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(百万KRW) | 过去十二个月 | 财季 | |||
---|---|---|---|---|---|
截止: | 12-22 | 12-23 | 9-24 | 9-23 | 9-24 |
利润表 | |||||
营收 | 2,122,914 | 2,216,941 | 2,380,882 | 546,614 | 612,999 |
营业利润 | 1,012,365 | 979,157 | 1,069,401 | 272,122 | 304,851 |
净利润 | 601,020 | 585,981 | 655,729 | 167,257 | 193,040 |
摊薄每股收益 | 2,996 | 2,907 | 3,317 | 830.06 | 985.55 |
EBITDA | - | ||||
资产负债表 | |||||
现金及短期投资 | 10,355,005 | 11,374,849 | 11,700,952 | 10,625,086 | 11,700,952 |
流动资产 | 10,683,533 | 11,772,038 | 12,119,529 | 11,088,619 | 12,119,529 |
总资产 | 59,828,165 | 63,403,970 | 65,517,337 | 62,223,832 | 65,517,337 |
流动负债 | 42,440,615 | 43,875,051 | 44,574,664 | 44,211,033 | 44,574,664 |
总负债 | 55,065,152 | 58,288,020 | 60,032,474 | 57,091,777 | 60,032,474 |
总权益 | 4,763,013 | 5,115,950 | 5,484,863 | 5,132,055 | 5,484,863 |
总债务 | 11,700,848 | 13,738,712 | 14,669,712 | 12,436,275 | 14,669,712 |
现金流量表 | |||||
经营现金流 | (2,961,272) | (1,400,163) | (1,849,311) | (1,057,269) | 158,401 |
投资所得现金 | (790,273) | (1,268,605) | (310,307) | (312,232) | (48,070) |
筹资所得现金 | 2,811,765 | 2,643,573 | 2,600,535 | 1,163,716 | (554,629) |
自由现金流 | (3,034,708) | (1,776,459) | (1,956,759) | (1,078,327) | 141,142 |