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Mr. Blue Corporation

미스터블루207760KOSDAQSector: IT, Telecom & Media
₩2,7108.62%Market cap ₩45.0BAs of Sep 3, 2026 close · updated once daily
Market cap
₩45.0B
#1184 in KOSDAQ
Loss
PER not computable
0.79x
Sector median 0.95x
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 ₩1,805High ₩10,525
Latest close
Price change by period
1W
41.10%
1M
41.10%
3M
18.30%
1Y
65.60%

Adjusted for 1 price-basis change(s) such as stock splits or reverse splits during the period.

As of the Sep 3, 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

29.5/100
How much debt does it carry relative to equity?
65.1%
Sector median 46.5%
Sector lowhighBottom 36.5% in sector
Can it cover what's due within a year?
179.5%
Sector median 216.6%
Sector lowhighBottom 39.9% in sector
How much of revenue becomes profit?
-3.6%
Sector median 2.7%
Sector lowhighBottom 32.5% in sector
How much did it earn on its own capital?
-46.0%
Sector median 2.5%
Sector lowhighBottom 8.9% in sector

Source filing: annual report (consolidated) — view original

2

Growth momentum

35.8/100
How much did revenue grow in a year?
-4.1%
Sector median 4.0%
Sector lowhighBottom 29.5% in sector
Has it grown steadily over three years?
-4.4%
Sector median 3.9%
Sector lowhighBottom 24.6% in sector
Did core profits grow in a year?
81.9%
Sector median 20.0%
Sector lowhighTop 24.2% in sector
Are core profits higher than three years ago?
-133.0%
Sector median 5.5%
Sector lowhighBottom 13.4% 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

33.1/100
Is the price expensive relative to earnings?
Loss-making (P/E not computable)
Sector median P/E of profitable peers 12.6x · 42% loss-making
Sector lowhighBottom 6.1% in sector
Is the price expensive relative to book value?
0.79x
Sector median 0.95x
Sector lowhighTop 39.9% in sector

Valuation uses the Sep 3, 2026 close and market cap

4

Shareholder Return

Single-indicator axis33.3/100
Does the company actually pay dividends?
0.0%
Sector median 0.0%
Sector lowhighBottom 33.3% in sector

Dividend per share (annual)

Cash dividend per common share as stated in annual reports. ₩0 means no dividend that year.

Dividends & treasury shares

Treasury shares (FY2025)
696,068 shares (0.8% 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 2, 2026

Of 9 items: 6 met · 3 not met · 0 not computable

Not metMetNot computable

Positive net income
Whether net income (attributable to owners where available) is above zero.
Not met
-₩18.6B
Positive operating cash flow
Whether cash flow from operations is above zero.
Met
₩2.4B
Return on assets up
Whether net income over beginning total assets rose from the prior year.
Not met
-14.4% → -19.6%
Operating cash flow exceeds net income
Whether operating cash flow is greater than net income.
Met
₩2.4B vs -₩18.6B
Liabilities-to-assets ratio down
Whether total liabilities as a share of total assets fell from the prior year.
Not met
38.1% → 39.4%
Current ratio up
Whether current assets over current liabilities rose from the prior year.
Met
135.6% → 179.5%
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
83,079,783 → 83,079,783
Operating margin up
Whether operating income over revenue rose from the prior year.
Met
-19.3% → -3.6%
Asset turnover up
Whether revenue over beginning total assets rose from the prior year.
Met
0.61x → 0.71x

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, 2026D

Methodology version change (v2.0 applied)

Jul 15, 2026DVersion 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.

Disclosure event history

CB with conversion-price adjustment clause (past 36 months)

1 convertible bond (CB) issuance resolutions including a downward conversion-price adjustment (refixing) clause were disclosed in the past 36 months (latest filing 2024-05-09). View filing

Determined as of 2026-09-02

Recent filings for this stock

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

View in the filings calendar →