SKBP(326030)

Base
Cash Flows from Operating Activities
Cash Flows from Operating Activities - 2020: -210726.02021: -92871.7, 2022: -159920.1, 2023: -94201.2, 2024: 94900.0,
Cash Flows from Investing Activities
Cash Flows from Investing Activities - 2020: -318730.12021: 258971.5, 2022: -95713.8, 2023: 225272.6, 2024: -10940.8,
Cash Flows from Financing Activities
Cash Flows from Financing Activities - 2020: 540902.52021: -4645.9, 2022: 134914.3, 2023: 6622.8, 2024: -4498.1,

Statement of Cash Flow

[Unit:₩M]
Statement of Cash Flow - This table contains 2020, 2021, 2022, 2023, 2024, Cash Flows from Operating Activities, Net Income, Cash Flows from Investing Activities, Cash Flows from Financing Activities, Increase(Decrease) in Cash, etc.
20202021202220232024
Cash Flows from Operating Activities -210,726-92,872-159,920-94,20194,900
Net Income -247,41464,846-139,431-35,379226,973
Cash Flows from Investing Activities -318,730258,971-95,714225,273-10,941
Cash Flows from Financing Activities 540,902-4,646134,9146,623-4,498
Increase(Decrease) in Cash 8,192166,589-121,863135,64083,107