South Korean brokerages post record 10 trillion won profits in 2025

South Korea's major brokerage firms achieved record earnings in 2025, driven by a bull run in the local stock market. The combined net profit of 27 securities companies reached 10.23 trillion won ($7.03 billion), up sharply from 6.97 trillion won the previous year. This performance was boosted by increased trading activity from retail investors.

South Korea's 27 securities firms recorded a combined net profit of 10.23 trillion won ($7.03 billion) in 2025, marking a record high according to industry data released Sunday. This represents a sharp rise from 6.97 trillion won in the previous year, propelled by a bull market in local stocks. Leading the pack, Korea Investment & Securities reported 2.01 trillion won in net income, a 79 percent increase year-over-year, followed by Mirae Asset Securities with 1.59 trillion won, Kiwoom Investment & Securities with 1.12 trillion won, NH Investment & Securities with 1.03 trillion won, and Samsung Securities with 1.01 trillion won.

The strong results were partly attributed to higher commission fees from surging retail investor trading. The average daily turnover on the local stock market reached 16.9 trillion won in 2025, a 57 percent jump from the year before. The benchmark KOSPI index surged over 75 percent last year and has advanced around 30 percent so far this year.

Brokerage firms are expected to see further profit growth as trading volumes continue to rise. Analysts predict the daily turnover could hit as high as 45 trillion won this year, with January alone averaging 62 trillion won. The headquarters of these major brokerages are located in Seoul's Yeouido financial district, which benefited from the market rally.

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Seoul stocks hit record high then rebound on defense, shipbuilding gains

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Seoul's stock market set a new record high on January 8 driven by strong defense and shipbuilding stocks, then dipped early on January 9 before rebounding later in the morning. The KOSPI index closed at 4,552.37 on the 8th, its all-time high, and rose 0.3 percent to 4,565.88 by 11:20 a.m. on the 9th. Institutional and individual buying offset foreign selling to support the market.

韩国主要证券公司预计报告改善的第四季度盈利,受延续至新年的股市反弹支撑。据韩联社Infomax数据,四大本土券商合并经营利润预测达1.25万亿韩元(8.572亿美元),较上季度增长17.13%。芯片板块交易活跃和投资银行业绩强劲被视为关键驱动因素。

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根据2月18日公布的韩国央行数据,韩国人海外股票投资额较上年近三倍,2025年达到历史最高水平,相当于该国年度经常账户盈余规模。这一激增被认为是韩元疲软的关键因素。

韩国股市周三上涨近1.5%,投资者在半导体股中寻觅便宜货。韩元兑美元跌至八个月低点。KOSPI指数在前一交易日跌至九日低点后回升至4000点水平。

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韩国股市收于4,800点以上的新纪录高位,在半导体股买盘推动下,连续11个交易日上涨。基准KOSPI指数上涨0.9%,收于4,840.74点。本币兑美元汇率下跌3.9韩元至1,473.6。

韩国2025年出口额达到创纪录的7097亿美元,首次突破7000亿美元大关。这一增长得益于半导体需求的强劲,推动贸易顺差达到自2017年以来最大水平,为780亿美元。产业通商资源部长金正宽强调了经济在全球挑战中的韧性。

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韩国股市在2026年首个交易日走高,大型半导体股大幅上涨领涨。截至上午11:20,基准KOSPI指数上涨1.1%至4260.55点。散户投资者强劲买入,在高开基础上推动涨幅扩大。

 

 

 

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