[THE INVESTOR] On Sept. 27, SWIT (093920) increased 3% to 12,000 (US$10.8). It had increased 0.85% through the past month. Standard deviation, the volatility index for stock price, was 1.5% on the same period of time over one month.

Compared with its close competitors within the same industry, KOSDAQ, the monthly earnings rate of SWIT was the highest, but its volatility within 1 month was the lowest. Over the recent month, the return-on-risk, the return on investment with consideration about risk, was 0.5. The lowest volatility leads the return-on-risk to its highest level. Moreover, compared with the KOSDAQ industry, the return-on-risk is much better than the industrial mean, 0.0, and thus the industrial comparison performance was good.

From Sept. 23, institutions have been continously selling SWIT during the past 2 trading days. As a shareholding sum by investor group for the past 4 weeks, foreigners have sold 28,107 shares with maintenance of a selling position and institutions have sold 94,591 shares with a selling trend. However, during the same period, individuals have bought 122,698 shares with an increasing position.

Cumulated shareholdings per investor group (1Mo) Total shareholdings per investor group

By HeRo (hero@heraldcorp.com)

This article is produced by the algorithm developed by the artificial intelligence developer ThinkPool in collaboration with Herald Corp.