본문바로가기

Finance Information

Here are JVM’s principal financial information & statements.

Banance Sheet

Account 2017. 12 2016. 12 2015. 12
Price Composition ratio Rate of change Price Composition ratio Rate of change Price Composition ratio Rate of change
TOTAL CURRENT ASSETS 62,661 38.8 ▼-12.1 71,258 41.4 ▲21.5 58,635 37.3 ▼-20.6
TOTAL NON-CURRENT ASSETS 98,895 61.2 ▼-1.9 100,810 58.6 ▲2.4 98,443 62.7 ▲12.7
TOTAL ASSETS 161,556 100 ▼-6.1 172,067 100 ▲9.5 157,078 100 ▼-2.6
TOTAL CURRENT LIABILITIES 30,487 18.9 ▼-41 51,666 30 ▲14.4 45,164 28.8 ▼-22.7
TOTAL NON-CURRENT LIABILITIES 4,264 2.6 ▼-5.1 4,492 2.6 ▲7.6 4,176 2.7 ▲35.7
TOTAL LIABILITIES 34,751 21.5 ▼-38.1 56,158 32.6 ▲13.8 49,340 31.4 ▼-19.8
Capital stocks 3,165 2 0 3,165 1.8 0 3,165 2 0
Capital surplus 47,921 29.7 0 47,921 27.8 0 47,921 30.5 0
Retained earnings 82,980 51.4 ▲17.7 70,529 41 ▲18.2 59,664 38 ▲13.7
TOTAL STOCKHOLDERS' EQUITY 126,805 78.5 ▲9.4 115,909 67.4 ▲7.6 107,739 68.6 ▲8.1

Income Statement

Account 2017. 12 2016. 12 2015. 12
Price Composition ratio Rate of change Price Composition ratio Rate of change Price Composition ratio Rate of change
SALES(NET) 92,514 100 ▲8.7 85,142 100 ▲11.2 76,597 100 ▼-9.4
GROSS PROFIT 35,193 38 ▲9.1 32,253 37.9 ▲13.3 28,467 37.2 ▼-18.2
OPERATING INCOME 18,511 20 ▲27.4 14,528 17.1 ▲79 8,114 10.6 ▼-50.2
NON-OPERATING INCOME 8,870 9.6 ▲106.2 4,301 5.1 ▼-14.3 5,018 6.6 ▲41.5
NON-OPERATING EXPENSES 9,906 10.7 ▲63.1 6,073 7.1 ▲14.5 5,305 6.9 ▼-41.6
NET INCOME 13,284 14.4 ▲11.7 11,889 14 ▲66.2 7,156 9.3 ▼-24

Cash Flow Statement

Account 2017. 12 2016. 12 2015. 12
Composition ratio Rate of change Composition ratio Rate of change Composition ratio Rate of change
Cash flows from operating activities 19,682 ▲50.9 13,046 ▲1.8 12,812 ▼-32.2
Cash flows from investing activities -4,757 ▲45.7 -8,753 ▼-492.2 2,232 ▲144.7
CF from financing act. -23,022 ▼-947.2 2,717 ▲114.5 -18,695 ▼-61.2
Increases(Decreases) in cash -8,097 ▼-215.5 7,010 ▲292 -3,650 ▼-258.3
Cash at the beginning of the period 8,248 ▲656.4 1,090 ▼-77 4,741 ▲94.3
Cash at the end of the period 150 ▼-98.2 8,248 ▲656.4 1,090 ▼-77