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KSE - Delayed Quote KRW

Sungshin Cement Co., Ltd (004980.KS)

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7,620.00
-190.00
(-2.43%)
At close: 3:30:24 PM GMT+9
Currency in KRW All numbers in thousands
Breakdown
TTM
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Total Revenue
1,162,632,731.80
1,162,632,731.80
1,113,282,184.53
1,030,414,329.94
833,543,563.84
Cost of Revenue
969,467,151.86
969,467,151.86
901,056,864.82
888,758,109.56
686,406,760.42
Gross Profit
193,165,579.94
193,165,579.94
212,225,319.71
141,656,220.38
147,136,803.42
Operating Expense
139,926,218
139,926,218
138,893,385
139,822,620
117,113,598
Operating Income
53,239,361.94
53,239,361.94
73,331,934.71
1,833,600.38
30,023,205.42
Net Non Operating Interest Income Expense
-15,204,114.70
-15,204,114.70
-17,723,606.34
-12,135,446.50
-8,534,033.22
Pretax Income
43,763,170.78
43,763,170.78
60,198,105.39
-26,120,978.09
24,075,868
Tax Provision
-1,611,189.39
-1,611,189.39
-6,757,308.98
349,513.51
17,566,809.49
Net Income Common Stockholders
45,207,133.85
45,207,133.85
66,706,727.32
-26,552,882
6,440,440.16
Basic EPS
1.82k
--
2.68k
-1.07k
261.00
Diluted EPS
1.82k
--
2.68k
-1.07k
261.00
Basic Average Shares
24,866.41
--
24,862.74
24,815.78
24,676.02
Diluted Average Shares
24,866.41
--
24,862.74
24,815.78
24,676.02
Total Operating Income as Reported
53,239,362.39
53,239,362.39
73,331,934.25
1,833,600.73
30,023,204.98
Rent Expense Supplemental
1,361,107
1,361,107
1,333,097
500,923
598,526
Total Expenses
1,109,393,369.86
1,109,393,369.86
1,039,950,249.82
1,028,580,729.56
803,520,358.42
Net Income from Continuing & Discontinued Operation
45,207,133.85
45,207,133.85
66,706,727.32
-26,552,882
6,440,440.16
Normalized Income
51,866,386.85
51,866,386.85
69,789,657.44
-14,125,621.48
11,114,198.66
Interest Income
5,157,358
5,157,358
3,909,217
3,226,655
2,169,483
Interest Expense
20,338,298
20,338,298
21,612,177
15,359,647
10,703,517
Net Interest Income
-15,204,114.70
-15,204,114.70
-17,723,606.34
-12,135,446.50
-8,534,033.22
EBIT
64,101,468.78
64,101,468.78
81,810,282.39
-10,761,331.09
34,779,385
EBITDA
110,813,958.78
110,813,958.78
126,930,033.39
35,172,010.91
79,141,802
Reconciled Cost of Revenue
969,467,151.86
969,467,151.86
901,056,864.82
888,758,109.56
686,406,760.42
Reconciled Depreciation
46,712,490
46,712,490
45,119,751
45,933,342
44,362,417
Net Income from Continuing Operation Net Minority Interest
45,207,133.85
45,207,133.85
66,706,727.32
-26,552,882
6,440,440.16
Total Unusual Items Excluding Goodwill
-8,762,175
-8,762,175
-4,056,487
-17,141,049
-6,231,678
Total Unusual Items
-8,762,175
-8,762,175
-4,056,487
-17,141,049
-6,231,678
Normalized EBITDA
119,576,133.78
119,576,133.78
130,986,520.39
52,313,059.91
85,373,480
Tax Rate for Calcs
0
0
0
0
0
Tax Effect of Unusual Items
-2,102,922
-2,102,922
-973,556.88
-4,713,788.48
-1,557,919.50
12/31/2021 - 1/4/2000

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