On Oct. 24, KT Hitel (036030) declined 1.06% to 7,480 (US$ 6.60). It had declined 2.09% through the past month. Standard deviation, which indicates volatility of stock, records 1.3% on the same period over one month.
Compared with its close competitors within the same industry, KOSDAQ, even though the monthly earnings rate of KT Hitel stayed negative, its volatility for 1 month was at the lowest level. Over the recent month, the return-on-risk, the return on investment with consideration about risk, was -1.6%. As the volatility was low, the return-on-risk was a proper rate in spite of stock price decline. In spite of that, the return-on-risk is much better than the industrial mean, -6.6, and thus the industrial comparison performance was positive.
Close Competitors | Earning rate (%)
Revenue |
P/E ratio and P/B ratio
Institutions bought 1,151 shares, while foreigners sold 1,330 shares. As a shareholding sum by investor group for the past 4 weeks, foreigners have bought 29,981 shares. However, during the same period, Institutions have sold 9,366 shares with a selling trend and individuals have sold 20,615 shares in a lessening selling trend.
By HeRo (hero@heraldcorp.com)
This article is produced by the algorithm developed by the artificial intelligence developer ThinkPool in collaboration with Herald Corp.