IR > FINANCIAL SUMMARY        



Unit: One hundred million won     
 
             
    Current Assets
1,365
1,474
1,034
897
885
750
      Quick Assets
996
1,140
843
699
637
510
      Inventories
369
334
191
198
248
240
    Non-Current Assets
780
630
461
429
384
330
      Investments
64
69
67
48
27
36
      Tangiblestments
651
501
338
337
326
286
      Intangible Assets
27
29
34
27
13
0.6
      Other Non-Currnet Assets
38
31
23
7
18
7
    Total Assets
2,145
2,104
1,495
1,326
1,269
1,079
    Current Liabilities
243
410
218
200
239
204
    Long-Term Liabilities
356
32
35
32
29
9
    Total Liabilities
599
441
253
232
268
213
    Capital Stock
135
129
123
123
123
112
    Additional Paid-in and
    Other Capital
257
257
133
133
137
135
    Capital Adjustments
¡â192
¡â23
¡â62
¡â62
¡â43
¡â50
    Retained Earnings
1,346
1,299
1,048
900
785
669
    Total Stockholder's Equity
1,546
1,662
1,242
1,094
1,001
866
    Total Liabilities &
    Stock holder¡¯s Equity
2,145
2,104
1,495
1,326
1,269
1,079

    * Notice * FY2007 : April 1st, 2007 ~ March 31th, 2008




Unit : One hundred million won      
             
    Sales
801
755
1,556
1,375
1,264
1,131
    Gross Profit
482
470
973
773
662
611
    Operating Income
197
210
422
265
206
211
    Non Operating Revenus
18
25
52
24
31
16
    Non Operating Expenses
15
11
18
13
22
42
    Gain Before     Extraordinary     Gains/Losses and   Income
    Taxes
200
224
455
276
215
185
    Net Income
156
159
329
195
163
139

    * Notice * FY2007 : April 1st, 2007 ~ March 31th, 2008






Unit : One hundred million won      
             
    Sales
415
387
392
409
396
359
    Gross Profit
243
239
243
260
253
218
    Operating Income
109
89
80
132
124
86
    Non Operating Revenus
8
9
15
12
11
14
    Non Operating Expenses
11
4
4
3
6
5
    Gain Before     Extraordinary     Gains/Losses and   Income
    Taxes
106
94
91
141
129
95
    Net Income
76
80
68
102
92
67

    * Notice * FY2007 : April 1st, 2007 ~ March 31th, 2008
   
 
Unit : One hundred million won      
             
    Cash Flow from
    Operating Activities
¡â105
118
264
233
185
167
    Cash Flow from
    Investing Activities
64
¡â336
¡â485
¡â63
¡â57
¡â37
    Proceeds from
    Disposal of Property,
    Plant and Equipment
168
59
199
34
46
73
    Cash Flow from
    Financing Activities
28
162
139
¡â47
¡â117
¡â5
    Net Increase
    (Decrease) in Cash
    and Cash Equivalents
¡â14
¡â56
¡â82
122
11
125
    * Notice * FY2007 : April 1st, 2007 ~ March 31th, 2008