Compare key investment metrics of 태광산업 and 자화전자 in real time. Both stocks belong to the 개성공단 관련주 sector. View PER (Price-to-Earnings Ratio), PBR (Price-to-Book Ratio), dividend yield, market capitalization, and 52-week high/low side by side, with automatic highlighting of the leading stock for each metric.
Comparison at a Glance
- On earnings-based valuation, 자화전자 trades at a lower PER — 7.98x vs 태광산업's 27.19x. A lower PER can suggest undervaluation, but differences in growth expectations should also be considered.
- By market capitalization, 태광산업 is larger — ₩928B vs 자화전자's ₩621B. Larger companies tend to be less volatile, while smaller ones may offer more growth headroom.
- 태광산업's current price of 833,000원 sits at about 13% of its 52-week range (708,000원–1,699,000원).
- 자화전자's current price of 28,700원 sits at about 30% of its 52-week range (14,710원–61,400원).
- This comparison is for reference only, based on publicly available market data, and does not constitute investment advice.
| Metric | 태광산업 | 자화전자 |
|---|---|---|
| Price | 833,000원 | 28,700원 |
| PER | 27.19배 | 7.98배 |
| PBR | 0.18배 | 1.2배 |
| Dividend Yield | 0.21% | - |
| Market Cap | ₩928B | ₩621B |
| 52-Week High | 1,699,000원 | 61,400원 |
| 52-Week Low | 708,000원 | 14,710원 |
As of 2026-06-24 · Source: KRX (Naver Finance) public data
Frequently Asked Questions
Which has a lower PER, 태광산업 or 자화전자?
As of 2026-06-24, 자화전자 has the lower PER — about 7.98x vs 태광산업's 27.19x. PER (Price-to-Earnings Ratio) divides a stock's price by its earnings per share; a lower PER may suggest undervaluation, but growth expectations should also be considered.
What is the dividend yield difference between 태광산업 and 자화전자?
Dividend yield measures annual dividends as a percentage of the stock price. A higher yield means more cash income per dollar invested. The dividend yields of 태광산업 and 자화전자 fluctuate with dividend policy changes and stock price movements — check this page's live data for the most current comparison.
How to compare 태광산업 and 자화전자?
PFlow's stock comparison page lets you compare key investment metrics side by side — PER, PBR, dividend yield, market cap, and 52-week high/low. Each metric automatically highlights which stock has the advantage. For deeper analysis, visit each stock's dedicated detail page.