WallStSmart
ABLV

Able View Global Inc. Class B Ordinary Shares

NASDAQ: ABLV · CONSUMER CYCLICAL · SPECIALTY RETAIL

$0.62
-22.63% today

Updated 2026-04-29

Market cap
$30.47M
P/E ratio
P/S ratio
0.27x
EPS (TTM)
$-0.05
Dividend yield
52W range
$1 – $2
Volume
0.5M

Able View Global Inc. Class B Ordinary Shares (ABLV) Stock Valuation Analysis

Fair value estimate, historical valuation range, and quality signals for ABLV.

WallStSmart Verdict
Overvalued

Current price exceeds what fundamentals support. Risk/reward skewed unfavorably.

Smart Value Score: 26 / 100
P/E (TTM)
Not meaningful for this profile
PEG
Margin of Safety
+82.37%
Fair value $4.48 vs $0.62
EV / EBITDA
0.0x

ABLV historical valuation range

Where current P/E sits in ABLV's own 5Y range.

Insufficient historical data for 5Y percentile analysis

ABLV intrinsic value (DCF)

DCF-based fair value estimate vs current market price.

Current price
$0.62
Market value
Intrinsic value
$4.48
DCF estimate
Margin of safety
+82.37%
+626.1% upside to fair value

Intrinsic value calculated using discounted cash flow (DCF) model based on projected free cash flows, discount rate, and terminal growth assumptions. A positive margin of safety indicates the current price is below estimated fair value, providing a cushion against estimation error.

ABLV valuation signals

Quick-read green flags, caution flags, and risks based on current metrics.

Strong margin of safety
Current price 82.4% below DCF intrinsic value estimate. Meaningful downside cushion.
Weak financial quality
Piotroski F-Score of 3/9 suggests deteriorating fundamentals. Valuation requires closer scrutiny.

P/E Ratio — History

P/S Ratio — History

Current: 0.27x

Is ABLV overvalued in 2026?

Able View Global Inc. Class B Ordinary Shares (ABLV) currently trades at $0.62 per share with a market capitalization of $30,473,600.00. Based on our multi-factor framework, the stock appears richly valued with a Smart Value Score of 26/100. This score blends growth quality, financial health, and price attractiveness into a single institutional-grade read.

ABLV currently has no meaningful P/E ratio, which typically signals that the company is unprofitable, near breakeven, or emerging from a loss-making period. With a P/S ratio of 0.3x, the market is valuing the company primarily on its revenue rather than its earnings.

Our discounted cash flow model estimates ABLV's intrinsic value at $4.48 per share, against the current market price of $0.62. This implies a margin of safety of +82.37%. A meaningful cushion exists against model error, making this a reasonable risk-adjusted entry.

Financial quality is a concern. The Piotroski F-Score of 3/9 flags weakening fundamentals that deserve closer scrutiny before the valuation case can be fully trusted.

Bottom line: ABLV appears richly valued on our framework, with a Smart Value Score of 26/100. At current levels the risk/reward is skewed against the buyer. A materially lower price or significant operational improvement would be needed to change the picture.

Frequently asked questions

Is ABLV overvalued in 2026?

Based on a Smart Value Score of 26/100, ABLV appears overvalued. Current price exceeds what fundamentals currently justify.

What is ABLV's fair value?

Our DCF model estimates ABLV's intrinsic value at $4.48 per share, versus the current price of $0.62. This produces a margin of safety of +82.37%.

What P/E ratio does ABLV trade at?

ABLV does not have a meaningful P/E ratio at this time, typically a sign of unprofitability or an ongoing earnings transition.

Is ABLV a buy based on valuation?

WallStSmart does not issue buy or sell recommendations. Our Smart Value Score of 26/100 reflects the combined read on growth, quality, and price. The profile skews cautious. Consider waiting for a better price or clearer operational improvement.

How does ABLV's valuation compare to its history?

Insufficient historical valuation data exists yet for a confident percentile read on ABLV.

What is ABLV's Smart Value Score?

ABLV's Smart Value Score is 26/100. The Smart Value Score is a proprietary WallStSmart metric blending growth quality, financial health, and valuation attractiveness into a single 0-100 read. Scores above 75 are rare and indicate strong multi-factor alignment.