Financials Kyung Chang Industrial Co., Ltd.

Equities

A024910

KR7024910002

Auto, Truck & Motorcycle Parts

End-of-day quote Korea S.E. 23:00:00 13/05/2024 BST 5-day change 1st Jan Change
2,595 KRW -0.57% Intraday chart for Kyung Chang Industrial Co., Ltd. -9.58% +8.35%

Valuation

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Capitalization 1 48,075 44,865 88,960 123,654 70,990 85,223
Enterprise Value (EV) 1 366,930 352,640 349,404 342,800 258,648 234,003
P/E ratio -2.18 x -0.61 x 18.5 x 29.1 x 3.44 x 9.31 x
Yield 0.72% - - - - 2.09%
Capitalization / Revenue 0.08 x 0.08 x 0.18 x 0.22 x 0.12 x 0.13 x
EV / Revenue 0.62 x 0.66 x 0.72 x 0.61 x 0.42 x 0.35 x
EV / EBITDA 7.08 x 15.3 x 7.64 x 7.15 x 5.38 x 4.69 x
EV / FCF -10.5 x -32.1 x 11.1 x 9.92 x 12.5 x 9.96 x
FCF Yield -9.56% -3.11% 9.01% 10.1% 8.02% 10%
Price to Book 0.34 x 0.58 x 1.05 x 1.38 x 0.59 x 0.63 x
Nbr of stocks (in thousands) 34,837 35,051 35,584 35,584 35,584 35,584
Reference price 2 1,380 1,280 2,500 3,475 1,995 2,395
Announcement Date 08/04/19 13/05/20 22/03/21 22/03/22 22/03/23 19/03/24
1KRW in Million2KRW
Estimates

Income Statement Evolution (Annual data)

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net sales 1 596,494 531,349 486,426 563,663 615,580 667,254
EBITDA 1 51,814 23,033 45,726 47,915 48,082 49,930
EBIT 1 16,468 -15,116 13,005 15,020 19,226 20,818
Operating Margin 2.76% -2.84% 2.67% 2.66% 3.12% 3.12%
Earnings before Tax (EBT) 1 -31,548 -79,994 3,510 3,846 9,288 13,215
Net income 1 -23,931 -71,356 4,802 4,240 20,608 9,128
Net margin -4.01% -13.43% 0.99% 0.75% 3.35% 1.37%
EPS 2 -633.3 -2,087 135.3 119.5 580.6 257.2
Free Cash Flow 1 -35,087 -10,975 31,471 34,542 20,737 23,504
FCF margin -5.88% -2.07% 6.47% 6.13% 3.37% 3.52%
FCF Conversion (EBITDA) - - 68.83% 72.09% 43.13% 47.07%
FCF Conversion (Net income) - - 655.4% 814.68% 100.63% 257.5%
Dividend per Share 2 10.00 - - - - 50.00
Announcement Date 08/04/19 13/05/20 22/03/21 22/03/22 22/03/23 19/03/24
1KRW in Million2KRW
Estimates

Balance Sheet Analysis

Fiscal Period: December 2018 2019 2020 2021 2022 2023
Net Debt 1 318,856 307,776 260,444 219,146 187,658 148,779
Net Cash position 1 - - - - - -
Leverage (Debt/EBITDA) 6.154 x 13.36 x 5.696 x 4.574 x 3.903 x 2.98 x
Free Cash Flow 1 -35,087 -10,975 31,471 34,542 20,737 23,504
ROE (net income / shareholders' equity) -15.5% -59.8% 4.81% 3.52% 15.9% 6.15%
ROA (Net income/ Total Assets) 1.59% -1.57% 1.5% 1.82% 2.37% 2.56%
Assets 1 -1,506,072 4,543,225 321,146 232,437 870,418 355,950
Book Value Per Share 2 4,096 2,194 2,380 2,513 3,407 3,786
Cash Flow per Share 2 350.0 554.0 556.0 739.0 704.0 1,008
Capex 1 68,552 39,854 19,603 12,508 11,629 29,498
Capex / Sales 11.49% 7.5% 4.03% 2.22% 1.89% 4.42%
Announcement Date 08/04/19 13/05/20 22/03/21 22/03/22 22/03/23 19/03/24
1KRW in Million2KRW
Estimates
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