Definitive Analysis
Definitive Analysis

Financial Statements

Analysis Mode

Ticker / Industry / Sector

COWAY Co., Ltd. (021240.KS)

Company Dividend Discount ModelIndustry: Furnishings, Fixtures & AppliancesSector: Consumer Cyclical

Valuation Snapshot

Stable Growth$520,360.79 - $1,585,774.03$1,486,057.09
Multi-Stage$233,945.04 - $256,180.58$244,857.70
Blended Fair Value$865,457.39
Current Price$98,500.00
Upside778.64%
DecisionBuy

Dividend History & Growth Metrics (10Y)

Metric5Y CAGR10Y CAGR2024202320222021202020192018201720162015
DPS-17.73%-2.30%1,363.731,313.221,262.571,212.070.003,618.343,214.205,696.732,896.042,065.17
YoY Growth--3.85%4.01%4.17%0.00%-100.00%12.57%-43.58%96.71%40.23%20.01%
Dividend Yield--1.68%2.30%2.40%1.77%0.00%6.26%3.37%6.34%3.01%2.14%

Stable Growth Model (Adjusted)

(USD in Millions except Per Share Data)
Net Income To Common (M)574,642.38
(-) Cash Dividends Paid (M)189,121.02
(=) Cash Retained (M)385,521.36
MetricLOWBASEHIGH
Required Retention Ratio20.0%12.5%7.5%
(=) Cash Required (M)114,928.4871,830.3043,098.18
Cash Retained (M)385,521.36385,521.36385,521.36
(-) Cash Required (M)-114,928.48-71,830.30-43,098.18
(=) Excess Retained (M)270,592.88313,691.06342,423.18
(/) Shares Outstanding (M)71.8371.8371.83
(=) Excess Retained per Share3,766.964,366.934,766.92
LTM Dividend per Share2,632.782,632.782,632.78
(+) Excess Retained per Share3,766.964,366.934,766.92
(=) Adjusted Dividend6,399.746,999.717,399.70
WACC / Discount Rate6.44%6.44%6.44%
Growth Rate5.15%6.15%7.15%
Fair Value$520,360.79$1,486,057.09$1,585,774.03
Upside / Downside428.29%1,408.69%1,509.92%

Multi-Stage Model: Projections

(USD in Millions)
MetricTTMDec-27Dec-28Dec-29Dec-30Dec-31Terminal
Net Income (M)574,642.38609,990.34647,512.67687,343.10729,623.62774,504.94797,740.09
Payout Ratio32.91%44.33%55.75%67.16%78.58%90.00%92.50%
Projected Dividends (M)189,121.02270,401.80360,966.61461,650.09573,354.41697,054.45737,909.59

Multi-Stage Valuation

MetricLOWBASEHIGH
WACC / Discount Rate6.44%6.44%6.44%
Growth Rate5.15%6.15%7.15%
Year 1 PV (M)251,637.64254,030.74256,423.84
Year 2 PV (M)312,607.29318,581.42324,612.09
Year 3 PV (M)372,058.32382,774.53393,694.56
Year 4 PV (M)430,018.65446,611.57463,680.13
Year 5 PV (M)486,515.71510,094.01534,577.72
PV of Terminal Value (M)14,952,194.8615,676,831.9616,429,295.45
Equity Value (M)16,805,032.4617,588,924.2318,402,283.80
Shares Outstanding (M)71.8371.8371.83
Fair Value$233,945.04$244,857.70$256,180.58
Upside / Downside137.51%148.59%160.08%

High-Yield Dividend Screener

« Prev Page 4 of 30 Next »
Ticker Company Dividend Yield % Dividend Per Share Payout Ratio %
VKQInvesco Municipal Trust8.62%$0.8469.07%
ARCCAres Capital Corporation8.61%$1.7691.56%
TPVGTriplePoint Venture Growth BDC Corp.8.52%$0.5767.26%
C-PJCitigroup Inc.8.49%$2.1326.99%
RVTRoyce Value Trust Inc.8.42%$1.3639.40%
OGNOrganon & Co.8.37%$0.6131.54%
MITTAG Mortgage Investment Trust, Inc.8.12%$0.7043.47%
CAGConagra Brands, Inc.8.06%$1.3978.70%
NOGNorthern Oil and Gas, Inc.8.02%$1.7794.64%
PAAPlains All American Pipeline, L.P.8.00%$1.4690.71%
TSLXSixth Street Specialty Lending, Inc.8.00%$1.7385.26%
ACCOACCO Brands Corporation7.90%$0.2967.00%
ETDEthan Allen Interiors Inc.7.90%$1.8197.75%
CQPCheniere Energy Partners, L.P.7.82%$4.2388.03%
UNMAUnum Group 6.250% JR NT587.69%$1.7933.52%
WRB-PHW.R. Berkley Corporation 4.125%7.68%$1.2726.69%
JHSJohn Hancock Income Securities Trust7.65%$0.8994.90%
NIDNuveen Intermediate Duration Municipal Term Fund7.59%$1.0284.59%
HWCPZHancock Whitney Corporation - 67.58%$1.7731.35%
WRB-PGW.R. Berkley Corporation 4.25%7.54%$1.2726.69%
NMTNuveen Massachusetts Quality Municipal Income Fund7.48%$0.8580.62%
LOANManhattan Bridge Capital, Inc.7.45%$0.3574.53%
OPALOPAL Fuels Inc.7.43%$0.1846.94%
ZIONLZions Bancorporation N.A. - 6.97.42%$1.8632.04%
GMTAGATX Corporation SR NT 20667.41%$1.8621.29%
IIMInvesco Value Municipal Income Trust7.41%$0.9264.33%
JMMNuveen Multi-Market Income Fund7.28%$0.4461.06%
BKEThe Buckle, Inc.7.26%$3.9196.21%
MHIPioneer Municipal High Income Fund, Inc.7.19%$0.6413.70%
ORIOld Republic International Corporation7.19%$3.1193.13%
PMFPIMCO Municipal Income Fund7.07%$0.5992.59%
RYNRayonier Inc.7.04%$1.5230.67%
DRQDril-Quip, Inc.7.02%$1.0850.37%
TRINITrinity Capital Inc. 7.875% Notes Due 20297.02%$1.7883.48%
C-PNCitigroup Capital XIII TR PFD SECS7.01%$2.1326.99%
VPVInvesco Pennsylvania Value Municipal Income Trust6.98%$0.7360.22%
VCVInvesco California Value Municipal Income Trust6.97%$0.7860.58%
EOTEaton Vance National Municipal Opportunities Trust6.96%$1.1869.84%
FLATXFidelity Latin America Fund6.92%$1.1539.63%
EGYVAALCO Energy, Inc.6.91%$0.2592.67%
NOMNuveen Missouri Quality Municipal Income Fund6.91%$0.8278.81%
UBCPUnited Bancorp, Inc.6.90%$0.9996.30%
TBCAT&T Inc. 5.625% Global Notes d6.89%$1.7255.65%
GTNGray Media, Inc.6.87%$0.3334.04%
HEPHolly Energy Partners, L.P.6.86%$1.4074.08%
AFGAmerican Financial Group, Inc.6.85%$9.2396.49%
BANFPBFC Capital Trust II PFD TR 7.20%6.85%$1.8025.72%
CFG-PDCitizens Financial Group, Inc.6.83%$1.7143.60%
RCIIRent-A-Center, Inc.6.81%$1.8279.98%
SPHSuburban Propane Partners, L.P.6.81%$1.2778.56%