GS Holdings (078930) — Long-term Investment Intensity

Latest as of December 2019: 28.1%

GS Holdings (078930) has a Long-term Investment Intensity of 28.1% as of December 2019. Long-term investments of ₩6.95 Trillion represent 28.1% of total assets of ₩24.74 Trillion. A higher ratio indicates a company with significant capital committed to long-duration strategic positions. Check 078930 asset liquidity ratio to evaluate the company's liquid asset resilience ratio.

LT Investment Intensity

28.1%
LT Investments / Total Assets

Long-term Investments

₩6.95 Trillion
KRW

Total Assets

₩24.74 Trillion
KRW

Country

Korea
KO

GS Holdings Long-term Investment Intensity (2013–2019)

This chart shows how GS Holdings's Long-term Investment Intensity has evolved across 7 annual periods from 2013 to 2019. As of December 2019, the intensity stands at 28.1%, reflecting long-term investments of ₩6.95 Trillion against total assets of ₩24.74 Trillion KRW. For the complete balance sheet picture, see how large is GS Holdings's balance sheet.

Annual Long-term Investment Intensity for GS Holdings (2013–2019)

The table below presents the year-by-year Long-term Investment Intensity for GS Holdings from 2013 to 2019, covering 7 annual filings. Each row shows total assets, long-term investments, the intensity percentage, and the change in percentage points compared to the prior year. Read GS Holdings total liabilities for a breakdown of total debt and financial obligations.

Year LT Investment Intensity LT Investments (KRW) Total Assets Change (pp)
2019 28.1% ₩6.95 Trillion ₩24.74 Trillion ▼ -1.8 pp
2018 29.9% ₩6.76 Trillion ₩22.63 Trillion ▼ -0.1 pp
2017 30.0% ₩6.60 Trillion ₩22.00 Trillion ▲ +1.0 pp
2016 29.0% ₩5.91 Trillion ₩20.34 Trillion ▼ -0.1 pp
2015 29.1% ₩5.54 Trillion ₩19.02 Trillion ▼ -4.8 pp
2014 33.9% ₩5.10 Trillion ₩15.07 Trillion ▼ -8.5 pp
2013 42.4% ₩5.35 Trillion ₩12.64 Trillion
pp = percentage points