Hanwha Investment & Securities Co., Ltd.

KOSE:A003530 Stock Report

Market Cap: ₩844.1b

Hanwha Investment & Securities Past Earnings Performance

Past criteria checks 1/6

Hanwha Investment & Securities's earnings have been declining at an average annual rate of -27.2%, while the Capital Markets industry saw earnings declining at 1.2% annually. Revenues have been declining at an average rate of 4.8% per year. Hanwha Investment & Securities's return on equity is 1.8%, and it has net margins of 1.8%.

Key information

-27.2%

Earnings growth rate

-29.3%

EPS growth rate

Capital Markets Industry Growth6.5%
Revenue growth rate-4.8%
Return on equity1.8%
Net Margin1.8%
Last Earnings Update30 Jun 2024

Recent past performance updates

Recent updates

If You Had Bought Hanwha Investment & Securities (KRX:003530) Shares A Year Ago You'd Have Earned 35% Returns

Jan 31
If You Had Bought Hanwha Investment & Securities (KRX:003530) Shares A Year Ago You'd Have Earned 35% Returns

How Much Of Hanwha Investment & Securities Co., Ltd. (KRX:003530) Do Institutions Own?

Dec 06
How Much Of Hanwha Investment & Securities Co., Ltd. (KRX:003530) Do Institutions Own?

Revenue & Expenses Breakdown

How Hanwha Investment & Securities makes and spends money. Based on latest reported earnings, on an LTM basis.


Earnings and Revenue History

KOSE:A003530 Revenue, expenses and earnings (KRW Millions)
DateRevenueEarningsG+A ExpensesR&D Expenses
30 Jun 241,558,05128,010211,8780
31 Mar 241,505,14756,090216,2280
31 Dec 231,517,5518,913223,5230
30 Sep 231,447,672-49,074226,2930
30 Jun 231,684,622-38,602231,2510
31 Mar 231,879,153-56,858227,1170
31 Dec 221,774,686-54,867222,5680
30 Sep 221,864,73756,379231,8460
30 Jun 221,636,24489,557237,6120
31 Mar 221,432,793125,998247,3080
31 Dec 211,759,093144,113256,2760
30 Sep 212,063,429130,553248,7770
30 Jun 212,111,127147,497242,7160
31 Mar 212,128,006151,376234,9380
31 Dec 202,599,43967,165212,0000
30 Sep 202,295,53072,986208,8130
30 Jun 202,193,73937,937195,8360
31 Mar 202,239,41932,920194,4970
31 Dec 191,453,73898,444197,3720
30 Sep 191,587,35873,637193,8460
30 Jun 191,573,22082,750197,8620
31 Mar 191,660,76975,682191,4780
31 Dec 181,804,55372,470191,5160
30 Sep 181,775,78678,345187,9770
30 Jun 181,878,07964,778184,7710
31 Mar 181,675,46964,164187,1010
31 Dec 171,634,64655,490181,2210
30 Sep 171,442,58317,151177,2850
30 Jun 171,464,37014,780172,8180
31 Mar 171,348,007-77,309159,3410
31 Dec 161,491,990-160,942152,0920
30 Sep 161,470,274-176,373138,3230
30 Jun 162,115,288-186,132141,2660
31 Mar 162,214,772-95,261146,2730
31 Dec 151,724,781-12,241150,5040
30 Sep 151,733,64123,231173,8400
30 Jun 15823,94040,890171,8960
31 Mar 15798,55424,719174,3770
31 Dec 14758,7939,496177,7230
31 Dec 13805,704-63,333255,0970

Quality Earnings: A003530 has a high level of non-cash earnings.

Growing Profit Margin: A003530 became profitable in the past.


Free Cash Flow vs Earnings Analysis


Past Earnings Growth Analysis

Earnings Trend: A003530's earnings have declined by 27.2% per year over the past 5 years.

Accelerating Growth: A003530 has become profitable in the last year, making the earnings growth rate difficult to compare to its 5-year average.

Earnings vs Industry: A003530 has become profitable in the last year, making it difficult to compare its past year earnings growth to the Capital Markets industry (16.7%).


Return on Equity

High ROE: A003530's Return on Equity (1.8%) is considered low.


Return on Assets


Return on Capital Employed


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