Korea Investment Holdings Co Ltd
KRX:071050
Gross Margin
Gross Margin shows how much money a company keeps from each dollar of sales after paying for the products it sells. It tells how profitable the company`s core business is before other expenses.
Gross Margin shows how much money a company keeps from each dollar of sales after paying for the products it sells. It tells how profitable the company`s core business is before other expenses.
Peer Comparison
| Country | Company | Market Cap |
Gross Margin |
||
|---|---|---|---|---|---|
| KR |
|
Korea Investment Holdings Co Ltd
KRX:071050
|
14.7T KRW |
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|
| US |
|
Morgan Stanley
NYSE:MS
|
251.6B USD |
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|
|
| US |
|
Goldman Sachs Group Inc
NYSE:GS
|
241.6B USD |
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|
|
| EG |
|
EFG Hermes Holdings SAE
LSE:EFGD
|
167.9B USD |
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|
|
| US |
|
Charles Schwab Corp
NYSE:SCHW
|
164B USD |
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|
|
| US |
|
Interactive Brokers Group Inc
NASDAQ:IBKR
|
116.1B USD |
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|
| US |
|
Robinhood Markets Inc
NASDAQ:HOOD
|
67.5B USD |
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|
|
| CN |
|
CITIC Securities Co Ltd
SSE:600030
|
383.1B CNY |
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|
| CN |
|
Guotai Junan Securities Co Ltd
SSE:601211
|
316.3B CNY |
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|
| US |
|
Raymond James Financial Inc
NYSE:RJF
|
28B USD |
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|
| CN |
|
China Securities Co Ltd
SSE:601066
|
178.2B CNY |
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Market Distribution
| Min | -646.5% |
| 30th Percentile | 12.8% |
| Median | 19.7% |
| 70th Percentile | 32.2% |
| Max | 54 001.3% |
Other Profitability Ratios
Korea Investment Holdings Co Ltd
Glance View
Amid the bustling financial landscape of South Korea, Korea Investment Holdings Co., Ltd. stands out as a beacon of innovation and strategic prowess. Established in 1974, the company has grown from its humble origins to become a formidable player in the realm of investment services. Originally focused on securities brokerage, Korea Investment Holdings deftly expanded its scope, navigating the intricacies of financial markets with a keen eye for opportunity. By adopting comprehensive asset management strategies, the company diversified its revenue streams, successfully evolving into a full-fledged financial services group. The company's journey reflects a carefully crafted narrative of diversification, risk management, and an unwavering commitment to creating long-term value. Central to Korea Investment Holdings' operations is its ability to wear multiple financial hats with flair. The company's business model revolves around a robust platform offering securities brokerage, asset management, and investment banking services. By catering to both retail and institutional clients, it taps into diverse revenue streams while reducing risk exposure associated with market fluctuations. The asset management wing thrives on its efficient allocation of client funds across equities, fixed-income securities, and alternative investments. Meanwhile, its investment banking division crafts tailored financing solutions, brokering mergers, and acquisitions, and facilitating capital-raising efforts. Through these multifaceted operations, Korea Investment Holdings has achieved a balanced mix of fee income and interest income, proving itself a master at orchestrating a symphony of financial returns.
See Also
Gross Margin is calculated by dividing the Gross Profit by the Revenue.
The current Gross Margin for Korea Investment Holdings Co Ltd is 80.8%, which is below its 3-year median of 83.6%.
Over the last 3 years, Korea Investment Holdings Co Ltd’s Gross Margin has decreased from 89% to 80.8%. During this period, it reached a low of 80.3% on Mar 31, 2025 and a high of 92.7% on Dec 31, 2022.