AlphaStocks
1.6
Avoid

KB Financial Group Inc. (KB)

$109.27

Scores poorly across most models. Proceed with caution.

Avoid

Score based on 2 of 5 models — limited data

#4out of 15 in Financials

Is KB Financial Group Inc. a Good Investment in 2026?

KB Financial Group Inc. (KB) scores 1.6 out of 10 on AlphaStocks' composite model, earning a Avoid rating. The Lynch model rates KB Financial Group Inc. as Attractive (High PEG — growth premium · Slow Grower). However, the Greenblatt Magic Formula model rates it Caution — Top half (rank 42%). KB Financial Group Inc. ranks #4 out of 15 stocks in the Financials sector.

This summary is algorithmically generated and is not financial advice.

Key Metrics

P/E8.3ROE8.5Market Cap42BDiv Yield0.7

Valuation

Trades at 8x earnings — near sector median of 22x.

Fair value estimate not available for this stock.

5-Model Analysis

Each model evaluates this stock from a different angle. Combined, they form the composite score above.

Piotroski

Limited Data

Financial health check (9 signals)

Buffett

Limited Data

Business quality & competitive moat

Graham

Limited Data

Price vs intrinsic value

Lynch

Attractive

High PEG — growth premium · Slow Grower

Greenblatt

Caution

Top half (rank 42%)

Frequently Asked Questions

Is KB Financial Group Inc. (KB) a good investment?
Based on AlphaStocks' composite analysis, KB Financial Group Inc. (KB) scores 1.6 out of 10, earning a Avoid rating. This score is below average, suggesting caution. Trades at 8x earnings — near sector median of 22x.
What is KB Financial Group Inc.'s Piotroski F-Score?
KB Financial Group Inc.'s Piotroski F-Score status is Limited Data. The Piotroski F-Score evaluates financial health using 9 fundamental signals including profitability, leverage, and operating efficiency.
Is KB overvalued or undervalued?
A precise fair value estimate is not available for KB. Trades at 8x earnings — near sector median of 22x.
How does KB compare to other Financials stocks?
KB Financial Group Inc. ranks #4 out of 15 stocks in the Financials sector, placing it in the top 27% of its sector by composite score. This is an above-average position relative to sector peers.
What do investment models say about KB?
AlphaStocks evaluates KB using five proven investment models. Lynch: Attractive; Greenblatt Magic Formula: Caution. These models are combined into a single composite score of 1.6/10.

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Scores are algorithm-generated research tools, not investment recommendations. Past performance does not guarantee future results. Always do your own due diligence. Full disclaimer