` 139130 (DGB Financial Group) vs KOSPI 200 Comparison - Alpha Spread

139130
vs
K
KOSPI 200

Over the past 12 months, DGB Financial Group has underperformed KOSPI 200, delivering a return of +97% compared to the KOSPI 200's +120% growth.

Stocks Performance
139130 vs KOSPI 200

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139130
KOSPI 200
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Performance Gap
139130 vs KOSPI 200

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139130
KOSPI 200
Difference
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Performance By Year
139130 vs KOSPI 200

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139130
KOSPI 200
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Competitors Performance
DGB Financial Group vs Peers

KOSPI 200
139130
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AUUD
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DGB Financial Group
Glance View

Market Cap
3T KRW
Industry
Banking

DGB Financial Group Co., Ltd. engages in the management of its subsidiaries. The company is headquartered in Daegu, Daegu. The company went IPO on 2011-06-07. The firm operates through six segments. The Banking segment uses funds acquired in the form of deposits from the general public as its main source, and supplies funds in the form of short- and long-term loans to fund consumers. The Life Insurance Business segment engages in the life insurance business. The Financial Investment Business segment engages in investment trading business, investment brokerage business, discretionary investment business, investment advisory business, and collective investment business. The Specialized Credit Finance Business segment engages in the facility rental business, installment finance business, and new technology business finance business. The Asset Management Business segment engages in securities investment trust management and investment advice. The Financial Holding Business segment engages in financial support and business management for subsidiaries.

Intrinsic Value
34 647.48 KRW
Undervaluation 46%
Intrinsic Value
Price ₩18 700
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