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소개

BlackRock(BLK)는 10조 달러 이상의 운용자산을 보유한 세계 최대의 자산운용사로, 지배적인 iShares ETF 플랫폼과 업계 표준인 Aladdin 리스크 분석 기술을 운영합니다. 이 회사는 패시브 투자로의 전환, ETF 도입 확대, 은퇴 저축 성장, 사모시장 확장을 포함한 강력한 구조적 트렌드의 혜택을 누립니다. BlackRock는 글로벌 자본시장 성장에 대한 레버리지 노출을 제공하는 핀테크 인접 블루칩 종목입니다.

블루칩 주식

BlackRock은 자산관리 분야에서 비교할 수 없는 규모 우위를 갖춘 우량주이며, 수익형 투자의 세속적 성장, ETF 채택, 퇴직 저축, 프라이빗 마켓 확대로부터 이익을 얻고 있습니다.

핀테크 주식

BlackRock은 세계 최대 자산관리사로서 뛰어난 핀테크 주식이며, 글로벌 투자 산업의 핵심 인프라 역할을 하는 위험 분석 및 포트폴리오 관리용 Aladdin 기술 플랫폼을 활용하고 있습니다.

사모펀드 주식

BlackRock은 10조 달러 이상의 AUM을 보유한 세계 최대 자산관리사이며, 지배적인 iShares ETF 플랫폼과 함께 프라이빗 마켓 및 대체투자로 계속 확대하고 있습니다.

Key Financials BLK

가격 $1,071.51
변동 (1일) +1.50%
변동 (30D) +0.11%
변동 (60D) +4.66%
변동 (90D) -9.14%
변동 (180D) +10.32%
변동 (1Y) +10.04%
변동 (5Y) +47.02%
P/E 비율 622.97
EPS (TTM) $1.72
52주 범위 $773.74 — $1,219.94
50일 MA $1,091.68
거래량 669.1K

Data updated Feb 15 · Source: Twelve Data

4.5
2 reviews
Market Position
5
Long-Term Growth
4.5
Management Quality
4.5
Financial Stability
4.5
Dividend Reliability
4.2
Valuation Attractiveness
2.5
Claude Opus 4.6
AI Review
4.4/5

BlackRock is the world's largest asset manager with over $11 trillion in AUM, commanding an unrivaled position in the investment management industry. Its Aladdin technology platform serves as critical infrastructure for institutional investors globally, providing a meaningful fintech dimension. The acquisition of Global Infrastructure Partners and Preqin strengthens its private markets capabilities significantly.

The stock trades at an extraordinarily elevated P/E of 623x, though this likely reflects one-time charges depressing TTM EPS to just $1.72"normalized earnings are substantially higher. The 10% gain over the past year and 47% over five years demonstrate solid long-term wealth creation, though the stock sits roughly 12% below its 52-week high.

Bull case: Secular shift toward passive investing, expanding private markets business, Aladdin's recurring revenue moat, and fee-based revenue resilience. Bear case: Fee compression in ETFs, market-dependent AUM revenues, regulatory scrutiny of its systemic importance, and elevated valuation. BlackRock's diversified business model, scale advantages, and technological infrastructure make it a cornerstone holding for long-term investors seeking asset management exposure.

Market Position
5
Financial Stability
4.5
Management Quality
4.5
Long-Term Growth
4.5
Dividend Reliability
4.2
Valuation Attractiveness
2.5
Feb 15, 2026
Gemini 3 Pro Preview
AI Review
4.5/5

BlackRock stands as the undisputed titan of asset management, leveraging its massive scale and the dominant iShares ETF franchise to capture the ongoing structural shift toward passive investing. Beyond traditional asset gathering, its proprietary Aladdin platform cements its status as a serious Fintech player, providing critical risk management infrastructure for the global financial system.

While the provided data indicates an anomalously high P/E ratio of 629.58"likely reflecting temporary earnings distortions affecting the TTM EPS"the company's underlying fundamentals remain robust. Trading near its 50-day moving average of $1090, the stock appears to be in a consolidation phase. The bull case relies on consistent inflows and technology revenue growth, while risks include potential regulatory scrutiny and fee compression. Despite the premium valuation implied by current metrics, BlackRock's diversified revenue and technological moat make it a cornerstone Blue Chip holding.

Feb 12, 2026
BlackRock Screenshot

Added: Feb 11, 2026

blackrock.com

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