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ChartFinancialsNewsAbout
HighlightsIncome StatementBalance SheetCash Flow
Currency in KRWFY2021FY2022FY2023FY2024FY2025

Operating Activities

Net Income-5.22T-24.43T-4.82T3.49T8.66T
Depreciation & Amortization11.94T12.46T13.03T14.00T13.97T
Stock-Based Compensation0.000.000.000.000.00
Working Capital Changes24.96B-1.62T-3.84T-2.18T-5.46T
Operating Cash Flow4.47T-23.48T1.52T15.88T21.16T
YoY Growth %—-624.8%—+943.0%+33.3%

Investing Activities

Capital Expenditures-12.78T-12.43T-13.93T-14.31T-16.02T
Acquisitions-732.04B-336.14B-517.68B-217.93B514.55B
Investing Cash Flow-12.35T-14.95T-13.07T-14.09T-18.70T

Financing Activities

Debt Issuance (Net)9.08T38.63T12.12T-4.22T-1.97T
Share Repurchases0.000.000.000.00-233.12B
Dividends Paid-812.16B-42.35B-45.32B-126.90B-219.72B
Financing Cash Flow8.44T39.00T12.66T-3.85T-2.67T

Summary

Net Change in Cash605.65B599.54B1.11T-1.96T-91.01B
Free Cash Flow-8.31T-35.90T-12.40T1.57T5.14T
YoY Growth %————+227.7%

Financials are standardized for comparability and may differ from company-reported line-item presentation.

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