STOCKSCREENR

227830.KS

KSC

PLUS KOSPI

$57525.00+825.00(+1.46%)Mkt Cap: $142.04B

Key Stats

Market Cap

$142.04B

P/E Ratio

EPS

Dividend Yield

0.97%

52-Week Range

$23945.00 — $65705.00

Volume

1.17K

Avg Volume

1.60K

Beta

0.99

Dividends

Dividend Yield

Annual Dividend

$65.00

Payout Ratio

Frequency

Ex-Dividend Date

2025-10-30

Cash/Share

Ownership

Institutional %

Inst. Net Change

Insider Net Shares (90d)

Outstanding Shares

2.47M

Float

0

Free Float %

0.00%

Technicals

RSI (14)

52.90

SMA 20

$57958.00

SMA 50

$52500.40

SMA 200

$40437.50

ATR (14)

3089.29

Volatility (Week)

0.08%

Volatility (Month)

0.05%

Pattern

Performance

1 Day

+6.35%

1 Week

-4.39%

1 Month

+4.83%

3 Months

+39.02%

6 Months

+73.37%

1 Year

YTD

+28.45%

All-Time High

$56940.00

About

Sector

Financial Services

Industry

Asset Management

Country

KR

Exchange

KSC

IPO Date

2015-09-23

Employees

CEO

Index Membership

PLUS KOSPI (227830.KS) is a financial services company in the asset management industry listed on the KSC. With a market capitalization of $142.04B, and a dividend yield of 0.97%, 227830.KS is tracked by stockscreenr alongside 25,000+ other tickers. Use the free stock screener to compare 227830.KS against other stocks using dozens of fundamental and technical filters.

Frequently Asked Questions

Does PLUS KOSPI pay a dividend?

No, PLUS KOSPI (227830.KS) does not currently pay a regular dividend. The company may be reinvesting profits into growth, research, or debt reduction instead of returning cash to shareholders through dividends.

What is PLUS KOSPI's market cap?

PLUS KOSPI (227830.KS) has a market capitalization of $142.04 billion, classifying it as a large-cap company. Market cap is calculated by multiplying the current share price by the total number of outstanding shares.

How has 227830.KS performed this year?

PLUS KOSPI (227830.KS) has returned +28.45% year-to-date. Past performance does not guarantee future results, but these figures reflect the stock's recent price trajectory relative to the broader market.