대차대조표​

재무항목 2020 2019 2018
유동자산
56,333,934,528 55,894,259,755 22,135,792,414
비유동자산
29,416,015,171 37,216,068,232 30,739,629,566
자산총계
85,749,949,699 93,110,327,987 52,875,421,980
유동부채
20,517,508,451 8,839,919,624 9,278,336,241
비유동부채
2,550,319,365 2,381,633,025 468,184,371
부채총계
23,067,827,816 11,221,552,649 9,746,520,612
자본금
30,595,199,500 30,595,199,500 26,528,199,500
자본잉여금
49,583,407,872 49,583,407,872 15,665,894,012
자본조정
4,344,253,917 4,252,035,478 4,290,679,138
이익잉여금
-21,840,739,406 -2,541,867,512 -3,355,871,282
자본총계
62,682,121,883 81,888,775,338 43,128,901,368
부채와자본총계
85,749,949,699 93,110,327,987 52,875,421,980

손익계산서​

재무항목 2020 2019 2018
영업수익
7,600,375,577 12,901,852,367 10,983,437,652
영업비용
14,011,108,006 11,141,283,421 9,756,257,718
영업이익
-6,410,732,429 1,760,568,946 1,227,179,934
기타수익
195,496,250 414,123,851 1,601,497,023
기타비용
11,899,486,459 1,320,074,133 768,969,861
금융수익
529,102,079 264,205,944 343,403,557
금융비용
1,284,041,173 216,815,880 168,301,188
법인세비용차감전순이익
-18,869,661,732 902,008,728 2,234,809,465
당기순이익
-18,869,661,732 902,008,728 2,234,809,465

현금흐름표​

재무항목 2020 2019 2018
영업활동현금흐름
-5,412,080,219 357,517,207 3,699,808,330
재무활동현금흐름
10,277,646,319 36,624,493,407 398,348,000
현금및현금성자산의순증가(감소)
20,267,986,412 6,363,172,330 5,822,503,905
기초현금및현금성자산
21,229,510,782 14,866,338,452 9,043,834,547
현금및현금성자산에 대한 환율변동효과
-103,639,365 105,935,434 173,790,834
기말현금및현금성자산
41,497,497,194 21,229,510,782 14,866,338,452
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