한국어
Quantus

SANIL ELECTRIC

A062040 · KOSPI
₩169,300+2.54%
2026-08-26 close

SANIL ELECTRIC — what's the grade? And what signals are flashing today?

The grade and valuation bands are below — free to read.

Loading chart…
Close
AI Insight

Why these signals fired — only backtest-proven edge, told honestly

Why this signalSignal guide

Moving-average alignment
No

No active signal.

New high + volume — the real recordrecord · not a prediction

Not this one stock, but every new-high-plus-volume pick we actually published (Korea market). When this stock flashes the signal, it is treated by the same rule.(as of 2026-08-26)

Last 30 sessions
383 picks
Next-day win rate
51.1%
Avg next-day
-0.06%
vs market
-0.08%p

Beat the market on 47.8% of picks (each pick vs its own day’s market average).

Recent publish days (next-day win rate)
08-25 60%08-23 60%08-21 36.4%08-20 44.4%08-19 0%08-18 27.3%08-14 23.1%08-13 41.7%08-12 70%08-11 77.8%08-10 22.2%08-07 61.5%
This stock flashed this signal 1 time over the last ~2 years (see the signal history below for each date).

Entry is the latest close at publish time; next-day is the following close. “Market” is the equal-weighted average of every stock in the same market that day; delisted names are excluded from both. Fees, taxes and slippage are not included. An observed record over a short window, not a pre-registered backtest. Not investment advice.

Trade plan

Decide the exit before you enter. Set what you are willing to lose first, and the share count follows — so you know the worst case before you buy.

Fill entry, stop, account size and risk percent to get a share count. The stop must sit below the entry.

This is a calculator, not advice, and it does not promise any outcome. You choose the stop and target — the button values (ATR, recent low/high) are observations from past prices. Actual fills depend on the order book and liquidity.

Valuation Grades

Relative to 212 IT하드웨어 peers · not investment advice

A-
Overall: IT하드웨어 49/212 · top 23%
Factor composite · relative position in sector

Annual dividend

Split-adjusted annual DPS history and available grade axes

Annual dividend per share chart2025: 420원420원2025
Annual dividend (per share · split-adjusted) · as of 2025
Consistency
D
Yield
F

Paid 1 consecutive years · Raised 0 consecutive years · Yield 0.25% (based on 2025 payment of 420원)

Per-share amount adjusted for splits and capital reductions · Factual information, not investment advice.

Financial safety

Reference indicatorAs of 2024
Safe zoneFinancial-metric reference signal
Altman Z'' zoneZ'' 13.64
Distress
Grey
Safe
The marker shows the current Z'' value within the displayed zones.
Altman Z''
13.64
Beneish M-Score

Statistical flag unavailable

Sloan accrual
13.83%

부실·조작 위험을 나타내는 사실 지표입니다. 투자 조언이 아니며, 검증 전이라 참고용입니다.

Factual information, not investment advice.

Earnings quality · Piotroski F-Score

2/9Weak

Piotroski measures year-over-year financial improvement, not absolute quality.

Financial improvement score2/9

Profitability

  • Positive ROAPass
  • Positive OCFPass
  • Improving ΔROANot passed
  • Accruals (OCF > net income)Not passed

Leverage & liquidity

  • Lower debtNot passed
  • Higher current ratioNot passed
  • No new sharesNot passed

Efficiency

  • Higher gross marginNot passed
  • Higher asset turnoverNot passed

Calculation note: F7(신주)은 equity/asset 유지로 근사

Already-stable companies may score lower when year-over-year improvement is limited.

Factual information, not investment advice.

Industry structure

KRAs of 2026-08-26

IT하드웨어

This stock is in IT하드웨어: revenue rank 44 of 212, share 0.4%.

44 / 2120.4%revenue share

Who dominates this industry?

  1. 1LG이노텍24.4%
  2. 2삼성전기11.8%
  3. 3삼지전자3.9%
  4. 4에스에이엠티3.3%
  5. 5영풍3.2%
  6. 6산일전기0.4%

Concentration

DistributedCR3 40%
HHI 811212 revenue members

HHI and CR3 are separate industrial-organization facts; they are not the polarization verdict.

Polarization

MixedDivergent lenses

Polarization measures industry gaps and structure, not valuation, forecast, or investment advice.

Margin lens

IQR%p
6.82
Direction
축소
Level
좁음
Years
7

Value lens

P90/P10
10.8
Median P/B
0.97
Level
넓음
n
195

Survivorship note: 현재 산업 멤버십을 과거 연도에 소급 적용 — 과거 진입·퇴출 기업 미반영(복원 불가)

Factual information, not investment advice.

Risk sensitivity — adverse assumptions

Metric changes under stated assumptions; not a forecast or investment advice.

Base metrics

Operating margin
32.7%
Interest coverage
52.3x
Return on equity (ROE)
19.3%

Operating margin −5pp

Tolerable
Interest coverageBase 52.3x adverse case 44.3x
Return on equity (ROE)Base 19.3% adverse case 20.8%

Revenue −15%

Tolerable
Interest coverageBase 52.3x adverse case 44.5x
Return on equity (ROE)Base 19.3% adverse case 20.9%

Interest rate +2pp

Tolerable
Interest coverageBase 52.3x adverse case 33.5x
Return on equity (ROE)Base 19.3% adverse case 24.4%

Interest coverage limit

Current margin 32.1pp

Interest coverage limit at an operating margin of 0.6%

Interest expense coverage threshold

Key suppliers · Annual report

Annual reportDART · 2026-04-03

Suppliers disclosed by the company in its 2026-04-03 annual report.

Suppliers without disclosed amount

포스코SSYTONUSDKOMISLMECashCOVIDRioTintoQueenslandGladstone+8 more

Financials at a glance

SANIL ELECTRIC's latest results and balance sheet. The bars track the last three periods.

Who held it · filings

Filed record

A historical record from curated-guru 13F filings and DART 5%+ major-holding disclosures.

US 13F는 분기 공시이며 최대 45일 뒤 제출될 수 있습니다.

5%+ major-holding disclosures

  • 박동석45.37%2026-08-13 · 증감 -0.08%p
  • 국민연금공단8.29%2026-07-01 · 증감 +0.01%p

📦 ETFs holding this stock

by weight · top-10 constituents basis

Passive money holding this stock ≈ 2,164억 · 1w net inflow ≈ -6억(lower bound — top-10 basis, not a forecast)

Factual holdings info from daily disclosures — not a recommendation.

Look up another stock →

Recent filings

SANIL ELECTRIC's latest filings on Korea's DART. Open a headline for a reference summary and the original.

Source: DART (Korea electronic disclosure)

Signal history (last ~2 years)

Every occurrence on this stock, with the return 20 trading days later. Small sample — a record, not a prediction.

New high + volume×1
26-05-04-33.3%
52-week high breakout×4
26-05-04-33.3%26-04-27+9.3%26-04-22+35.5%26-04-20+19.5%
New MA alignment×1
26-04-30-15.4%

“·” = fewer than 20 trading days since the event. Cup-and-handle entries are days our board actually showed the badge (archive grows daily since 2026-05-12); others are recomputed from price data.

Like these rules? Run them automatically.

Quantus turns rules like these into backtests and automated trading — same team, free to start.

Quantus Signal · live data · not investment advice · Privacy Policy