DB Financial Investment Past Earnings Performance
Past criteria checks 3/6
DB Financial Investment's earnings have been declining at an average annual rate of -22.2%, 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. DB Financial Investment's return on equity is 2.5%, and it has net margins of 3.1%.
Key information
-22.2%
Earnings growth rate
-22.1%
EPS growth rate
Capital Markets Industry Growth | 6.5% |
Revenue growth rate | -4.8% |
Return on equity | 2.5% |
Net Margin | 3.1% |
Last Earnings Update | 30 Jun 2024 |
Recent past performance updates
No updates
Recent updates
DB Financial Investment Co., Ltd. (KRX:016610) Surges 39% Yet Its Low P/E Is No Reason For Excitement
Sep 06Is DB Financial Investment Co., Ltd. (KRX:016610) A Smart Pick For Income Investors?
Apr 10Does DB Financial Investment (KRX:016610) Deserve A Spot On Your Watchlist?
Mar 20Do Insiders Own Lots Of Shares In DB Financial Investment Co., Ltd. (KRX:016610)?
Feb 27DB Financial Investment (KRX:016610) Has Compensated Shareholders With A Respectable 58% Return On Their Investment
Jan 31What To Know Before Buying DB Financial Investment Co., Ltd. (KRX:016610) For Its Dividend
Jan 06Here's Why We Think DB Financial Investment (KRX:016610) Is Well Worth Watching
Dec 16What Is The Ownership Structure Like For DB Financial Investment Co., Ltd. (KRX:016610)?
Nov 28Revenue & Expenses Breakdown
How DB Financial Investment 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 | 839,493 | 25,855 | 207,052 | 0 |
31 Mar 24 | 776,208 | 7,672 | 196,636 | 0 |
31 Dec 23 | 837,956 | 6,170 | 189,230 | 0 |
30 Sep 23 | 513,989 | 11,462 | 174,310 | 0 |
30 Jun 23 | 782,165 | 6,059 | 179,132 | 0 |
31 Mar 23 | 1,006,996 | 6,773 | 177,327 | 0 |
31 Dec 22 | 1,038,628 | -77 | 175,691 | 0 |
30 Sep 22 | 1,473,912 | 30,651 | 188,672 | 0 |
30 Jun 22 | 1,328,793 | 61,095 | 192,143 | 0 |
31 Mar 22 | 1,208,592 | 91,384 | 201,321 | 0 |
31 Dec 21 | 1,274,942 | 117,284 | 210,701 | 0 |
30 Sep 21 | 1,267,050 | 141,933 | 219,616 | 0 |
30 Jun 21 | 1,269,565 | 139,951 | 215,479 | 0 |
31 Mar 21 | 1,259,818 | 134,323 | 212,906 | 0 |
31 Dec 20 | 1,435,925 | 96,415 | 200,517 | 0 |
30 Sep 20 | 1,389,669 | 59,943 | 183,204 | 0 |
30 Jun 20 | 1,276,076 | 33,437 | 176,627 | 0 |
31 Mar 20 | 1,220,532 | 28,024 | 168,595 | 0 |
31 Dec 19 | 861,271 | 48,539 | 170,490 | 0 |
30 Sep 19 | 772,352 | 36,008 | 174,191 | 0 |
30 Jun 19 | 753,060 | 53,055 | 175,757 | 0 |
31 Mar 19 | 741,313 | 59,891 | 177,740 | 0 |
31 Dec 18 | 721,894 | 54,348 | 177,470 | 0 |
30 Sep 18 | 761,435 | 50,539 | 175,309 | 0 |
30 Jun 18 | 763,884 | 47,440 | 173,603 | 0 |
31 Mar 18 | 736,752 | 33,866 | 173,291 | 0 |
31 Dec 17 | 792,880 | 4,434 | 169,519 | 0 |
30 Sep 17 | 866,708 | 18,548 | 161,702 | 0 |
30 Jun 17 | 962,877 | -9,717 | 164,605 | 0 |
31 Mar 17 | 985,661 | -12,646 | 162,316 | 0 |
31 Dec 16 | 1,159,716 | 105 | 161,043 | 0 |
30 Sep 16 | 1,038,617 | -18,397 | 166,009 | 0 |
30 Jun 16 | 1,230,192 | 491 | 162,734 | 0 |
31 Mar 16 | 1,295,116 | -11,599 | 159,610 | 0 |
31 Dec 15 | 1,150,790 | -7,476 | 161,711 | 0 |
30 Sep 15 | 1,246,642 | 5,574 | 158,564 | 0 |
30 Jun 15 | 952,410 | 3,328 | 157,227 | 0 |
31 Mar 15 | 1,003,529 | 15,834 | 155,909 | 0 |
31 Dec 14 | 909,038 | 14,943 | 148,541 | 0 |
31 Dec 13 | 965,735 | 43,242 | 145,511 | 0 |
Quality Earnings: A016610 has a large one-off loss of ₩208.7B impacting its last 12 months of financial results to 30th June, 2024.
Growing Profit Margin: A016610's current net profit margins (3.1%) are higher than last year (0.8%).
Free Cash Flow vs Earnings Analysis
Past Earnings Growth Analysis
Earnings Trend: A016610's earnings have declined by 22.2% per year over the past 5 years.
Accelerating Growth: A016610's earnings growth over the past year (326.7%) exceeds its 5-year average (-22.2% per year).
Earnings vs Industry: A016610 earnings growth over the past year (326.7%) exceeded the Capital Markets industry 16.7%.
Return on Equity
High ROE: A016610's Return on Equity (2.5%) is considered low.