
-0.06
-3.45%
OPAD
Offerpad Solutions
1.48
-5.96
-80.11%

Star Holdings Corporate Events

Private Placements and FinancingStock BuybackBusiness Operations and Strategy
Star Holdings Announces Amendments to Financial Agreements
Positive
Mar 31, 2025

On March 28, 2025, Star Holdings announced amendments to several financial agreements, including a term loan credit agreement with Safehold, a management agreement with Safehold Management Services, and a margin loan facility with Morgan Stanley. These amendments extend loan maturities, increase management fees and termination fees, and allow for additional funding and share repurchases. The company’s board authorized a $10 million share repurchase program, reflecting a strategic move to enhance shareholder value. These changes are expected to impact the company’s financial flexibility and market positioning positively.

Glossary
OutperformA stock rated as "Outperform" is expected to perform better than the overall market or a specific benchmark over the near-to-medium term. This rating suggests that the stock is likely to deliver higher returns compared to the average returns of other stocks in the same sector or market index. Investors might consider this stock a good buying opportunity.
NeutralA stock rated as "Neutral" is expected to perform in line with the overall market or a specific benchmark. This rating indicates that the stock is neither particularly attractive nor unattractive for investment. Investors may consider holding onto the stock, as it is not expected to either significantly outperform or underperform the market.
UnderperformA stock rated as "Underperform" is expected to perform worse than the overall market or a specific benchmark over the near-to-medium term. This rating suggests that the stock may deliver lower returns compared to the average returns of other stocks in the same sector or market index. Investors might consider selling the stock or avoiding it as an investment.

Disclaimer

This AI Analyst Stock Report is automatically generated by our AI systems using advanced algorithms and publicly available financial, technical, and market data. While the information provided aims to be accurate and insightful, it is intended for informational purposes only and should not be considered financial advice. Any content created by an AI (Artificial Intelligence) system may contain inaccuracies and/or contain errors. Investing in stocks carries inherent risks, and past performance is not indicative of future results. This report does not account for your personal financial circumstances, objectives, or risk tolerance. Always conduct your own research or consult with a qualified financial advisor before making investment decisions. The analysis and recommendations provided are based on historical and current data and may not fully reflect future market conditions or unexpected developments. Neither the creators of this report nor its affiliated entities guarantee the accuracy, completeness, or reliability of the information presented. Use this report at your own discretion and risk.