On July 9th, the main funds of Xueda Education had a net outflow, and the volatility in the past 5 days was weaker than the overall market

2026-07-10 18:50

Economic Observation Network Xueda Education has been in a volatile market for the past 5 days, performing weaker than the overall market and remaining at the industry average level. In the past 5 days, the main funds have shown a net outflow overall, with a net proportion close to the market average. On July 9th, the main funds showed a net outflow overall, with a balanced net proportion at the market average level.

The market attention of this stock is average, and the overall public opinion is neutral. The frequency of institutional research is relatively low, and the overall research report rating has not changed much. The latest quarterly report disclosed a change of -0.03% in the holding ratio of active equity funds in this stock, and a change of -21.75% in the stock price during the same period. The company has good profitability, average growth ability, good operational ability, but weak debt repayment ability. The current valuation is in the historical low range and at a moderate level within the industry. The current price to earnings TTM is 14.89, which is lower than the industry median and has been at 20.43% of individual stocks in the past 5 years.

The above content is based on publicly available information and does not constitute investment advice.

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