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INDICATIVE · SAMPLE DATA
05480054

IDIS Holdings Co Ltd

Investment Holding CompaniesVerified

IDIS Holdings maintains a strong liquidity position, with cash and equivalents amounting to KRW 170.7 billion, which is significantly higher than its long-term debt of KRW 188.6 billion, resulting in a negative net cash position. The company's current ratio of 3.7 indicates a robust ability to meet short-term obligations. Profitability metrics show a return on equity (ROE) of 10.51% and a return on assets (ROA) of 3.21%, which are both below the industry median for investment holding companies. This suggests that IDIS is underperforming in terms of capital efficiency and asset utilization. The company's revenue is concentrated in a single business segment, as disclosed in its latest financials, with no geographic diversification provided in the available data. This lack of segmental and geographic transparency raises concerns about potential concentration risks. Looking ahead, IDIS is projected to experience a modest growth trajectory, with no specific revenue growth rates provided in the outlook. Historical revenue data shows a stable but non-explosive trend, with the most recent fiscal year reporting KRW 908.1 billion in revenue. Risk factors include a medium liquidity risk due to the negative net cash position and a low dilution risk, as the company has not issued additional shares recently. No dilution adjustments were applied in the valuation process. Recent filings and transcripts do not indicate any material events or strategic shifts that would significantly impact the company's operations or financial position in the near term.

30-day price · 054800-480.00 (-3.0%)
Low$14500.00High$16750.00Close$15550.00As of12 May, 00:00 UTC
Profile
CompanyIDIS Holdings Co Ltd
Ticker054800.KQ
SectorFinancials
BusinessInvestment Holding Companies
Industry groupInvestment Holding Companies
IndustryInvestment Holding Companies
AI analysis

Business. IDIS Holdings Co Ltd is an investment holding company that generates revenue primarily through equity investments and asset management.

Classification. IDIS is classified under the Financials sector, specifically in the Investment Holding Companies industry, with a confidence level of 0.92.

IDIS Holdings maintains a strong liquidity position, with cash and equivalents amounting to KRW 170.7 billion, which is significantly higher than its long-term debt of KRW 188.6 billion, resulting in a negative net cash position. The company's current ratio of 3.7 indicates a robust ability to meet short-term obligations. Profitability metrics show a return on equity (ROE) of 10.51% and a return on assets (ROA) of 3.21%, which are both below the industry median for investment holding companies. This suggests that IDIS is underperforming in terms of capital efficiency and asset utilization. The company's revenue is concentrated in a single business segment, as disclosed in its latest financials, with no geographic diversification provided in the available data. This lack of segmental and geographic transparency raises concerns about potential concentration risks. Looking ahead, IDIS is projected to experience a modest growth trajectory, with no specific revenue growth rates provided in the outlook. Historical revenue data shows a stable but non-explosive trend, with the most recent fiscal year reporting KRW 908.1 billion in revenue. Risk factors include a medium liquidity risk due to the negative net cash position and a low dilution risk, as the company has not issued additional shares recently. No dilution adjustments were applied in the valuation process. Recent filings and transcripts do not indicate any material events or strategic shifts that would significantly impact the company's operations or financial position in the near term.
Key takeaways
  • IDIS Holdings has a strong liquidity position but a negative net cash position due to long-term debt exceeding cash reserves.
  • The company's ROE and ROA are below industry medians, indicating suboptimal capital and asset efficiency.
  • Revenue is concentrated in a single segment, with no geographic diversification disclosed.
  • Growth projections are modest, with no significant changes in strategy or operations recently reported.
  • Liquidity risk is moderate, and dilution risk is low.
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  • # RATIONALES
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Financial snapshot
PeriodHA-latest
CurrencyKRW
Revenue$908.09B
Gross profit$322.32B
Operating income$89.31B
Net income$39.06B
R&D
SG&A
D&A
SBC
Operating cash flow$43.09B
CapEx-$13.34B
Free cash flow$82.05B
Total assets$1.22T
Total liabilities$847.02B
Total equity$371.82B
Cash & equivalents$170.73B
Long-term debt$188.62B
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$371.82B
Net cash-$17.89B
Current ratio3.7
Debt/Equity0.5
ROA3.2%
ROE10.5%
Cash conversion1.1%
CapEx/Revenue-1.5%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Investment Holding Companies · cohort 83 companies
Metric054800Activity
Op margin9.8%6.3% medp25 -13.7% · p75 66.3%above median
Net margin4.3%8.8% medp25 -0.8% · p75 71.1%below median
Gross margin35.5%40.1% medp25 27.9% · p75 68.1%below median
CapEx / revenue-1.5%-3.7% medp25 -14.6% · p75 -0.9%above median
Debt / equity51.0%0.0% medp25 0.0% · p75 3.9%top quartile
Source: analysis-pipeline (hybrid)Generated: 2026-05-16 13:07 UTCJob: d6bf6188