GS Holdings Corp
KRX:078930

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GS Holdings Corp
KRX:078930
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Price: 39 300 KRW 0.13%
Market Cap: 3.7T KRW
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Gross Margin
GS Holdings Corp

24.6%
Current
26%
Average
28.1%
Industry

Gross Margin is the amount of money a company retains after incurring the direct costs associated with producing the goods it sells and the services it provides. The higher the gross margin, the more capital a company retains, which it can then use to pay other costs or satisfy debt obligations.

Gross Margin
24.6%
=
Gross Profit
6.2T
/
Revenue
25.4T

Gross Margin Across Competitors

Country Company Market Cap Gross
Margin
KR
GS Holdings Corp
KRX:078930
3.6T KRW
25%
US
General Electric Co
NYSE:GE
187.1B USD
30%
DE
Siemens AG
XETRA:SIE
153.6B EUR
39%
US
Honeywell International Inc
NASDAQ:HON
143.2B USD
38%
JP
Hitachi Ltd
TSE:6501
18.2T JPY
28%
ZA
Bidvest Group Ltd
JSE:BVT
89.7B Zac
28%
US
3M Co
NYSE:MMM
73.3B USD
42%
US
Roper Technologies Inc
F:ROP
52.8B EUR
70%
CN
CITIC Ltd
HKEX:267
245.2B HKD
0%
IN
Siemens Ltd
NSE:SIEMENS
2.2T INR
33%
HK
CK Hutchison Holdings Ltd
HKEX:1
155.5B HKD
51%
Country KR
Market Cap 3.6T KRW
Gross Margin
25%
Country US
Market Cap 187.1B USD
Gross Margin
30%
Country DE
Market Cap 153.6B EUR
Gross Margin
39%
Country US
Market Cap 143.2B USD
Gross Margin
38%
Country JP
Market Cap 18.2T JPY
Gross Margin
28%
Country ZA
Market Cap 89.7B Zac
Gross Margin
28%
Country US
Market Cap 73.3B USD
Gross Margin
42%
Country US
Market Cap 52.8B EUR
Gross Margin
70%
Country CN
Market Cap 245.2B HKD
Gross Margin
0%
Country IN
Market Cap 2.2T INR
Gross Margin
33%
Country HK
Market Cap 155.5B HKD
Gross Margin
51%
No Stocks Found

GS Holdings Corp
Glance View

Market Cap
3.7T KRW
Industry
Industrial Conglomerates

In the vibrant landscape of South Korean conglomerates, GS Holdings Corp. stands as a multifaceted entity with deep-rooted origins in the energy sector. Emerging from the restructuring of the LG Group in the early 2000s, GS Holdings carved its niche by focusing on streamlining operations and driving growth through diversification. At its core, the company operates as a holding conglomerate, conferring its expansive reach across various sectors. Most prominently, it commands substantial influence in the energy domain, particularly through its subsidiaries GS Caltex, which is a key player in refining and petrochemicals. This energy arm capitalizes on refining crude oil into petroleum products, subsequently supplying them to both domestic and international markets, contributing significantly to the conglomerate's revenue. Beyond energy, GS Holdings has strategically expanded its portfolio, venturing into retail and construction, sectors that complement its core operations while buffering against the cyclical nature of the energy industry. The GS Retail segment thrives by operating convenience stores and other retail formats across South Korea, leveraging consumer trends towards convenience and accessibility. Meanwhile, GS Engineering and Construction extends the company's prowess into infrastructure development, spanning projects that include residential buildings and commercial spaces. This diversification strategy anchors GS Holdings, enabling it to harness synergies across its business units while navigating the intricate dynamics of the global economy. Through this cohesive integration of sectors, GS Holdings maintains a robust financial footing, ensuring it remains a formidable player on the global stage.

Intrinsic Value
268 139 KRW
Undervaluation 85%
Intrinsic Value
Price
What is Gross Margin?

Gross Margin is the amount of money a company retains after incurring the direct costs associated with producing the goods it sells and the services it provides. The higher the gross margin, the more capital a company retains, which it can then use to pay other costs or satisfy debt obligations.

Gross Margin
24.6%
=
Gross Profit
6.2T
/
Revenue
25.4T
What is the Gross Margin of GS Holdings Corp?

Based on GS Holdings Corp's most recent financial statements, the company has Gross Margin of 24.6%.