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B
050090
vs
K
KOSPI 200
Over the past 12 months, BK Holdings Co Ltd has underperformed KOSPI 200, delivering a return of -23% compared to KOSPI 200's +116% growth.
Stocks Performance
050090 vs KOSPI 200
Performance Gap
050090 vs KOSPI 200
Performance By Year
050090 vs KOSPI 200
Compare the stock's returns with its benchmark index and competitors. Gain insights into its relative performance over time.
BK Holdings Co Ltd
Glance View
BK Holdings Co Ltd is a Korean holding company, which means it mainly owns stakes in other businesses instead of making a consumer product of its own. Its job is to hold and manage those investments and, in some cases, support the companies it controls. Because of that structure, BK Holdings does not sell to end customers in the usual way. Its money comes mainly from the performance of its subsidiaries and investments, such as dividends, asset gains, and any fees or other income tied to managing its portfolio of businesses. What makes this business model different is that BK Holdings sits one step above operating companies in the value chain. Investors are really buying exposure to the companies it owns and the way its management allocates capital across those holdings, rather than a single product line or branded service.