Definitive Analysis
Loading...
Definitive Analysis

Financial Statements

Ticker

Industry

Sector

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

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

Valuation Snapshot

Stable Growth$1,835,640.63 - $9,257,244.79$3,804,897.31
Multi-Stage$1,163,049.60 - $1,272,806.06$1,216,917.66
Blended Fair Value$2,510,907.48
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$1,835,640.63$3,804,897.31$9,257,244.79
Upside / Downside306.56%742.72%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)985,644.16995,044.061,004,443.97
Year 2 PV (M)1,154,611.421,176,739.061,199,076.72
Year 3 PV (M)1,316,425.631,354,449.471,393,198.55
Year 4 PV (M)1,471,305.321,528,239.591,586,810.45
Year 5 PV (M)1,619,463.161,698,172.771,779,913.43
PV of Terminal Value (M)42,893,788.7144,978,524.8147,143,542.65
Equity Value (M)49,441,238.3951,731,169.7654,106,985.76
Shares Outstanding (M)42.5142.5142.51
Fair Value$1,163,049.60$1,216,917.66$1,272,806.06
Upside / Downside157.60%169.53%181.91%

High-Yield Dividend Screener

« Prev Page 51 of 151 Next »
Ticker Company Dividend Yield % Dividend Per Share Payout Ratio %
032560.KSHwang Kum Steel & Technology Co., Ltd3.18%$186.8216.67%
036800.KQNice Information & Telecommunication, Inc.3.18%$810.0915.68%
0E9V.LEnergiekontor AG3.18%$1.1915.28%
0OG6.LSéché Environnement S.A.3.18%$2.3123.47%
BISI.JKPT BISI International Tbk3.18%$28.0058.11%
ESSITY-A.STEssity AB (publ)3.18%$8.3146.35%
WDP.BRWarehouses De Pauw3.18%$0.7043.49%
002030.KSAsia Holdings Co., Ltd.3.17%$10,332.5636.76%
002532.SZTianshan Aluminum Group Co., Ltd.3.17%$0.5150.09%
012280.KSYeong Hwa Metal Co., Ltd.3.17%$30.0812.47%
0QOB.LAutoneum Holding AG3.17%$5.3138.94%
0RV0.LReply S.p.A.3.17%$3.1542.92%
8174.TNippon Gas Co., Ltd.3.17%$94.1480.69%
PTMP.JKPT Mitra Pack Tbk3.17%$2.6677.22%
QGTS.QAQatar Gas Transport Company Limited (Nakilat) (QPSC)3.17%$0.1447.21%
YKBNK.ISYapi ve Kredi Bankasi A.S.3.17%$1.2122.97%
003200.KSIlshin Spinning Co.,Ltd3.16%$378.1131.94%
092730.KQNeoPharm Co. Ltd.3.16%$600.6333.76%
EALT3.SAElectro Aço Altona S.A.3.16%$0.469.60%
028670.KSPan Ocean Co., Ltd.3.15%$119.6221.90%
1508.HKChina Reinsurance (Group) Corporation3.15%$0.0611.64%
2945.TWSimple Mart Retail Co., Ltd.3.15%$1.2058.50%
3167.TTOKAI Holdings Corporation3.15%$34.0942.72%
ACLN.SWAccelleron Industries AG3.15%$1.9453.11%
ALWEC.PAWe.Connect S.A.3.15%$0.7711.96%
PWH.AXPWR Holdings Limited3.15%$0.2572.35%
603115.SSNantong Haixing Electronics Co., Ltd.3.14%$0.5970.53%
603730.SSShanghai Daimay Automotive Interior Co., Ltd3.14%$0.2794.69%
6459.TDaiwa Industries Ltd.3.14%$49.9046.32%
7849.TStarts Publishing Corporation3.14%$119.6231.71%
KDH.BKThonburi Medical Centre Public Company Limited3.14%$2.5432.51%
OISHI.BKOishi Group Public Company Limited3.14%$1.6048.61%
TAALA.HETaaleri Oyj3.14%$0.2433.28%
WIE.VIWienerberger AG3.14%$0.9555.36%
2645.TWEvergreen Aviation Technologies Corporation3.13%$4.4985.07%
4561.TWOKenturn Nano. Tec. Co., Ltd.3.13%$1.0196.50%
601330.SSDynagreen Environmental Protection Group Co., Ltd.3.13%$0.2141.43%
603939.SSYifeng Pharmacy Chain Co., Ltd.3.13%$0.6850.18%
6287.TSato Holdings Corporation3.13%$75.1834.02%
EUCA3.SAEucatex S.A. Indústria e Comércio3.13%$0.6521.57%
MAIRE.MIMaire Tecnimont S.p.A.3.13%$0.4157.25%
MI-UN.TOMinto Apartment Real Estate Investment Trust3.13%$0.4335.25%
100120.KQVieworks Co., Ltd.3.12%$614.2427.04%
601200.SSShanghai Environment Group Co., Ltd3.12%$0.2556.81%
9611.SRArabian United Float Glass Company3.12%$1.0025.86%
000933.SZHenan Shenhuo Coal Industary and Electricity Power Corporation Limited Class A3.11%$0.8544.77%
2402.TWIchia Technologies, Inc.3.11%$1.9778.30%
600352.SSZhejiang Longsheng Group Co.,Ltd3.11%$0.3352.01%
600529.SSShandong Pharmaceutical Glass Co., Ltd3.11%$0.6253.78%
6416.TWCASwell Inc.3.11%$2.8067.49%