Hanwha General Insurance Co., Ltd.
000370 · KRX · South Korea
hwgeneralins.comFinancials as of FY2024–FY2025
At a glance
- Depends onDownstream position: depends on 11 industries, supplies 5
- ScaleLevered free cash flow is $1.45B, higher than 95% of all stocks globally
- FinancialsLow earnings quality
Sign in to view price data.
Sign inThe reported statements, read against the company's own industry.
The statements on file don't all cover the same year: income statement FY2025, balance sheet FY2024, cash-flow statement FY2024. Each figure below is labelled with the year it comes from.
Financials view
Market Capitalization
811.66BKRW574.68M · vs all stocks (USD)
Trailing P/E
2.71xRevenue (TTM)
6.57TKRW4.65B · vs all stocks (USD)
Profit Margin
4.11%Beta
0.4200xvs all stocks
52-Week Change
28.57%vs all stocks
Market Capitalization
811.66BKRW574.68M · vs all stocks (USD)
Enterprise Value
-14.34TKRW-10.16B · vs all stocks (USD)
Trailing P/E
2.71xForward P/E
2.27xPEG Ratio
-0.1152xPrice to Sales (TTM)
0.1235xPrice to Book (MRQ)
0.3738xEnterprise to Revenue
-2.18xEnterprise to EBITDA
-29.63xProfit Margin
4.11%Operating Margin
4.82%Return on Assets (TTM)
1.17%Return on Equity (TTM)
9.48%Revenue (TTM)
6.57TKRW4.65B · vs all stocks (USD)
Revenue per Share (TTM)
43.01KKRWUpdated Aug 18, 2026Quarterly Revenue Growth
15.70%Gross Profit (TTM)
728.61BKRW515.89M · vs all stocks (USD)
EBITDA (TTM)
484.04BKRW342.72M · vs all stocks (USD)
Net Income (TTM)
254.54BKRW180.23M · vs all stocks (USD)
Quarterly Earnings Growth (YoY)
-21.50%Operating Cash Flow (TTM)
904.69BKRW640.55M · vs all stocks (USD)
Levered Free Cash Flow (TTM)
2.05TKRW1.45B · vs all stocks (USD)
Payout Ratio
0.00%Minority Interest (Equity)
86.56BKRWFY2024 · Dec 31, 2024Pre-tax Income
420.55BKRWFY2025 · Dec 31, 2025Income Tax Expense
128.21BKRWFY2025 · Dec 31, 2025Net Income
292.33BKRWFY2025 · Dec 31, 2025Minority Interests (P&L)
6.68BKRWFY2025 · Dec 31, 2025Operating Cash Flow
123.80BKRWFY2024 · Dec 31, 2024Cash & Cash Equivalents (End of Period)
297.18BKRWFY2024 · Dec 31, 2024Starting Profit (CF Statement)
315.97BKRWFY2024 · Dec 31, 2024Stock-based Compensation
1.61BKRWFY2024 · Dec 31, 2024Other Non-cash Items
-622.85BKRWFY2024 · Dec 31, 2024Change in Other Assets/Liabilities
429.07BKRWFY2024 · Dec 31, 2024Net Intangibles (CF)
-14.00BKRWFY2024 · Dec 31, 2024Net Acquisitions
5.23BKRWFY2024 · Dec 31, 2024Purchase of Investments
-2.54TKRWFY2024 · Dec 31, 2024Sale of Investments
829.87BKRWFY2024 · Dec 31, 2024Other Investing Activity
-15.25BKRWFY2024 · Dec 31, 2024Net Investing Cash Flow
-1.72TKRWFY2024 · Dec 31, 2024Long-term Debt Issuance
348.97BKRWFY2024 · Dec 31, 2024Common Stock Repurchase
-4.94BKRWFY2024 · Dec 31, 2024Common Dividends Paid
-14.38BKRWFY2024 · Dec 31, 2024Other Financing Charges
-46.49BKRWFY2024 · Dec 31, 2024Net Financing Cash Flow
283.16BKRWFY2024 · Dec 31, 2024Shares Outstanding
115.62MSharesUpdated Aug 18, 2026Float Shares
73.19MSharesUpdated Aug 18, 2026% Held by Insiders
1.01%vs all stocks
% Held by Institutions
55.88%vs all stocks
Total Cash (MRQ)
16.75TKRW11.86B · vs all stocks (USD)
Total Cash per Share (MRQ)
108.44KKRWUpdated Aug 18, 2026Total Debt (MRQ)
1.10TKRW777.89M · vs all stocks (USD)
Total Debt to Equity (MRQ)
0.3786xCurrent Ratio (MRQ)
19.95xBook Value per Share (MRQ)
18.78KKRWUpdated Aug 18, 2026Total Assets
19.83TKRW14.04B · vs all stocks (USD)
Total Liabilities
16.88TKRWFY2024 · Dec 31, 2024Cash & Cash Equivalents
299.02BKRWFY2024 · Dec 31, 2024Other Short-term Investments
12.24TKRWFY2024 · Dec 31, 2024Long-term Debt
598.33BKRWFY2024 · Dec 31, 2024Common Stock (Book)
583.69BKRWFY2024 · Dec 31, 2024Retained Earnings
2.45TKRWFY2024 · Dec 31, 2024Total Shareholders' Equity
2.95TKRW2.09B · vs all stocks (USD)
Treasury Stock
5.46BKRWFY2024 · Dec 31, 202452-Week Low
5.05KKRWUpdated Aug 18, 202652-Week High
10.80KKRWUpdated Aug 18, 202652-Week Change
28.57%vs all stocks
Beta
0.4200xvs all stocks
50-Day MA
6.01KKRWUpdated Aug 18, 2026200-Day MA
6.21KKRWUpdated Aug 18, 2026Avg 10-Day Volume
575.99KSharesUpdated Aug 18, 2026Avg 30-Day Volume
474.45KSharesUpdated Aug 18, 2026Diluted EPS (TTM)
2.59KKRWUpdated Aug 18, 2026Shared structure with peers — never a ranking.
Relationships view
Structural observations derived from financial data, industry benchmarks, and supply chain position.
Financial Health
Low earnings qualitySignificant
Earnings Quality Score: -1.76
Supply Chain
Downstream position: depends on 11 industries, supplies 5Notable
Outgoing: 5.00Incoming: 11.00
High connectivity hub: 16 industry connectionsNotable
Total Connections: 16.00
Scale
Levered free cash flow is $1.45B, higher than 95% of all stocks globallySignificant
Levered free cash flow (USD): 1,454,594,858.686Global P95: 1,123,592,359.78
Revenue is $4.65B, above the global median of $520.53MNotable
Revenue (USD): 4,652,482,260.254Global Median: 520,528,949.311
Companies that share the same coordination system — how they create, deliver, or capture value.
Ray Sigorta A.S.
Tier 1RiskFloat-Funded Risk AbsorptionRule
Qatar General Insurance & Reinsurance Company
Tier 1RiskFloat-Funded Risk AbsorptionRule
Farglory Life Insurance Co., Ltd.
Tier 1RiskFloat-Funded Risk AbsorptionRule
American Coastal Insurance Corp.
Tier 1RiskFloat-Funded Risk AbsorptionRule
REVO Insurance S.p.A.
Tier 1RiskFloat-Funded Risk AbsorptionRule
Donegal Group Inc.
Tier 1RiskFloat-Funded Risk AbsorptionRule
Taiwan Fire & Marine Insurance Co., Ltd.
Tier 1RiskFloat-Funded Risk AbsorptionRule
Wesure Global Tech Ltd.
Tier 1RiskFloat-Funded Risk AbsorptionRuleSenseMaking
Gulf Insurance Group
Tier 1RiskFloat-Funded Risk AbsorptionRule
Hippo Holdings Inc.
Tier 1RiskFloat-Funded Risk AbsorptionRuleSenseMaking