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IR >
FINANCIAL SUMMARY
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Unit: One hundred million won
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Current Assets |
1,365
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1,474
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1,034
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897
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885
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750
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Quick Assets |
996
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1,140
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843
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699
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637
|
510
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Inventories |
369
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334
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191
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198
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248
|
240
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Non-Current Assets |
780
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630
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461
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429
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384
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330
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Investments |
64
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69
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67
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48
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27
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36
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Tangiblestments |
651
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501
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338
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337
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326
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286
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Intangible Assets |
27
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29
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34
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27
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13
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0.6
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Other Non-Currnet Assets |
38
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31
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23
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7
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18
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7
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Total Assets |
2,145
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2,104
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1,495
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1,326
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1,269
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1,079
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Current Liabilities |
243
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410
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218
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200
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239
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204
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Long-Term Liabilities |
356
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32
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35
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32
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29
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9
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Total Liabilities |
599
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441
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253
|
232
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268
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213
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Capital Stock |
135
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129
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123
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123
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123
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112
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Additional Paid-in and
Other Capital |
257
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257
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133
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133
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137
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135
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Capital Adjustments |
¡â192
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¡â23
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¡â62
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¡â62
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¡â43
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¡â50
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Retained Earnings |
1,346
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1,299
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1,048
|
900
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785
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669
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Total Stockholder's Equity |
1,546
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1,662
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1,242
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1,094
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1,001
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866
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Total Liabilities &
Stock holder¡¯s Equity |
2,145
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2,104
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1,495
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1,326
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1,269
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1,079
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* Notice * FY2007 : April 1st, 2007 ~ March
31th, 2008
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Unit : One hundred million won
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Sales |
801
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755
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1,556
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1,375
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1,264
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1,131
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Gross Profit |
482
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470
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973
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773
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662
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611
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Operating Income |
197
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210
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422
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265
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206
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211
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Non Operating Revenus |
18
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25
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52
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24
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31
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16
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Non Operating Expenses |
15
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11
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18
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13
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22
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42
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Gain Before
Extraordinary Gains/Losses and
Income
Taxes |
200
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224
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455
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276
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215
|
185
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Net Income |
156
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159
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329
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195
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163
|
139
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* Notice * FY2007 : April 1st, 2007 ~ March 31th, 2008
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Unit : One hundred million won
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Sales |
415
|
387
|
392
|
409
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396
|
359
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Gross Profit |
243
|
239
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243
|
260
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253
|
218
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Operating Income |
109
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89
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80
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132
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124
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86
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Non Operating Revenus |
8
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9
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15
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12
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11
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14
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Non Operating Expenses |
11
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4
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4
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3
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6
|
5
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Gain Before
Extraordinary Gains/Losses and
Income
Taxes |
106
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94
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91
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141
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129
|
95
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Net Income |
76
|
80
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68
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102
|
92
|
67
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* Notice * FY2007 : April 1st, 2007 ~ March 31th,
2008 |
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Unit : One hundred million won
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Cash Flow from
Operating Activities
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¡â105
|
118
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264
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233
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185
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167
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Cash Flow from
Investing Activities |
64
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¡â336
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¡â485
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¡â63
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¡â57
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¡â37
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Proceeds from
Disposal of Property,
Plant and Equipment |
168
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59
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199
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34
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46
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73
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Cash Flow from
Financing Activities |
28
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162
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139
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¡â47
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¡â117
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¡â5
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Net Increase
(Decrease) in Cash
and Cash Equivalents |
¡â14
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¡â56
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¡â82
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122
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11
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125
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* Notice * FY2007 : April 1st, 2007 ~ March 31th, 2008
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