Eugene Investment & SecuritiesLtd Past Earnings Performance
Past criteria checks 3/6
Eugene Investment & SecuritiesLtd's earnings have been declining at an average annual rate of -14.9%, while the Capital Markets industry saw earnings declining at 1.7% annually. Revenues have been growing at an average rate of 7.1% per year. Eugene Investment & SecuritiesLtd's return on equity is 3.8%, and it has net margins of 3%.
Key information
-14.9%
Earnings growth rate
-14.1%
EPS growth rate
Capital Markets Industry Growth | 6.5% |
Revenue growth rate | 7.1% |
Return on equity | 3.8% |
Net Margin | 3.0% |
Last Earnings Update | 30 Jun 2024 |
Recent past performance updates
Recent updates
Some Confidence Is Lacking In Eugene Investment & Securities Co.,Ltd. (KRX:001200) As Shares Slide 29%
Aug 05Eugene Investment & Securities Co.,Ltd.'s (KRX:001200) 29% Share Price Surge Not Quite Adding Up
Jun 20Does Eugene Investment & SecuritiesLtd (KRX:001200) Deserve A Spot On Your Watchlist?
Apr 28Why Eugene Investment & Securities Co.,Ltd. (KRX:001200) Is A Dividend Rockstar
Mar 05How Much Of Eugene Investment & Securities Co.,Ltd. (KRX:001200) Do Institutions Own?
Feb 07If You Had Bought Eugene Investment & SecuritiesLtd (KRX:001200) Shares A Year Ago You'd Have Earned 70% Returns
Dec 20Is Eugene Investment & Securities Co.,Ltd. (KRX:001200) A Smart Pick For Income Investors?
Nov 24Revenue & Expenses Breakdown
How Eugene Investment & SecuritiesLtd makes and spends money. Based on latest reported earnings, on an LTM basis.
Earnings and Revenue History
Date | Revenue | Earnings | G+A Expenses | R&D Expenses |
---|---|---|---|---|
30 Jun 24 | 1,326,749 | 39,601 | 205,521 | 0 |
31 Mar 24 | 1,318,366 | 17,660 | 192,963 | 0 |
31 Dec 23 | 1,402,786 | 30,696 | 197,874 | 0 |
30 Sep 23 | 1,187,238 | 4,319 | 194,510 | 0 |
30 Jun 23 | 1,414,176 | 11,277 | 194,228 | 0 |
31 Mar 23 | 1,566,731 | 30,831 | 207,968 | 0 |
31 Dec 22 | 1,657,612 | 15,672 | 199,178 | 0 |
30 Sep 22 | 1,791,647 | 52,694 | 196,623 | 0 |
30 Jun 22 | 1,548,414 | 64,006 | 193,765 | 0 |
31 Mar 22 | 1,353,579 | 74,425 | 191,126 | 0 |
31 Dec 21 | 1,273,632 | 90,686 | 202,814 | 0 |
30 Sep 21 | 1,283,622 | 92,077 | 198,023 | 0 |
30 Jun 21 | 1,245,144 | 88,244 | 207,892 | 0 |
31 Mar 21 | 1,343,952 | 87,926 | 217,501 | 0 |
31 Dec 20 | 1,408,194 | 75,403 | 205,983 | 0 |
30 Sep 20 | 1,306,808 | 63,206 | 190,044 | 0 |
30 Jun 20 | 1,373,640 | 63,359 | 176,912 | 0 |
31 Mar 20 | 1,210,095 | 45,156 | 162,221 | 0 |
31 Dec 19 | 907,696 | 41,337 | 153,803 | 0 |
30 Sep 19 | 905,837 | 42,942 | 156,083 | 0 |
30 Jun 19 | 738,750 | 36,724 | 147,989 | 0 |
31 Mar 19 | 719,792 | 45,627 | 142,382 | 0 |
31 Dec 18 | 756,981 | 46,480 | 149,939 | 0 |
30 Sep 18 | 732,382 | 53,839 | 146,065 | 0 |
30 Jun 18 | 740,547 | 61,916 | 150,035 | 0 |
31 Mar 18 | 724,536 | 57,208 | 154,797 | 0 |
31 Dec 17 | 679,171 | 56,120 | 142,830 | 0 |
30 Sep 17 | 680,563 | 52,576 | 148,360 | 0 |
30 Jun 17 | 688,098 | 48,492 | 143,138 | 0 |
31 Mar 17 | 679,047 | 48,335 | 140,608 | 0 |
31 Dec 16 | 659,363 | 45,975 | 141,458 | 0 |
30 Sep 16 | 590,220 | 38,300 | 136,375 | 0 |
30 Jun 16 | 628,368 | 37,813 | 141,304 | 0 |
31 Mar 16 | 677,055 | 44,120 | 136,175 | 0 |
31 Dec 15 | 654,118 | 51,946 | 141,044 | 0 |
30 Sep 15 | 657,592 | 49,612 | 137,090 | 0 |
30 Jun 15 | 594,946 | 44,098 | 130,880 | 0 |
31 Mar 15 | 521,546 | 28,787 | 125,269 | 0 |
31 Dec 14 | 489,585 | 6,415 | 112,891 | 0 |
31 Dec 13 | 459,802 | 12,173 | 119,459 | 0 |
30 Sep 13 | 466,931 | 27,156 | 127,518 | 0 |
Quality Earnings: A001200 has a large one-off loss of ₩301.1B impacting its last 12 months of financial results to 30th June, 2024.
Growing Profit Margin: A001200's current net profit margins (3%) are higher than last year (0.8%).
Free Cash Flow vs Earnings Analysis
Past Earnings Growth Analysis
Earnings Trend: A001200's earnings have declined by 14.9% per year over the past 5 years.
Accelerating Growth: A001200's earnings growth over the past year (251.2%) exceeds its 5-year average (-14.9% per year).
Earnings vs Industry: A001200 earnings growth over the past year (251.2%) exceeded the Capital Markets industry -3.7%.
Return on Equity
High ROE: A001200's Return on Equity (3.8%) is considered low.