` 034730 (SK Inc) vs KOSPI 200 Comparison - Alpha Spread

034730
vs
KOSPI 200

Over the past 12 months, has underperformed KOSPI 200, delivering a return of -17% compared to the KOSPI 200's 4% drop.

Stocks Performance
034730 vs KOSPI 200

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Performance Gap
034730 vs KOSPI 200

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034730
KOSPI 200
Difference

Performance By Year
034730 vs KOSPI 200

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034730
KOSPI 200
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Competitors Performance
SK Inc vs Peers

KOSPI 200
034730
GE
SIE
HON
6501
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SK Inc
Glance View

Market Cap
7.7T KRW
Industry
Industrial Conglomerates

In the dynamic world of conglomerates, SK Inc. stands as a remarkable example of strategic transformation and diversification. Initially emerging from humble beginnings, SK Inc. has evolved into one of South Korea's largest and most influential business groups, operating across multiple sectors including energy, telecommunications, semiconductors, and life sciences. The company's journey is marked by its insightful ability to adapt and innovate, maintaining a competitive edge by focusing on synergies across its diverse portfolio. SK Inc. achieves this through its affiliated and subsidiary companies, leveraging a complex network of interrelated businesses that contribute to its overarching objective of achieving sustainable and socially responsible growth. Revenue streams for SK Inc. are both expansive and diversified. In the energy sector, SK Energy and SK Innovation spearhead the company's foray into oil refining and chemical production, capturing a significant portion of the global energy market. Meanwhile, SK Hynix, a global leader in semiconductors, underpins the company's substantial presence in the tech industry by manufacturing memory chips essential for devices worldwide. Additionally, communications through SK Telecom bring a steady cash flow, while the burgeoning field of life sciences signals SK Inc.'s commitment to future-proofing its enterprise through investments in biotechnology and pharmaceuticals. Such a dynamic blend of stable and forward-looking ventures enables SK Inc. to navigate the complexities of modern markets, underscoring its role as a resilient and adaptable conglomerate in the global business arena.

Intrinsic Value
947 465.62 KRW
Undervaluation 85%
Intrinsic Value
Price
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