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The Screen · Financials · Banks - Regional

Shinhan Financial Group logoShinhan Financial Group

055550.KS · KRX · KRW · Market cap $46.90T

Shinhan Financial Group Co., Ltd.

FAIL · Does not pass the screen
110,100.00 KRW

Screen close, 2026-09-18 · not a live quote
Last reviewed 18 days ago

Screened 2026-09-18 · the tape above runs as of 17:01 UTC · two dates, stated on purpose · verdict and workings shown in full · never trimmed

PRICE · FAIR-VALUE RANGE1M3M6MYTD1Y3Y5Y
93,000.00120,500.00139,000.00

What this means: price 110,100.00 against the desk's fair-value range, base estimate 120,500.00, over the last year.

Current read
Accumulation ?
AVOID · screened 2026-09-18
  • Trend Accumulation
  • Insiders no filings inside 60 days, left as found
  • Positioning no disclosures inside 60 days, left as found
  • Options no verdict drawn today, left as found
  • Ethical does not pass the values gate
Price110,100.00 KRW
Fair value120,500.00
Ethical score30.0/100
RatingAVOID
Our investment reviews on this name
2026-10-02Read Accumulation110,100.00+0.0% to today ✓
2026-07-23Read Markup99,600.00+10.5% to today ✓
2026-07-17Read Accumulation99,600.00+10.5% to today ✓

Our analytic regime reads on this name, dated and marked against the screened price. Small sample per name, and separate from the daily-framework accuracy on the Track Record page.

The full research record, in depth, below
The Label · The Season, Not the Day

This name holds its accumulation label.

Shinhan Financial Group holds its Accumulation at $110,100.00. The statistical read favours the buyers, held for 8 days.

As held on the ledger · 2026-09-18
PhaseAccumulation
Quantitative stateThe statistical read favours the buyers, held for 8 days
Price at the screen$110,100.00
ValuationN/A trailing · 7.72 forward price to earnings
Values screenFAIL · score 30.0
Beta0.66
The Workings

Five Screens, Shown in Full

Does not pass. Business activity screen

TestFigureLimitWhat it meansStatus
Business activity Excluded Core business clean Bank — FAIL on business activity Fail
Debt load 18.01% Below 33% Interest-bearing debt is just 18.0% of its assets, well under the one-third ceiling: it does not run on borrowed money. Pass
Interest-bearing cash 5.27% Below 33% Cash held in interest-bearing accounts and securities is 5.3% of assets, under the one-third limit. Pass
Receivables 3.49% Below 49% Money owed to the company is 3.5% of assets, under the 49% limit. Pass
Revenue purity 63.59% Below 5% 63.6% of revenue comes from non-compliant sources, over the 5% line. Fail

Five checks adapted from AAOIFI screening standards: business activity plus four balance-sheet ratios. All five must pass for ethical clearance. Every figure is arithmetic on public accounts, not judgement.

The Ethical Read

Why It Falls Short, in Plain English

Shinhan Financial does not clear the screen at the business-activity stage. It operates in conventional financial services, which the screen treats as interest-based, so the financial ratios are not the deciding factor here.

Read as at 2026-10-04. It updates when the underlying figures move, and past reads are kept below.

What the Numbers Say It Is Worth

The Fair Value Range

Our framework reads AVOID: it trades at roughly a 9% discount to our $120,500.00 fair value, 6.60% revenue growth.

93,000.00Conservative120,500.00Base case139,000.00Growth case 110,100.00Price

Fair value range in KRW, drawn from the 2026-09-18 screen. The gold marker is the market price at the same screen. A 9.4% margin of safety to the base estimate.

The Street's Range
93,000.00Street low 120,500.00Street average 139,000.00Street high 110,100.00Price

Third-party analyst targets: 20 covering, consensus Strong Buy. The average target sits +9% from the screen price.

Reading the gap · Both our model and the analysts see meaningful upside from here.

Price History & Projections
$147,610$85,190$22,770TODAY5y agoPROJECTIONStreet high$139,000.00 +42%Street avg$120,500.00 +23%Our fair value$120,500.00 +23%Conservative$93,000.00 -5%

Where it has been, where the models see it going. History from market close data; projection points are our fair-value estimates and third-party analyst targets, dated to the 2026-09-18 screen.

Fair value and rating are our own model estimates; the Street's range reflects third-party analyst estimates. Analysis, not advice.

The Business, in Plain Words

Why it gives us pause

At 7.7x forward earnings, the price already runs ahead of the business. Our fair value sits at $120,500.00, below where it trades today.

The fundamentals · plain-English read
Forward P/E7.7xfairly priced for its growth rate
Revenue growth+6.6%slow but positive growth
Profit margin32.0%highly profitable on every dollar of sales
Return on equity8.6%a modest return on shareholder capital
Dividend yield277.00%
Beta0.66steadier than the market
52-week range58,100.00 - 109,800.00
Market cap$46.90T

The risks · The things to watch: its business and earnings are exposed to South Korea and to currency swings.

Plain-English interpretation of our own screen data. Analysis, not advice.

Where & How to Trade

055550.KS trades on KRX (the company is based in South Korea). As a listed security it is accessible through almost any international broker offering its home market. New to this, or investing from abroad? Our guide to accessing global markets covers brokers, currencies and the practical steps.

The Dated Journal · Newest First, Never Edited

Every Entry, As Written

2026-10-02 Accumulation · changed $110,100.00 +10.5% Entry 13

The framework has shifted from markup to accumulation since the last review. Smart money appears to be quietly building positions. This typically precedes a markup phase. Price has moved up 10.5% since our last review. Ethical screening: FAIL. This security does not pass our values-based screening criteria. The risk-adjusted return profile shows excellent risk-adjusted returns. Our composite framework grades it B, carrying a low risk profile. Technically it is holding around 19% above its long-term trend line with momentum reading neutral. Over the past year the shares are up 67%. Our forward projection puts the odds of a 10% gain over the next month near 32%. The street (20 analysts) rates it strong buy, with a mean price target of $121370. Since the last review it its composite score eased.

2026-08-24 Markup $99,600.00 +0.0% Entry 12

The framework reads markup. Price is trending higher with momentum. The crowd has caught on and buyers are in control. Price has moved down 0.0% since our last review. Ethical screening: FAIL. This security does not pass our values-based screening criteria. The risk-adjusted return profile shows excellent risk-adjusted returns. Our composite framework grades it C, carrying a low risk profile. Technically it is holding around 19% above its long-term trend line with momentum reading neutral. Over the past year the shares are up 67%. Our forward projection puts the odds of a 10% gain over the next month near 32%. The street (20 analysts) rates it strong buy, with a mean price target of $121370.

2026-07-24 Markup $99,600.00 +0.0% Entry 11

The framework reads markup. Price is trending higher with momentum. The crowd has caught on and buyers are in control. Price has moved down 0.0% since our last review. Ethical screening: FAIL. This security does not pass our values-based screening criteria. The risk-adjusted return profile shows excellent risk-adjusted returns. Our composite framework grades it C, carrying a low risk profile. Technically it is holding around 19% above its long-term trend line with momentum reading neutral. Over the past year the shares are up 67%. Our forward projection puts the odds of a 10% gain over the next month near 32%. The street (20 analysts) rates it strong buy, with a mean price target of $121370. It reported earnings in this window, a natural checkpoint for the thesis.

2026-07-23 Markup · changed $99,600.00 +0.0% Entry 10

The framework has shifted from accumulation to markup since the last review. Price is trending higher with momentum. The crowd has caught on and buyers are in control. Price has moved down 0.0% since our last review. Ethical screening: FAIL. This security does not pass our values-based screening criteria. The risk-adjusted return profile shows excellent risk-adjusted returns. Our composite framework grades it C, carrying a low risk profile. Technically it is holding around 19% above its long-term trend line with momentum reading neutral. Over the past year the shares are up 67%. Our forward projection puts the odds of a 10% gain over the next month near 32%. The street (20 analysts) rates it strong buy, with a mean price target of $121370. It reported earnings in this window, a natural checkpoint for the thesis.

2026-07-22 Accumulation $99,600.00 +0.0% Entry 9

The framework reads accumulation. Smart money appears to be quietly building positions. This typically precedes a markup phase. Price has moved down 0.0% since our last review. Ethical screening: FAIL. This security does not pass our values-based screening criteria. The risk-adjusted return profile shows excellent risk-adjusted returns. Our composite framework grades it C, carrying a low risk profile. Technically it is holding around 19% above its long-term trend line with momentum reading neutral. Over the past year the shares are up 67%. Our forward projection puts the odds of a 10% gain over the next month near 32%. The street (20 analysts) rates it strong buy, with a mean price target of $121370. It reported earnings in this window, a natural checkpoint for the thesis.

2026-07-21 Accumulation $99,600.00 +0.0% Entry 8

The framework reads accumulation. Smart money appears to be quietly building positions. This typically precedes a markup phase. Price has moved down 0.0% since our last review. Ethical screening: FAIL. This security does not pass our values-based screening criteria. The risk-adjusted return profile shows excellent risk-adjusted returns. Our composite framework grades it C, carrying a low risk profile. Technically it is holding around 19% above its long-term trend line with momentum reading neutral. Over the past year the shares are up 67%. Our forward projection puts the odds of a 10% gain over the next month near 32%. The street (20 analysts) rates it strong buy, with a mean price target of $121370. It reported earnings in this window, a natural checkpoint for the thesis.

2026-07-20 Accumulation $99,600.00 +0.0% Entry 7

The framework reads accumulation. Smart money appears to be quietly building positions. This typically precedes a markup phase. Price has moved down 0.0% since our last review. Ethical screening: FAIL. This security does not pass our values-based screening criteria. The risk-adjusted return profile shows excellent risk-adjusted returns. Our composite framework grades it C, carrying a low risk profile. Technically it is holding around 19% above its long-term trend line with momentum reading neutral. Over the past year the shares are up 67%. Our forward projection puts the odds of a 10% gain over the next month near 32%. The street (20 analysts) rates it strong buy, with a mean price target of $121370. It reported earnings in this window, a natural checkpoint for the thesis.

2026-07-19 Accumulation $99,600.00 +0.0% Entry 6

The framework reads accumulation. Smart money appears to be quietly building positions. This typically precedes a markup phase. Price has moved down 0.0% since our last review. Ethical screening: FAIL. This security does not pass our values-based screening criteria. The risk-adjusted return profile shows excellent risk-adjusted returns. Our composite framework grades it C, carrying a low risk profile. Technically it is holding around 19% above its long-term trend line with momentum reading neutral. Over the past year the shares are up 67%. Our forward projection puts the odds of a 10% gain over the next month near 32%. The street (20 analysts) rates it strong buy, with a mean price target of $121370. It reported earnings in this window, a natural checkpoint for the thesis.

2026-07-18 Accumulation $99,600.00 +0.0% Entry 5

The framework reads accumulation. Smart money appears to be quietly building positions. This typically precedes a markup phase. Price has moved down 0.0% since our last review. Ethical screening: FAIL. This security does not pass our values-based screening criteria. The risk-adjusted return profile shows excellent risk-adjusted returns. Our composite framework grades it C, carrying a low risk profile. Technically it is holding around 19% above its long-term trend line with momentum reading neutral. Over the past year the shares are up 67%. Our forward projection puts the odds of a 10% gain over the next month near 32%. The street (20 analysts) rates it strong buy, with a mean price target of $121370. It reported earnings in this window, a natural checkpoint for the thesis.

2026-07-17 Accumulation $99,600.00 +0.0% Entry 4

The framework reads accumulation. Smart money appears to be quietly building positions. This typically precedes a markup phase. Price has moved down 0.0% since our last review. Ethical screening: FAIL. This security does not pass our values-based screening criteria. The risk-adjusted return profile shows excellent risk-adjusted returns. Our composite framework grades it C, carrying a low risk profile. Technically it is holding around 19% above its long-term trend line with momentum reading neutral. Over the past year the shares are up 67%. Our forward projection puts the odds of a 10% gain over the next month near 32%. The street (20 analysts) rates it strong buy, with a mean price target of $121370. It reported earnings in this window, a natural checkpoint for the thesis.

Each entry above was written on its date, before the outcome. A journal you can prune is not a journal.

What Holding Actually Paid · Price Plus Dividends
If $1,000 had been placed · historical, not a promise
PeriodPrice thenPrice returnDivs per share$1,000 becameTotal return
1 month $97,200.00 +1.0% · $1,010 +1.0%
2 months $97,968.89 +0.2% $740.00 $1,010 +1.0%
3 months $91,219.26 +7.7% $740.00 $1,085 +8.5%
6 months $76,462.30 +28.4% $1,620.00 $1,305 +30.5%
1 year $58,971.94 +66.5% $2,760.00 $1,712 +71.2%
2 years $42,833.06 +129.3% $4,950.00 $2,408 +140.8%
3 years $31,379.59 +212.9% $7,065.00 $3,355 +235.5%
5 years $32,951.43 +198.0% $11,615.00 $3,333 +233.3%

Historical returns from market close data. Past performance does not guarantee future results.

The Ledger's Promise

This entry now belongs to the ledger. Whatever 055550.KS does next, these words stay.

Shinhan Financial Group · 055550.KS · Accumulation · $110,100.00
Recorded 2026-09-18 · before the outcome · scored mechanically

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