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KidariStudio, Inc.

020120.KS

3525

KRW
+50.00
(+1.44%)
Day's range
3435
3545
52 wk Range
2755
6250

Key ratios

Price/Book
0.65
Debt/Equity
20.84%
Return on Equity
-3.71%
Dividend Yield
0.00%
EBITDA
19.03B

Statements Highlights

Period EndingDec 31, 2020Dec 31, 2021Dec 31, 2022Dec 31, 2023Dec 31, 2024
Total Revenue45,506,775,570119,118,155,900169,433,774,760171,042,237,140205,213,284,490
Gross Profit17,273,807,70051,038,262,06067,560,281,27068,741,776,32083,824,114,060
Operating Income4,586,128,2506,921,869,3707,315,674,580-5,744,856,2502,189,001,060
Net Income72,730,2603,548,089,490-2,539,662,090-34,546,758,880-7,602,944,290
Total Assets48,155,283,190290,122,174,760378,769,210,900344,327,903,480330,388,215,830
Total Current Liabilities20,219,010,26064,890,884,91075,836,738,21081,837,108,440106,393,638,000
Total Equity27,191,462,940222,771,268,010274,624,032,830208,684,626,600200,089,815,450
Free Cash Flow2,987,577,22012,239,704,3202,017,848,120-2,197,085,13013,517,164,440
Cash from Operations5,216,050,94017,275,838,0709,896,437,4904,116,664,65013,970,246,090
Cash from Investing-5,045,132,040-236,341,190-18,250,308,350-8,431,375,290-6,789,973,940
Cash from Financing51,851,600-1,339,808,75050,651,649,790-10,855,646,340-11,161,220,460
Net Change in Cash136,553,77015,964,745,51041,100,996,140-16,333,010,520-1,663,617,310

Analyst Recomendations