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    Sungshin Cement Co., Ltd

    004985.KS

    15400

    KRW
    -4750.00
    (-23.57%)
    Day's range
    15000
    17500
    52 wk Range
    10000
    24800

    Key ratios

    Price/Book
    0.45
    Debt/Equity
    88.98%
    Return on equity
    8.16%
    Dividend Yield
    3.39%
    EBITDA
    110.81B

    Statements Highlights

    Period EndingDec 31, 2020Dec 31, 2021Dec 31, 2022Dec 31, 2023Dec 31, 2024
    Total Revenue722,305,595,860833,543,563,8401,030,414,329,9401,113,282,184,5301,162,632,731,800
    Gross Profit134,218,684,120147,136,803,410141,656,220,380209,214,530,710193,165,579,940
    Operating Income31,660,654,32041,011,063,0106,379,717,91079,981,410,25053,239,362,390
    Net Income10,190,664,7306,440,440,160-26,470,491,60066,706,727,32045,207,133,850
    Total Assets1,090,267,313,3401,121,595,052,7101,187,583,002,0201,310,199,052,5501,366,487,636,270
    Total Current Liabilities472,710,182,260472,584,143,830553,738,399,570515,007,526,070510,349,800,510
    Total Equity407,418,070,510414,005,693,500396,213,621,800538,023,248,060575,000,537,220
    Free Cash Flow3,549,009,950-17,751,775,480-30,143,752,060-28,989,535,280-35,027,375,990
    Cash from Operations38,213,963,16026,854,510,60030,261,868,02062,096,743,71041,720,871,260
    Cash from Investing-30,192,520,240-23,768,224,740-45,213,127,370-82,458,880,080-32,033,876,080
    Cash from Financing12,120,350,67016,416,483,86015,093,242,490-1,014,391,22023,937,064,940
    Net Change in Cash19,967,415,98019,640,023,250-1,295,439,370-21,471,285,04034,581,858,340

    Dividends