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Financial Information

Consolidated statements
of financial position (Korean Won in Thousands, %)
Consolidated statements of financial position
Accounts Amount Component
Proportion
Ratio
YoY
December 2023
Current Assets (Total) 540,757 39.3 -19.8
Non-Current Assets (Total) 833,987 60.7 2.9
Total Assets 1,374,744 100.0 -7.4
Current Liabilities (Total) 677,708 49.3 -14.8
Non-Current Liabilities (Total) 327,536 23.8 14.9
Total Liabilities 1,005,244 73.1 -7.0
Equity 11,872 0.9 0.0
Paid-in Capital in Excess of Par Value 90,619 6.6 0.0
Retained Earnings 102,675 7.5 59.2
Other Components of Equity 164,334 12.0 -30.7
Total Equity 369,500 26.9 -8.6
December 2022
Current Assets (Total) 673,968 45.4 34.2
Non-Current Assets (Total) 810,759 54.6 13.5
Total Assets 1,484,727 100.0 22.1
Current Liabilities (Total) 795,631 53.6 30.9
Non-Current Liabilities (Total) 285,041 19.2 7.1
Total Liabilities 1,080,671 72.8 23.7
Equity 11,872 0.8 0.0
Paid-in Capital in Excess of Par Value 90,619 6.1 0.0
Retained Earnings 64,496 4.3 238.5
Other Components of Equity 237,069 16.0 7.2
Total Equity 404,056 27.2 17.9
December 2021
Current Assets (Total) 502,158 41.3 16.5
Non-Current Assets (Total) 714,326 58.7 3.3
Total Assets 1,216,484 100.0 8.3
Current Liabilities (Total) 607,807 50.0 37.5
Non-Current Liabilities (Total) 266,042 21.9 -32.6
Total Liabilities 873,849 71.8 4.5
Equity 11,872 1.0 0.0
Paid-in Capital in Excess of Par Value 90,619 7.4 0.0
Retained Earnings 19,055 1.6 -420.1
Other Components of Equity 221,089 18.2 16.5
Total Equity 342,635 28.2 19.7
Consolidated statements
of profit or loss (Korean Won in Thousands, %)
Consolidated statements of profit or loss
Accounts Amount Component
Proportion
Ratio
YoY
December 2023
Sales 3,074,242 100.0 11.9
Gross Profit (Loss) 574,266 18.7 12.2
Operating Income (Loss) 99,256 3.2 1.4
Other Non-Operating Income 35,300 1.1 6.3
Other Non-Operating Expenses 60,122 2.0 -3.0
Net Income (Loss) 59,700 1.9 14.3
December 2022
Sales 2,747,692 100.0 19.9
Gross Profit (Loss) 511,716 18.6 27.1
Operating Income (Loss) 97,840 3.6 75.9
Other Non-Operating Income 33,212 1.2 183.7
Other Non-Operating Expenses 61,999 2.3 72.4
Net Income (Loss) 52,243 1.9 68.0
December 2021
Sales 2,291,434 100.0 -7.5
Gross Profit (Loss) 402,708 17.6 15.8
Operating Income (Loss) 55,629 2.4 -1668.9
Other Non-Operating Income 11,707 0.5 -36.2
Other Non-Operating Expenses 35,962 1.6 -42.5
Net Income (Loss) 31,105 1.4 -173.2
Consolidated statements
of cash flows (Korean Won in Thousands, %)
Consolidated statements of cash flows
Accounts Amount YoY
December 2023
Net Cash Flows Provided by Operating Activities 218,404 94,796
Net Cash Flows Provided by (Used in) Investing Activities -70,717 36,942
Net Cash Flows Provided by (Used in) Financing Activities -270,452 -288,874
Net Increase (Decrease) in Cash and Cash Equivalents -122,765 -157,136
Cash and Cash Equivalents at January 1 188,326 34,590
Cash and Cash Equivalents at December 31 65,772 -122,554
December 2022
Net Cash Flows Provided by Operating Activities 123,608 -17,003
Net Cash Flows Provided by (Used in) Investing Activities -107,659 -73,482
Net Cash Flows Provided by (Used in) Financing Activities 18,422 57,838
Net Increase (Decrease) in Cash and Cash Equivalents 34,371 -32,647
Cash and Cash Equivalents at January 1 153,736 68,171
Cash and Cash Equivalents at December 31 188,326 34,590
December 2021
Net Cash Flows Provided by Operating Activities 140,611 14,359
Net Cash Flows Provided by (Used in) Investing Activities -34,177 18,597
Net Cash Flows Provided by (Used in) Financing Activities -39,416 -30,792
Net Increase (Decrease) in Cash and Cash Equivalents 67,018 2,164
Cash and Cash Equivalents at January 1 85,566 64,310
Cash and Cash Equivalents at December 31 153,736 68,170
December 2020
Net Cash Flows Provided by Operating Activities 126,251 47,603
Net Cash Flows Provided by (Used in) Investing Activities -52,774 -1,115
Net Cash Flows Provided by (Used in) Financing Activities -8,624 23,131
Net Increase (Decrease) in Cash and Cash Equivalents 64,854 69,621
Cash and Cash Equivalents at January 1 21,256 -4,713
Cash and Cash Equivalents at December 31 85,566 64,310

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