(Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q3)Sep 30, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 232.35%1.8T | 280.65%6.23T | 106.48%1.52T | 121.99%2.16T | 206.76%4.17T | 78.21%-1.36T | 1.50%-3.45T | -622.72%-23.48T | -334.50%-9.82T | -385.91%-3.91T |
Net income from continuing operations | 106.01%114.42B | 112.13%595.94B | 80.69%-4.72T | 116.27%1.27T | 114.16%833.29B | 60.62%-1.9T | 17.12%-4.91T | -368.39%-24.43T | -114.16%-7.78T | -470.31%-5.88T |
Operating gains losses | 103.34%5.61B | -560.08%-267.21B | 101.36%9.29B | 147.45%210.36B | 105.13%7.59B | -105.12%-168.18B | -405.82%-40.48B | -303.41%-681.33B | -831.64%-443.34B | -197.99%-148B |
Depreciation and amortization | 6.80%3.47T | 9.34%3.55T | 4.58%13.03T | 4.43%3.19T | 5.75%3.34T | 4.08%3.25T | 4.05%3.25T | 4.35%12.46T | 1.92%3.05T | 4.90%3.16T |
Deferred tax | 122.33%234.63B | 107.30%141.85B | 69.86%-2.84T | 91.47%-257.56B | 118.49%414.06B | 46.83%-1.05T | 10.82%-1.94T | -407.25%-9.41T | -109.12%-3.02T | -630.77%-2.24T |
Other non cash items | 10.86%993.12B | 21.64%1.01T | 51.39%3.75T | 16.25%852.03B | 49.66%1.17T | 73.24%895.83B | 86.83%833.08B | 81.58%2.48T | 130.50%732.9B | 156.45%779.5B |
Change In working capital | 11.32%-2.12T | 399.36%2.25T | -137.01%-3.84T | -98.64%-1.3T | -160.47%-600.69B | 32.36%-2.39T | -71.37%450.35B | -6,594.18%-1.62T | -171.85%-656B | 171.78%993.41B |
-Change in receivables | 141.79%335.7B | -10.14%1.14T | 40.53%-1.06T | 42.69%-1.1T | -356.25%-425.75B | -270.44%-803.39B | 183.10%1.27T | -370.45%-1.78T | -132.58%-1.92T | -119.72%-93.32B |
-Change in inventory | -289.48%-673.95B | -2.94%-206.01B | 104.93%147.8B | 9.72%-336.12B | 180.14%328.36B | 120.40%355.68B | 57.88%-200.12B | -72.65%-3T | 22.32%-372.29B | 46.28%-409.71B |
-Change in payables and accrued expense | 67.03%-376.83B | 132.28%439.8B | -263.76%-4.34T | -243.16%-893.43B | -181.54%-945.15B | -228.94%-1.14T | -211.96%-1.36T | 137.57%2.65T | -50.64%624.09B | 1,022.81%1.16T |
-Change in other current assets | -366.41%-452.26B | -175.29%-226.45B | 95.93%-38.3B | 88.99%-58.76B | -121.90%-67.05B | 293.32%169.76B | 86.85%-82.26B | -5.61%-940.91B | 10.66%-533.57B | 441.06%306.09B |
-Change in other current liabilities | -201.56%-97.47B | 27.48%833.98B | 54.15%1.34T | 37.73%-131.11B | 72.41%720.42B | 41.14%95.97B | 10.20%654.22B | 3.77%868.98B | -3,783.79%-210.54B | 40.08%417.86B |
-Change in other working capital | 19.76%-853.52B | 55.95%266.27B | -80.54%113.38B | -30.74%1.22T | 45.30%-211.52B | 11.63%-1.06T | -58.84%170.74B | 1,341.17%582.74B | 12.94%1.76T | 70.79%-386.7B |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 232.35%1.8T | 280.65%6.23T | 106.48%1.52T | 121.99%2.16T | 206.76%4.17T | 78.21%-1.36T | 1.50%-3.45T | -622.72%-23.48T | -334.50%-9.82T | -385.91%-3.91T |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 24.49%-2.8T | -104.86%-3.63T | 12.57%-13.07T | 46.30%-2.93T | -110.79%-4.67T | -24.06%-3.71T | 58.80%-1.77T | -20.86%-14.95T | -180.67%-5.45T | 28.13%-2.21T |
Net PPE purchase and sale | 5.79%-3.5T | -6.90%-3.59T | -16.06%-13.6T | -11.45%-3.59T | -4.49%-2.94T | -20.25%-3.72T | -29.30%-3.36T | 5.57%-11.72T | 1.50%-3.22T | -13.25%-2.81T |
Net intangibles purchase and sale | 24.37%-22.61B | 26.11%-21.12B | 6.92%-74.68B | -3.86%-25.58B | 155.37%9.39B | -4.44%-29.9B | -185.53%-28.58B | 29.03%-80.23B | 60.33%-24.63B | -20.77%-16.96B |
Net business purchase and sale | -1,924.50%-112.96B | 121.41%69.19B | -54.01%-517.68B | -250.14%-173.77B | 29.90%-26.87B | 103.27%6.19B | -447.87%-323.22B | 54.08%-336.14B | 86.17%-49.63B | 72.42%-38.34B |
Net investment purchase and sale | 1,432.95%854.39B | -102.07%-42.42B | 153.91%1.25T | 143.42%917.59B | -337.12%-1.77T | -90.18%55.74B | 235.04%2.05T | -304.72%-2.31T | -228.74%-2.11T | 455.19%747.73B |
Net other investing changes | 27.84%-16.41B | 60.41%-42.65B | 74.37%-129.98B | -23.17%-59.43B | 161.97%59.91B | 90.80%-22.73B | 6.29%-107.73B | -103.64%-507.03B | -146.23%-48.25B | 59.03%-96.68B |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 24.49%-2.8T | -104.86%-3.63T | 12.57%-13.07T | 46.30%-2.93T | -110.79%-4.67T | -24.06%-3.71T | 58.80%-1.77T | -20.86%-14.95T | -180.67%-5.45T | 28.13%-2.21T |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -87.48%604.27B | -179.71%-4.03T | -67.53%12.66T | -94.39%716.11B | -76.50%2.06T | -45.88%4.83T | -40.83%5.06T | 362.33%39T | 167.25%12.76T | 734.10%8.77T |
Net issuance payments of debt | -88.67%550B | -181.63%-4.14T | -68.63%12.12T | -98.57%184.62B | -75.92%2.01T | -45.13%4.86T | -40.39%5.07T | 325.39%38.63T | 173.01%12.93T | 743.55%8.36T |
Cash dividends paid | ---- | ---- | -7.03%-45.32B | 71.52%-2.41B | -404.62%-3.06B | ---- | ---- | 94.79%-42.35B | -845.92%-8.47B | -20,100.00%-606M |
Net other financing activities | 976.81%137.8B | 1,282.11%103.98B | 43.87%588.52B | 441.25%533.9B | -87.68%50.62B | -88.05%12.8B | -118.41%-8.8B | 146.61%409.08B | -479.04%-156.45B | 580.08%410.7B |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -87.48%604.27B | -179.71%-4.03T | -67.53%12.66T | -94.39%716.11B | -76.50%2.06T | -45.88%4.83T | -40.83%5.06T | 362.33%39T | 167.25%12.76T | 734.10%8.77T |
Net cash flow | ||||||||||
Beginning cash position | -4.69%2.95T | 34.26%4.34T | 22.75%3.23T | -23.48%4.49T | -7.76%2.85T | -9.37%3.1T | 22.75%3.23T | 29.84%2.64T | 181.49%5.87T | 13.32%3.09T |
Current changes in cash | -63.23%-393.98B | -777.98%-1.43T | 95.94%1.11T | 97.84%-54.26B | -40.67%1.57T | 22.93%-241.37B | -121.68%-162.31B | 2.29%566.65B | -539.49%-2.51T | 499.58%2.64T |
Effect of exchange rate changes | 3,141.45%100.31B | 40.77%32.52B | -106.63%-2.18B | 22.96%-97.32B | -45.95%75.34B | 71.66%-3.3B | -26.62%23.1B | -36.39%32.9B | -451.80%-126.33B | 578.29%139.38B |
End cash Position | -6.81%2.66T | -4.69%2.95T | 34.26%4.34T | 34.26%4.34T | -23.48%4.49T | -7.76%2.85T | -9.37%3.1T | 22.75%3.23T | 22.75%3.23T | 181.49%5.87T |
Free cash flow | 64.72%-1.84T | 136.15%2.5T | 65.29%-12.46T | 88.36%-1.55T | 117.68%1.21T | 45.40%-5.2T | -11.93%-6.92T | -332.15%-35.9T | -134.57%-13.34T | -484.27%-6.86T |
Currency Unit | KRW | KRW | KRW | KRW | KRW | KRW | KRW | KRW | KRW | KRW |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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