Dashboard
With a Operating Losses, the company has a Weak Long Term Fundamental Strength
- Poor long term growth as Net Sales has grown by an annual rate of 21.00% and Operating profit at -79.80% over the last 5 years
- High Debt Company with a Debt to Equity ratio (avg) at times
Negative results in Jun 25
Risky - Negative EBITDA
Below par performance in long term as well as near term
Total Returns (Price + Dividend) 
Safe & Green Development Corp. for the last several years.
Risk Adjusted Returns v/s 
News
Is Safe & Green Development Corp. technically bullish or bearish?
As of 8 September 2025, the technical trend for Safe & Green Development Corp. has changed from mildly bearish to mildly bullish. The weekly MACD indicates a mildly bullish stance, while the Bollinger Bands are bullish on the weekly timeframe but mildly bearish on the monthly. The daily moving averages show a mildly bearish trend, and the KST is bullish weekly with no signal monthly. Dow Theory suggests a mildly bullish stance on the monthly timeframe, but the weekly shows no trend. The OBV is bullish on the monthly and shows no trend weekly. In terms of performance, the stock has underperformed the S&P 500 across multiple periods, with a year-to-date return of -47.7% compared to the S&P 500's 12.22%, and a one-year return of -72.08% versus 17.14%. Overall, the current technical stance is mildly bullish, but the significant underperformance relative to the benchmark is notable....
Read MoreIs Safe & Green Development Corp. overvalued or undervalued?
As of 15 August 2025, the valuation grade for Safe & Green Development Corp. has moved from does not qualify to risky. The company is overvalued based on its current financial metrics. Key ratios include a Price to Book Value of 1.30, an EV to EBIT of -1.65, and an EV to Sales of 10.79, all of which indicate significant financial distress and inefficiency compared to its peers. In comparison to its peers, Safe & Green Development Corp. has a P/E ratio of -0.2337 and an EV to EBITDA of -4.1238, highlighting its struggles relative to the industry. Notably, the company's recent stock performance has been poor, with a year-to-date return of -47.7% compared to a positive 12.22% return for the S&P 500, further reinforcing the notion of overvaluation amidst financial instability....
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Corporate Actions 
Quality key factors 
Valuation key factors
Technicals key factors
Shareholding Snapshot : Mar 2025
Shareholding Compare (%holding) 
Domestic Funds
Held in 2 Schemes (0.77%)
Held by 3 Foreign Institutions (0.49%)
Quarterly Results Snapshot (Consolidated) - Jun'25 - YoY
YoY Growth in quarter ended Jun 2025 is 0.00% vs 0.00% in Jun 2024
YoY Growth in quarter ended Jun 2025 is -185.00% vs -150.00% in Jun 2024
Annual Results Snapshot (Consolidated) - Dec'24
YoY Growth in year ended Dec 2024 is 0.00% vs 0.00% in Dec 2023
YoY Growth in year ended Dec 2024 is -111.90% vs -75.00% in Dec 2023






