Definitive Analysis
Definitive Analysis

Financial Statements

Analysis Mode

Ticker

Industry

Sector

Samsung Fire & Marine Insurance Co., Ltd. (000810.KS)

Company Dividend Discount ModelIndustry: Insurance - Property & CasualtySector: Financial Services

Valuation Snapshot

Stable Growth$1,835,657.35 - $9,257,244.79$3,804,962.37
Multi-Stage$1,163,055.53 - $1,272,812.58$1,216,923.88
Blended Fair Value$2,510,943.13
Current Price$451,500.00
Upside456.13%
DecisionBuy

Dividend History & Growth Metrics (10Y)

Metric5Y CAGR10Y CAGR2024202320222021202020192018201720162015
DPS6.86%18.63%16,021.9913,826.7812,022.508,800.228,500.2211,500.1810,000.206,117.675,228.694,695.94
YoY Growth--15.88%15.01%36.62%3.53%-26.09%15.00%63.46%17.00%11.35%61.80%
Dividend Yield--4.48%4.53%5.84%4.02%4.47%7.47%3.24%2.26%1.95%1.59%

Stable Growth Model (Adjusted)

(USD in Millions except Per Share Data)
Net Income To Common (M)1,990,667.81
(-) Cash Dividends Paid (M)809,299.28
(=) Cash Retained (M)1,181,368.53
MetricLOWBASEHIGH
Required Retention Ratio20.0%12.5%7.5%
(=) Cash Required (M)398,133.56248,833.48149,300.09
Cash Retained (M)1,181,368.531,181,368.531,181,368.53
(-) Cash Required (M)-398,133.56-248,833.48-149,300.09
(=) Excess Retained (M)783,234.97932,535.061,032,068.45
(/) Shares Outstanding (M)42.5142.5142.51
(=) Excess Retained per Share18,424.7221,936.8424,278.25
LTM Dividend per Share19,037.8619,037.8619,037.86
(+) Excess Retained per Share18,424.7221,936.8424,278.25
(=) Adjusted Dividend37,462.5840,974.7043,316.11
WACC / Discount Rate7.00%7.00%7.00%
Growth Rate4.86%5.86%6.86%
Fair Value$1,835,657.35$3,804,962.37$9,257,244.79
Upside / Downside306.57%742.74%1,950.33%

Multi-Stage Model: Projections

(USD in Millions)
MetricTTMDec-27Dec-28Dec-29Dec-30Dec-31Terminal
Net Income (M)1,990,667.812,107,258.062,230,676.812,361,324.002,499,622.992,646,021.932,725,402.58
Payout Ratio40.65%50.52%60.39%70.26%80.13%90.00%92.50%
Projected Dividends (M)809,299.281,064,665.371,347,168.131,659,110.282,002,971.212,381,419.732,520,997.39

Multi-Stage Valuation

MetricLOWBASEHIGH
WACC / Discount Rate7.00%7.00%7.00%
Growth Rate4.86%5.86%6.86%
Year 1 PV (M)985,644.34995,044.241,004,444.15
Year 2 PV (M)1,154,611.841,176,739.491,199,077.16
Year 3 PV (M)1,316,426.351,354,450.211,393,199.31
Year 4 PV (M)1,471,306.391,528,240.701,586,811.60
Year 5 PV (M)1,619,464.631,698,174.311,779,915.05
PV of Terminal Value (M)42,894,036.9844,978,785.1647,143,815.53
Equity Value (M)49,441,490.5451,731,434.1254,107,262.80
Shares Outstanding (M)42.5142.5142.51
Fair Value$1,163,055.53$1,216,923.88$1,272,812.58
Upside / Downside157.60%169.53%181.91%

High-Yield Dividend Screener

« Prev Page 29 of 151 Next »
Ticker Company Dividend Yield % Dividend Per Share Payout Ratio %
SUSuncor Energy Inc.5.07%$2.3153.29%
023410.KQEugene Corporation5.06%$183.4563.50%
7537.TMarubun Corporation5.06%$65.8855.36%
GLJ.DEGrenke AG5.06%$0.7954.91%
KZOS.MEKazan Public Joint Stock Company Organichesky sintez5.06%$3.3620.60%
LTLS.JKPT Lautan Luas Tbk5.06%$43.7440.34%
MDS-UN.TOHealthcare Special Opportunities Fund5.06%$0.5664.99%
PUUILO.HEPuuilo Oyj5.06%$0.6382.63%
VCI.VVitreous Glass Inc.5.06%$0.3791.09%
051600.KSKEPCO Plant Service & Engineering Co.,Ltd.5.05%$2,469.0084.53%
BLXBanco Latinoamericano de Comercio Exterior, S. A.5.05%$2.2137.06%
TLI.BKThai Life Insurance Public Company Limited5.05%$0.5047.29%
031330.KQSAMT Co., Ltd.5.04%$200.0045.01%
DCR.WADecora S.A.5.04%$3.7855.77%
PST.MIPoste Italiane S.p.A.5.04%$1.0965.05%
RDX.AXRedox Limited5.04%$0.1554.66%
UPOIC.BKUnited Palm Oil Industry Public Company Limited5.04%$0.3361.35%
WKL.ASWolters Kluwer N.V.5.04%$4.4348.01%
000600.SZJointo Energy Investment Co., Ltd. Hebei5.03%$0.4345.84%
0QNN.LBurckhardt Compression Holding AG5.03%$27.4847.49%
002233.SZGuangdong Tapai Group Co., Ltd.5.02%$0.4570.96%
9308.TInui Global Logistics Co., Ltd.5.02%$68.9239.29%
FFI.AXFFI Holdings Limited5.02%$0.2431.68%
SJWD.BKSCGJWD Logistics Public Company Limited5.02%$0.3762.75%
007590.KSDONGBANG AGRO Corporation5.01%$300.1154.47%
0151.HKWant Want China Holdings Limited5.01%$0.2363.82%
2971.TEscon Japan REIT Investment Corporation5.01%$6,447.9060.16%
BBL-R.BKBangkok Bank Public Company Limited5.01%$8.5034.27%
DIC.AEDubai Investments PJSC5.01%$0.1858.95%
006390.KSHanil Hyundai Cement Co., Ltd5.00%$900.0433.14%
600998.SSJointown Pharmaceutical Group Co., Ltd5.00%$0.2646.36%
7020.SREtihad Etisalat Company5.00%$3.3172.99%
KA8.DEKlassik Radio AG5.00%$0.1595.39%
ORDS.QAOoredoo Q.P.S.C.4.99%$0.6557.81%
002616.SZGuangdong Chant Group Inc.4.98%$0.2771.11%
039130.KSHanatour Service Inc.4.98%$2,419.0255.18%
1264.TWOTehmag Foods Corporation4.98%$13.9967.27%
1295.KLPublic Bank Berhad4.98%$0.2260.48%
AW-UN.TOA&W Revenue Royalties Income Fund4.98%$1.8492.91%
WPK.TOWinpak Ltd.4.98%$2.2699.45%
000776.SZGF Securities Co., Ltd.4.97%$1.0960.30%
5236.KLMatrix Concepts Holdings Berhad4.97%$0.0756.54%
601298.SSQingdao Port International Co., Ltd.4.97%$0.4149.05%
7133.KLUnited U-LI Corporation Berhad4.97%$0.0846.08%
9925.TWTaiwan Shin Kong Security Co., Ltd.4.97%$2.0281.40%
034590.KSIncheon City Gas Co., Ltd.4.96%$1,251.1528.53%
0QP4.ILGeorg Fischer AG4.96%$2.6644.86%
4163.SRAl-Dawaa Medical Services Company4.96%$2.5157.67%
9163.TNareru Group Inc.4.96%$114.0343.61%
CPFE3.SACPFL Energia S.A.4.96%$2.6656.33%