S-1 Corporation logo

S-1 Corporation (012750)

Market Closed
18 Jun, 06:30
KRX SM KRX SM
71,200. 00
-2,600
-3.523%
2.49T Market Cap
- P/E Ratio
12,800% Div Yield
68,425 Volume
4,445.98 Eps
73,800
Previous Close
Add Transaction
Day Range
71,200 74,700
Year Range
66,800 103,000
Want to track 012750 and more in your Portfolio? 🎯
Sign up for Marketlog, a portfolio tracker that will exceed your expectations!

S-1 Corporation (012750) Statistics

Valuation metrics

Market Cap 2.49T
Enterprise value 2.78T
Trailing P/E (ttm) 21.32
Forward P/E 12.43
PEG ratio -1.7
Price/Sales (ttm) 1.04
Price/Book (mrq) 2.02
Enterprise Value/Revenue 0.96
Enterprise Value/EBITDA 5.74

Overview

Shares outstanding 33.81M
Float 19.87M
Shares short -
% Held by insiders 0.37%
% Held by institutions 0.4%
Average volume (10 days) 129.25K
Average volume (90 days) 65.3K

Price summary

52-Week low 66,800
52-Week high 103,000
Beta 0.24
50-Day moving average 74,715.62
200-Day moving average 79,930.09

Dividends and splits

Forward annual dividend rate 12,800
Forward annual dividend yield 0.1847%
Trailing annual dividend rate 3,200
Trailing annual dividend yield 0.0361%
5-Year annual dividend yield 4.03%
Payout ratio 0.58
Dividend Date 20 Apr 2026
Ex-Dividend Date 29 Dec 2025
Last split factor 76:73
Last split Date 4 Jan 2000

Financials

Fiscal year

Fiscal year ends 31 Dec 2025
Most recent quarter (mrq) 31 Dec 2025

Profitability

Profit margin 0.05%
Operating margin 0.07%

Operational effectiveness

Return on assets 0.06%
Return on equity 0.09%

Income Statement

Revenue (ttm) 2.89T
Revenue per share (ttm) 76,032.55
Quarterly revenue growth (yoy) 0.03%
Gross profit (ttm) 678.9B
EBITDA 422.23B
Net income to common (ttm) 178.57B
Diluted EPS (ttm) 4,160.15
Quarterly earnings growth (yoy) -0.06%

Balance Sheet

Total cash (mrq) 918.72B
Total cash per share (mrq) 24,215.73
Total debt (mrq) 55.28B
Total Debt/Equity (mrq) 0.03
Current ratio (mrq) 2.32%
Book value per share (mrq) 44,007.45

Cash Flow

Cash flow statement 368.6B
Levered free cash flow (LFCF) 123.08B