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Statement of Cash Flow

NET CASH

Net Cash - 2013(Bn 264KRW), 2014(388Bn KRW), 2015(696Bn KRW)

(1Bn KRW)

Net Cash - Title, 2013, 2014, 2015
Title 2014 2015 2016
Cash Flow from operating activities 278 △833 188
Cash Flow from investing activities △222 20 94
Cash Flow from financing activities 50 1,072 △102
Net decrease/increase in cash and cash equivalents 124 308 186
Beginning of the year 264 388 696
End of the year 388 696 882

* Based on consolidated income