` 138040 (Meritz Financial Group Inc) vs KOSPI 200 Comparison - Alpha Spread

138040
vs
K
KOSPI 200

Over the past 12 months, Meritz Financial Group Inc has underperformed KOSPI 200, delivering a return of +2% compared to the KOSPI 200's +83% growth.

Stocks Performance
138040 vs KOSPI 200

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138040
KOSPI 200
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Performance Gap
138040 vs KOSPI 200

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138040
KOSPI 200
Difference
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Performance By Year
138040 vs KOSPI 200

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138040
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Competitors Performance
Meritz Financial Group Inc vs Peers

KOSPI 200
138040
APO
BAJAJFINSV
8591
BMED
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Meritz Financial Group Inc
Glance View

In the bustling heart of South Korea's financial district, Meritz Financial Group Inc. has carved a distinctive niche in the intricate world of finance. Established with a vision to create value and opportunity through innovative financial solutions, Meritz stands tall as a key player in the insurance and investment sectors. The company operates primarily through its two major subsidiaries: Meritz Fire & Marine Insurance and Meritz Asset Management. Through these entities, Meritz offers a suite of products from property and casualty insurance to asset management services, catering to both individual and corporate clients. The symbiosis between the insurance arm and asset management ensures a stable and diverse revenue stream, reducing operational risks and capturing broader market potential through shrewd capital allocation and management. Meritz's growth strategy focuses on embracing emerging technologies and leveraging data analytics to refine its service offerings and enhance customer experiences. The insurance segment primarily draws revenue from premiums, underpinned by a robust underwriting practice and risk management framework. Meanwhile, Meritz Asset Management generates income by managing portfolios, earning fees based on assets under management and performance. This dual-engine approach, bolstered by a keen understanding of market dynamics and prudent investment choices, has enabled Meritz to maintain a resilient financial footing. Meritz's commitment to adaptability and strategic foresight allows it to navigate the ever-evolving financial landscape, ensuring its growth trajectory remains upward while meeting the burgeoning demands of a diversified and discerning clientele.

Intrinsic Value
193 436.79 KRW
Undervaluation 44%
Intrinsic Value
Price
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