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Vidente Co., Ltd.

비덴트121800KOSDAQSector: Electronics & Semiconductors
₩3,3200.00%Market cap ₩256.3BAs of Sep 1, 2026 close · updated once daily
Market cap
₩256.3B
#322 in KOSDAQ
29.3x
Sector median 17.5x (profitable cos.)
0.40x
Sector median 1.19x
0.0%
Sector median 0.0%
Trading halted — grade display suspended

This stock is under a trading halt per KRX disclosure. Grade display resumes once trading resumes.

This grade is not a buy/sell recommendation — it is information mechanically scored from public data using a fixed formula.

1-year closing price

Loading closing price history…
 
Low ₩3,320High ₩3,320
Latest close
Price change by period
1W
0.00%
1M
0.00%
3M
0.00%
1Y
0.00%

As of the Sep 1, 2026 close · updated once daily · a factual record computed from closing prices only; dividends are not included, and this is not a buy or sell signal.

1

Financial strength

59.1/100
How much debt does it carry relative to equity?
9.1%
Sector median 61.3%
Sector lowhighTop 6.5% in sector
Can it cover what's due within a year?
669.9%
Sector median 185.8%
Sector lowhighTop 11.9% in sector
How much of revenue becomes profit?
-71.1%
Sector median 2.0%
Sector lowhighBottom 6.9% in sector
How much did it earn on its own capital?
1.4%
Sector median 2.1%
Sector lowhighBottom 47.8% in sector

Source filing: annual report (consolidated) — view original

2

Growth momentum

37.8/100
How much did revenue grow in a year?
5.3%
Sector median 4.4%
Sector lowhighTop 47.1% in sector
Has it grown steadily over three years?
-13.8%
Sector median 0.7%
Sector lowhighBottom 13.1% in sector
Did core profits grow in a year?
34.7%
Sector median 2.2%
Sector lowhighTop 34.7% in sector
Are core profits higher than three years ago?
-166.1%
Sector median -28.7%
Sector lowhighBottom 20% in sector

Financial trend

Revenue

Growth & margin

Revenue growth Operating margin

Year over year — alongside the sector median

This stock Sector median

A factual chart of confirmed annual results from annual reports — the same source as the grading indicators. Not a buy or sell signal.

Source filing: annual report (consolidated) — view original

3

Price attractiveness

77.2/100
Is the price expensive relative to earnings?
29.3x
Sector median P/E of profitable peers 17.5x · 43% loss-making
Sector lowhighTop 36.5% in sector
Is the price expensive relative to book value?
0.40x
Sector median 1.19x
Sector lowhighTop 9.2% in sector

Valuation uses the Sep 1, 2026 close and market cap

4

Shareholder Return

Single-indicator axis33.6/100
Does the company actually pay dividends?
0.0%
Sector median 0.0%
Sector lowhighBottom 33.6% in sector

Dividends & treasury shares

Treasury shares (FY2025)
4,015 shares (0.0% of shares issued)

Source: annual report (DART) — dividend allocation & total shares

Source filing: annual report (consolidated) — view original

Financial checklist

Based on the FY2025 annual report · year-over-year comparison · determined on Sep 1, 2026

Of 9 items: 5 met · 4 not met · 0 not computable

Not metMetNot computable

Positive net income
Whether net income (attributable to owners where available) is above zero.
Met
₩8.8B
Positive operating cash flow
Whether cash flow from operations is above zero.
Not met
-₩9.7B
Return on assets up
Whether net income over beginning total assets rose from the prior year.
Not met
10.4% → 1.2%
Operating cash flow exceeds net income
Whether operating cash flow is greater than net income.
Not met
-₩9.7B vs ₩8.8B
Liabilities-to-assets ratio down
Whether total liabilities as a share of total assets fell from the prior year.
Met
13.9% → 8.3%
Current ratio up
Whether current assets over current liabilities rose from the prior year.
Met
94.1% → 669.9%
Shares outstanding not increased
Whether common shares issued did not increase from the prior year. Increases from bonus issues and stock dividends are also counted.
Met
77,201,611 → 77,201,611
Operating margin up
Whether operating income over revenue rose from the prior year.
Met
-114.7% → -71.1%
Asset turnover up
Whether revenue over beginning total assets rose from the prior year.
Not met
0.015x → 0.014x

A record of facts determined by fixed rules from the financial statements in the latest annual report. Not used in grading, and not a buy or sell signal. Source filing: annual report (consolidated) — view original

Grade change history

Jul 23, 2026BD

Methodology version change (v2.0 applied)

Jul 15, 2026BVersion v1

First calculation

Grade changes are a factual record produced from public data by a fixed formula; they do not signal future changes.

Disclosure & financial badges

Factual records determined from public filings and periodic reports by fixed rules — not buy/sell signals.

Negative-evidence group (dilution, loss, dispute)Mixed interpretationPositive-evidence group (shareholder return)Dots classify the disclosure type by the direction of research evidence — not an assessment or investment judgment about this company.

Financial fact combinations

Operating losses for 3 consecutive fiscal years

Recorded operating losses in three consecutive fiscal years, FY2023–FY2025 (per annual reports).

Net income vs. operating cash flow divergence (2 fiscal years)

For two consecutive fiscal years (FY2024–FY2025), net income (attributable to owners) was positive while operating cash flow was negative (per annual reports).

Determined as of 2026-09-02

Recent filings for this stock

Last 120 days · monitored filing types only
Periodic report filedAug 14, 2026Source
CEO changeJun 30, 2026Source
Periodic report filedMay 15, 2026Source

View in the filings calendar →