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IR

Financial Information

Read the latest updates on Taihan's business performance.

Latest Report

Financial Statements

Consolidated Financial
Statements
Category 2023 2022 2021
Current Assets 1,265,741 1,144,663 939,159
Non Current Assets 612,823 475,601 481,712
Asset Total 1,878,565 1,620,264 1,420,871
Current Liabilities 682,343 488,178 757,750
Non-Current Liabilities 242,936 249,882 275,360
Liabilities Total 925,279 738,060 1,033,110
Equity attributable
to owners of the parent
936,501 866,423 373,300
Non-controlling intrests 16,784 15,780 14,461
Total Equities 953,286 882,204 387,761
Separate Financial Statements
Category 2023 2022 2021
Current Assets 1,077,653 1,030,300 837,386
Non Current Assets 665,296 522,292 530,238
Asset Total 1,742,949 1,552,592 1,367,624
Current Liabilities 571,385 439,348 704,804
Non-Current Liabilities 238,542 242,841 271,007
Liabilities Total 809,927 682,189 975,811
Total Equities 933,022 870,403 391,813
Consolidated Statement of
profit and loss
Category 2023 2022 2021
Revenue 2,843,980 2,450,545 1,997,710
Gross Profit 192,001 138,379 124,777
Operating profit 79,824 48,173 39,462
Non Operating Profit & Loss -14,339 -16,795 -16,860
Income before income Taxes (or Loss before Income Taxes) 65,485 31,378 22,602
Net Income 71,873 21,830 28,937
Other Comprehensive
income
-106 -12,764 1,762
Separate Statement of profit and loss
Category 2023 2022 2021
Revenue 2,606,311 2,199,525 1,861,165
Gross Profit 150,664 101,369 101,816
Operating profit 63,372 28,784 34,097
Non Operating Profit & Loss -10,293 -14,190 -15,515
Income before income Taxes (or Loss before Income Taxes) 53,078 14,593 18,582
Net Income 62,150 8,438 21,489
Other Comprehensive income 2,094 -15,235 -2,572
Statement of cash flow
Category 2023 2022 2021
I. Cash Flow from Operations 30,717 -46,604 -19,314
II. Cash Flows from Investing Activites -57,302 -85,631 26,010
III. Cash Flows from financing Activites 97,299 195,907 5,685
IV. Increase (Decrease) in Cash (I+II+III) 70,728 64,659 12,381
V. Cash at the beginning of the year 217,217 147,921 130,557
VI. Efect of Exchange Rate on Cash & Cash Equivalents 1,386 4,636 4,206
VII. Cash & Cash Equivalents, End of the Year 289,331 217,217 147,921
For more information, please go to the IR Archive.
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