ezCaretech Co Ltd Cash Flow Statement - ezCaretech Co Ltd - Alpha Spread
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ezCaretech Co Ltd
KOSDAQ:099750

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ezCaretech Co Ltd
KOSDAQ:099750
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Price: 16 010 KRW 1.01% Market Closed
Market Cap: 107.6B KRW
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Cash Flow Statement

Cash Flow Statement
ezCaretech Co Ltd

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Cash Flow Statement
Currency: KRW
Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023
Operating Cash Flow
Net Income
2 650
7 836
7 580
4 364
5 082
(987)
(1 425)
(991)
(2 969)
(5 137)
(4 057)
(7 919)
(4 375)
(1 284)
(2 343)
(3 190)
(5 008)
(3 245)
(7 435)
(9 586)
(9 200)
(9 834)
(5 358)
Depreciation & Amortization
382
351
362
338
392
495
583
772
1 305
1 782
2 290
2 738
2 639
2 535
2 515
2 469
2 393
2 311
2 132
1 942
1 812
1 660
1 556
Other Non-Cash Items
2 839
1 429
1 093
1 234
479
1 402
2 058
1 567
1 618
2 680
1 918
6 942
7 275
8 936
10 314
11 282
11 301
8 970
9 462
7 642
7 186
7 089
4 873
Cash Taxes Paid
354
850
552
511
511
535
497
558
557
654
644
625
636
1 164
1 368
1 585
1 575
996
976
965
969
498
419
Cash Interest Paid
23
0
0
0
4
0
0
0
0
13
48
68
0
115
107
117
152
135
185
241
269
269
221
Change in Working Capital
(835)
(10 786)
(5 450)
(3 712)
(8 563)
(5 291)
(7 160)
(9 067)
(3 514)
(1 653)
9 322
1 501
(7 616)
(12 675)
(12 574)
(15 128)
(8 484)
(6 361)
(15 884)
(1 645)
(589)
(341)
5 108
Cash from Operating Activities
5 035
N/A
(1 171)
N/A
3 584
N/A
2 224
-38%
(2 610)
N/A
(4 382)
-68%
(5 943)
-36%
(7 719)
-30%
(3 560)
+54%
(2 326)
+35%
9 472
N/A
3 261
-66%
(2 077)
N/A
(2 489)
-20%
(2 087)
+16%
(4 568)
-119%
202
N/A
1 675
+730%
(11 725)
N/A
(1 648)
+86%
(791)
+52%
(1 425)
-80%
6 179
N/A
Investing Cash Flow
Capital Expenditures
(5 319)
(5 106)
(5 300)
(5 412)
(5 897)
(6 326)
(6 775)
(7 445)
(5 716)
(4 427)
(2 783)
(874)
(811)
(576)
(820)
(637)
(667)
(514)
(247)
(350)
(288)
(382)
(517)
Other Items
1
190
(31)
(11 956)
(11 845)
(9 992)
(4 470)
15 347
15 876
13 778
9 488
1 811
1 259
1 352
302
146
105
57
(83)
(10 213)
(9 012)
(7 519)
(6 366)
Cash from Investing Activities
(5 318)
N/A
(4 917)
+8%
(5 331)
-8%
(17 368)
-226%
(17 742)
-2%
(16 317)
+8%
(11 245)
+31%
7 902
N/A
10 161
+29%
9 350
-8%
6 705
-28%
937
-86%
447
-52%
777
+74%
(519)
N/A
(491)
+5%
(562)
-14%
(457)
+19%
(330)
+28%
(10 563)
-3 100%
(9 300)
+12%
(7 901)
+15%
(6 883)
+13%
Financing Cash Flow
Net Issuance of Common Stock
0
0
710
16 647
0
0
0
(1 680)
(1 729)
(1 729)
(1 729)
(49)
0
0
0
0
0
0
0
9 900
0
0
0
Net Issuance of Debt
0
0
50
200
0
58
(68)
(354)
(490)
3 614
3 554
3 506
3 484
(646)
(763)
(845)
(881)
986
1 050
124
100
(4 903)
(4 957)
Cash Paid for Dividends
0
0
0
(421)
0
(969)
(969)
(549)
(1 086)
(537)
(537)
(537)
(538)
(538)
(538)
(538)
0
0
0
0
0
0
0
Other
(827)
(420)
(420)
0
0
0
0
0
0
0
0
0
77
77
(1)
(1)
0
0
0
(4)
0
0
0
Cash from Financing Activities
(827)
N/A
(420)
+49%
340
N/A
16 427
+4 731%
16 847
+3%
16 156
-4%
15 320
-5%
(2 583)
N/A
(3 305)
-28%
1 348
N/A
1 288
-4%
2 921
+127%
3 023
+4%
(1 107)
N/A
(1 302)
-18%
(1 384)
-6%
(959)
+31%
908
N/A
1 050
+16%
10 020
+854%
9 996
0%
4 993
-50%
4 939
-1%
Change in Cash
Effect of Foreign Exchange Rates
0
(129)
(118)
1
0
(47)
(90)
20
(50)
(175)
(632)
(395)
(340)
(83)
330
(185)
(247)
(234)
(339)
(31)
(24)
(207)
(17)
Net Change in Cash
(1 110)
N/A
(6 637)
-498%
(1 525)
+77%
1 285
N/A
(3 505)
N/A
(4 590)
-31%
(1 958)
+57%
(2 379)
-22%
3 246
N/A
8 197
+153%
16 833
+105%
6 724
-60%
1 054
-84%
(2 902)
N/A
(3 577)
-23%
(6 628)
-85%
(1 566)
+76%
1 893
N/A
(11 344)
N/A
(2 223)
+80%
(118)
+95%
(4 540)
-3 740%
4 217
N/A
Free Cash Flow
Free Cash Flow
(284)
N/A
(6 277)
-2 110%
(1 716)
+73%
(3 188)
-86%
(8 507)
-167%
(10 708)
-26%
(12 718)
-19%
(15 164)
-19%
(9 276)
+39%
(6 753)
+27%
6 689
N/A
2 387
-64%
(2 888)
N/A
(3 065)
-6%
(2 907)
+5%
(5 205)
-79%
(465)
+91%
1 161
N/A
(11 972)
N/A
(1 998)
+83%
(1 079)
+46%
(1 807)
-68%
5 661
N/A

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