투자정보물, 환경, 에너지 그리고 사람, 웰크론한텍

Financial Information

MAIN Investors Financial Information

Summary of Consolidated Financial Statements

unit : 1 million won¸ %

Financial items 2023-12 2022-12 2021-12
Price

Composition 

ratio

(%)

Rate of 

change

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Price

Composition 

ratio

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Rate of 

change

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Composition 

ratio

(%)

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Current assets (total) 113¸788 75.36 - 156¸520 78.09 - 95¸588 72.88 -
Non-current assets (total) 37¸194 24.64 - 44¸412 21.91 - 35¸567 27.12 -
Total Assets 150¸982 100.00 - 200¸933 100.00 - 131¸155 100.00 -
Current liabilities (total) 85¸314 97.85 - 135¸135 99.22 - 54¸784 85.31 -
Non-current liabilities (total) 1¸874 2.15 - 1¸063 0.78 - 9¸430 14.69 -
Total Debt 87¸188 100.00 - 136¸198 100.00 - 64¸214 100.00 -
Capital 11¸297 17.70 - 10¸819 16.71 - 10¸408 15.54 -
Capital surplus 39¸673 62.18 - 36¸217 55.94 - 33¸161 49.53 -
Other capital items -1¸234 -1.92 - -1¸234 -1.90 - -1¸229 -1.82 -
Accumulated other comprehensive income -1¸500 -2.34 - -1¸231 -1.90 - -2¸420 -3.62 -
Retained earnings 15¸557 24.38 - 20¸165 31.15 - 27¸016 40.36 -
Non-controlling interest 0 - - 0 - -4 0.01 -
Total Capital 63¸794 100.00 - 64¸735 100.00 - 66¸941 100.00 -

Summary of Consolidated Income Statement 

unit : 1 million won¸ %

Financial items 2023-12 2022-12 2021-12
Price

Composition

ratio

(%)

Rate of 

change

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Price

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ratio

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Sales 333¸203 - - 326¸740 - - 269¸161 - -
Gross profit (loss) 8¸005 2.40 - 8¸663 2.65 - 7¸273 2.70 -
Operating profit (loss) 1¸224 0.37 - 1¸351 0.41 - -249 -0.09 -
Non-operating income 3¸729 - - 4¸579 - - 5¸307 - -
Non-operating expenses 8¸847 - - 8¸252 - - 4¸394- -
Corporation tax 714 - - -124 - - 375 - -

Profit from discontinued

operations (loss)

-- - -383 - - -357 - -
Net income (loss) -4¸607 -1.38 - -2¸581 -0.79 - -69 -0.03 -

Consolidated Cash Flow Statement 

unit : 1 million won¸ %

Financial items 2023-12 2022-12 2021-12
Price

Rate of 

change

(%)

Price

Rate of 

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Price

Rate of 

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Cash flow from operating activities -24¸698 - 21¸591 - -22¸370 -
Cash flow from investing activities 13¸232 - -4¸814 - -374 -
Cash flows from financing activities -4¸406 - -4¸513 - 13¸627 -
Increase (decrease) in cash -15¸912 - 12¸217 - -8¸990 -
Beginning of period 24¸124 - 11¸907 - 20¸898 -
End of the period 8¸212 - 24¸124 -11¸907 -