본문 바로가기

Financial Information

Creating sustainable growth through transparent management

  • Home
  • Investor Information
  • Financial Information
  • Statement of Cash Flow

Statement of Cash Flow

As of 2019-12-15 19:11:50
이 표는 손익계산서 목록을 나타내는 표로 2015년 12월(금액,구성,증감율),2015년 12월(금액,구성,증감율),2015년 12월(금액,구성,증감율) 으로 구성되어 있습니다.
Accounts 12 2018 12 2017 12 2016
Amount Change(%) Amount Change(%) Amount Change(%)
Cash flows from operating activities 5,051 38.7 3,643 -92.6 49,391 -12.1
Cash flows from investing activities -2,532 87.4 -20,042 44.8 -36,291 12.1
CF from financing act. -2,071 -94.6 -1,064 96.9 -34,512 -181.5
Increases(Decreases) in cash 449 102.6 -17,463 18.4 -21,413 -137.4
Cash at the beginning of the period 28,026 -38.4 45,489 -32 66,892 597.7
Cash at the end of the period 28,475 1.6 28,026 -38.4 45,489 -32

(Million KRW, K-IFRS)

Top