Pharmicell Co Ltd
KRX:005690

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Pharmicell Co Ltd Logo
Pharmicell Co Ltd
KRX:005690
Watchlist
Price: 13 130 KRW 1% Market Closed
Market Cap: 788.1B KRW

Cash Flow Statement

Cash Flow Statement
Pharmicell Co Ltd

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Cash Flow Statement
Currency: KRW
Dec-2005 Mar-2006 Jun-2006 Sep-2006 Dec-2006 Mar-2007 Jun-2007 Sep-2007 Dec-2007 Mar-2008 Jun-2008 Sep-2008 Dec-2008 Mar-2009 Jun-2009 Sep-2009 Dec-2009 Mar-2010 Jun-2010 Sep-2010 Dec-2010 Mar-2011 Jun-2011 Sep-2011 Dec-2011 Mar-2012 Jun-2012 Sep-2012 Dec-2012 Mar-2013 Jun-2013 Sep-2013 Dec-2013 Mar-2014 Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 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 Mar-2024 Jun-2024 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025
Operating Cash Flow
Net Income
868
1 295
640
24
(656)
(961)
(450)
(545)
(908)
(1 545)
(1 236)
(3 524)
(4 432)
(4 614)
(4 794)
(5 646)
(3 953)
(4 640)
(6 996)
(8 150)
(11 890)
(12 581)
(14 176)
(14 332)
(18 186)
(19 847)
(19 900)
(18 230)
(17 649)
(15 219)
(14 370)
(9 602)
(25 701)
(26 602)
(26 748)
(30 510)
(28 768)
(28 365)
(26 415)
(25 813)
(6 390)
(4 704)
(4 372)
(2 264)
(677)
(1 645)
(2 447)
(3 704)
(33 874)
(33 160)
(31 996)
(31 712)
(12 681)
(11 182)
(9 657)
(9 487)
4 347
4 238
6 086
6 912
5 242
6 279
5 476
8 329
9 513
12 549
12 609
12 909
10 885
6 654
4 996
2 191
3 578
1 514
3 767
3 410
6 331
16 152
20 709
28 771
Depreciation & Amortization
668
681
689
708
732
745
757
668
735
731
687
401
535
385
305
558
268
0
266
0
433
600
573
0
1 250
2 278
2 587
3 318
2 845
2 756
3 295
3 377
3 599
3 595
3 106
2 918
2 787
2 551
2 791
2 812
2 590
2 581
2 979
3 164
3 346
3 526
3 299
3 288
3 326
2 800
2 324
1 973
1 623
1 733
1 885
1 731
1 792
1 832
1 770
1 898
1 769
1 761
1 662
1 621
1 736
1 946
1 826
2 034
2 185
2 238
2 733
2 830
2 841
2 880
2 913
2 996
3 063
3 092
3 116
3 070
Stock-Based Compensation
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
130
284
439
398
373
321
269
416
416
312
312
312
329
0
0
0
0
0
0
0
705
933
1 135
1 328
844
828
626
0
212
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Non-Cash Items
385
379
613
783
1 100
1 214
846
146
1 244
78
(284)
1 263
473
1 734
1 584
1 672
830
314
2 183
5 223
3 672
4 061
3 925
2 578
5 432
6 100
6 281
3 357
5 053
4 900
4 869
4 787
20 918
21 036
20 385
21 539
22 010
21 606
21 349
20 917
3 023
2 807
2 621
2 618
426
441
143
111
29 601
29 483
29 825
29 723
13 521
13 415
13 449
13 463
(1 140)
(1 221)
134
580
2 743
2 647
2 508
2 360
(144)
157
(953)
(1 716)
88
102
1 217
1 643
1 755
1 617
347
837
1 457
1 614
1 707
2 055
Cash Taxes Paid
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
28
36
0
0
(1)
2
(22)
27
23
28
(20)
(49)
(14)
(21)
(12)
(31)
(52)
(39)
19
26
21
16
47
40
35
33
6
6
29
28
28
28
2
3
(11)
21
6
(242)
(5)
(32)
(9)
237
(5)
(2)
(1)
3
20
21
25
34
5
4
(2)
(17)
(29)
(34)
(14)
(9)
30
47
Cash Interest Paid
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
34
432
627
1 337
1 736
1 399
1 843
961
894
1 082
638
1 557
1 559
1 623
2 419
1 628
1 466
1 215
387
552
425
433
271
98
0
(7)
(44)
68
0
0
60
0
0
0
33
57
82
99
49
101
102
103
138
78
70
67
52
36
0
9
14
18
21
16
9
14
0
33
42
23
32
17
35
Change in Working Capital
(1 812)
(1 890)
(1 790)
(1 004)
(1 155)
(758)
(1 295)
(1 047)
(1 816)
(215)
92
2 162
5 808
4 266
4 067
1 205
(2 286)
(2 402)
(4 690)
(1 884)
(629)
(4 097)
(1 975)
(6 517)
(4 662)
(2 418)
(2 739)
(1 067)
(2 117)
(2 610)
(48)
(3 046)
(1 503)
30
(4 289)
(1 781)
(4 801)
(3 425)
(3 127)
(1 811)
(1 634)
(2 373)
(396)
(2 471)
(2 107)
(2 506)
(800)
(1 477)
(1 158)
(1 042)
(2 138)
(31)
941
(1 384)
(3 584)
(3 942)
(5 074)
(1 935)
(1 786)
406
(776)
(4 632)
(3 970)
(6 179)
(16 327)
(14 515)
(16 778)
(16 784)
(5 243)
(2 808)
2 311
3 114
3 640
2 817
(5 431)
(1 637)
(7 353)
(18 351)
(4 547)
(10 015)
Cash from Operating Activities
109
N/A
465
+326%
152
-67%
511
+236%
20
-96%
240
+1 095%
(143)
N/A
(779)
-446%
(746)
+4%
(952)
-28%
(740)
+22%
302
N/A
2 383
+690%
1 780
-25%
1 162
-35%
(2 212)
N/A
(5 141)
-132%
(6 491)
-26%
(9 237)
-42%
(4 695)
+49%
(8 415)
-79%
(12 094)
-44%
(11 731)
+3%
(17 838)
-52%
(16 166)
+9%
(14 027)
+13%
(13 911)
+1%
(12 621)
+9%
(11 868)
+6%
(10 173)
+14%
(6 254)
+39%
(4 483)
+28%
(2 688)
+40%
(1 941)
+28%
(7 546)
-289%
(7 834)
-4%
(8 772)
-12%
(7 633)
+13%
(5 402)
+29%
(3 895)
+28%
(2 411)
+38%
(1 689)
+30%
832
N/A
1 046
+26%
989
-5%
(184)
N/A
195
N/A
(1 782)
N/A
(2 106)
-18%
(1 919)
+9%
(1 985)
-3%
(47)
+98%
3 405
N/A
2 582
-24%
2 094
-19%
1 765
-16%
(76)
N/A
2 914
N/A
6 203
+113%
9 796
+58%
8 978
-8%
6 055
-33%
5 676
-6%
6 131
+8%
(5 222)
N/A
137
N/A
(3 296)
N/A
(3 558)
-8%
7 914
N/A
6 186
-22%
11 256
+82%
9 778
-13%
11 814
+21%
8 829
-25%
1 595
-82%
5 606
+251%
3 498
-38%
2 507
-28%
20 985
+737%
23 880
+14%
Investing Cash Flow
Capital Expenditures
(437)
(386)
(370)
(379)
(445)
(492)
(488)
(385)
(482)
(423)
(343)
(936)
(96)
(145)
(235)
(2 556)
(3 221)
(3 788)
(3 176)
(278)
(531)
(106)
(619)
(3 537)
(665)
(694)
(2 790)
88
(2 480)
(2 308)
(407)
(298)
(479)
(470)
(273)
(267)
(294)
(385)
(382)
(5 752)
(5 544)
(5 963)
(6 423)
(1 819)
(2 413)
(2 152)
(2 098)
(2 204)
(3 794)
(5 869)
(6 748)
(6 596)
(4 661)
(2 939)
(1 758)
(1 125)
(1 124)
(724)
(618)
(722)
(559)
(1 005)
(1 530)
(1 890)
(4 304)
(6 494)
(10 491)
(20 929)
(18 949)
(16 584)
(13 014)
(3 251)
(6 016)
(8 959)
(8 222)
(7 445)
(4 278)
(914)
(939)
(1 095)
Other Items
1 582
1 025
977
31
(151)
(175)
(201)
(136)
(90)
(111)
358
569
(6 758)
(5 574)
(4 249)
(2 389)
2 554
1 156
(1 284)
(8 577)
(6 018)
(6 334)
(5 389)
(70 270)
(226)
4 676
1 178
60 068
(4 719)
(9 661)
(6 021)
9 078
9 523
10 058
10 784
6 830
904
406
(6 080)
(7 286)
(7 712)
(2 456)
(2 505)
(2 526)
(1 944)
(7 017)
(3 036)
4 690
6 539
6 907
8 306
1 717
(2 052)
(2 028)
(2 085)
(2 428)
(530)
(569)
(4 628)
(3 995)
(3 046)
(3 189)
(5 161)
(5 607)
(5 041)
(4 855)
(1 810)
(1 537)
(1 584)
(756)
6 008
11 968
11 932
11 107
7 378
1 461
(2 522)
(2 524)
(2 567)
(20 393)
Cash from Investing Activities
1 145
N/A
639
-44%
608
-5%
(348)
N/A
(596)
-71%
(667)
-12%
(689)
-3%
(521)
+24%
(572)
-10%
(534)
+7%
15
N/A
(367)
N/A
(6 855)
-1 770%
(5 718)
+17%
(4 484)
+22%
(4 945)
-10%
(668)
+86%
(2 632)
-294%
(4 460)
-69%
(8 855)
-99%
(6 549)
+26%
(6 441)
+2%
(6 008)
+7%
(73 807)
-1 128%
(891)
+99%
3 982
N/A
(1 612)
N/A
60 156
N/A
(7 199)
N/A
(11 969)
-66%
(6 428)
+46%
8 779
N/A
9 045
+3%
9 588
+6%
10 512
+10%
6 563
-38%
610
-91%
20
-97%
(6 462)
N/A
(13 037)
-102%
(13 257)
-2%
(8 419)
+36%
(8 927)
-6%
(4 344)
+51%
(4 357)
0%
(9 170)
-110%
(5 133)
+44%
2 486
N/A
2 745
+10%
1 038
-62%
1 558
+50%
(4 879)
N/A
(6 712)
-38%
(4 967)
+26%
(3 843)
+23%
(3 553)
+8%
(1 654)
+53%
(1 293)
+22%
(5 246)
-306%
(4 717)
+10%
(3 605)
+24%
(4 194)
-16%
(6 690)
-60%
(7 496)
-12%
(9 345)
-25%
(11 349)
-21%
(12 301)
-8%
(22 466)
-83%
(20 532)
+9%
(17 340)
+16%
(7 006)
+60%
8 717
N/A
5 916
-32%
2 149
-64%
(843)
N/A
(5 984)
-609%
(6 800)
-14%
(3 437)
+49%
(3 507)
-2%
(21 488)
-513%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
0
0
7 937
14 000
0
0
9 445
10 999
0
0
9 043
1 426
5 402
5 402
87 129
8 729
6 383
36 770
(46 384)
32 819
0
1 076
1 076
5 273
7 273
7 000
10 946
24 511
25 453
27 698
24 927
9 112
0
3 925
3 771
1 021
1 125
1 125
104
104
0
5 895
6 302
6 287
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Net Issuance of Debt
(1 938)
(1 400)
(900)
(35)
556
287
419
1 137
1 319
1 763
1 375
363
(3 283)
(5 279)
(4 973)
(263)
1 546
0
0
6 099
13 750
19 649
20 649
2 177
3 635
(2 627)
(4 289)
7 966
(6 330)
(8 777)
(10 200)
(10 998)
(21 012)
(15 697)
(8 922)
(9 005)
4 195
0
(4 500)
(4 500)
(1 500)
0
0
0
0
0
0
0
396
2 820
3 000
3 000
2 604
0
(68)
(158)
(145)
(191)
(168)
(124)
(179)
(31)
18 836
18 865
18 512
18 344
(546)
(596)
(270)
(215)
(2 223)
(13 775)
(18 713)
(18 787)
(19 692)
(8 159)
(3 215)
(3 193)
7 725
7 666
Cash Paid for Dividends
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(1 200)
(1 200)
Other
0
0
0
0
14
0
0
0
16
16
0
6 075
(5 062)
0
0
(3 504)
0
0
0
0
(38)
0
0
0
90
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Cash from Financing Activities
(1 938)
N/A
(1 400)
+28%
(900)
+36%
(35)
+96%
570
N/A
301
-47%
432
+44%
1 151
+166%
1 335
+16%
1 779
+33%
1 390
-22%
14 374
+934%
5 655
-61%
3 659
-35%
3 965
+8%
5 678
+43%
12 545
+121%
0
N/A
0
N/A
7 525
N/A
15 139
+101%
25 013
+65%
26 013
+4%
89 268
+243%
12 454
-86%
3 846
-69%
32 571
+747%
(38 327)
N/A
26 490
N/A
22 413
-15%
(9 124)
N/A
(9 922)
-9%
(15 739)
-59%
(8 424)
+46%
(1 922)
+77%
1 941
N/A
28 706
+1 379%
27 143
-5%
23 198
-15%
20 427
-12%
7 612
-63%
0
N/A
3 925
N/A
3 771
-4%
1 021
-73%
1 125
+10%
1 125
N/A
104
-91%
500
+382%
2 820
+464%
8 895
+215%
9 302
+5%
8 891
-4%
0
N/A
323
N/A
(173)
N/A
(145)
+16%
(191)
-32%
(168)
+12%
(124)
+27%
(179)
-45%
(31)
+82%
18 836
N/A
18 865
+0%
18 512
-2%
18 344
-1%
(546)
N/A
(596)
-9%
(270)
+55%
(215)
+20%
(2 223)
-932%
(13 775)
-520%
(18 713)
-36%
(18 787)
0%
(19 692)
-5%
(8 159)
+59%
(3 215)
+61%
(3 193)
+1%
6 525
N/A
6 466
-1%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(2)
0
1
1
3
6
(1)
(7)
(7)
(26)
78
1
83
83
28
115
(19)
36
(11)
32
(9)
61
(9)
68
58
(227)
(961)
(590)
(523)
497
1 327
1 109
1 835
1 772
1 035
1 030
377
(76)
348
427
561
(38)
1 054
626
(59)
266
Net Change in Cash
(683)
N/A
(296)
+57%
(140)
+53%
128
N/A
(6)
N/A
(126)
-2 071%
(400)
-217%
(149)
+63%
18
N/A
294
+1 580%
665
+126%
14 309
+2 051%
1 184
-92%
(279)
N/A
643
N/A
(1 479)
N/A
6 736
N/A
5 306
-21%
683
-87%
(6 025)
N/A
175
N/A
6 479
+3 598%
8 274
+28%
(2 377)
N/A
(4 603)
-94%
(6 199)
-35%
17 048
N/A
9 208
-46%
7 423
-19%
272
-96%
(21 806)
N/A
(5 626)
+74%
(9 382)
-67%
(777)
+92%
1 043
N/A
670
-36%
20 544
+2 967%
19 531
-5%
11 337
-42%
3 501
-69%
(8 057)
N/A
(5 445)
+32%
(4 177)
+23%
447
N/A
(2 268)
N/A
(8 227)
-263%
(3 731)
+55%
891
N/A
1 166
+31%
2 053
+76%
8 449
+311%
4 412
-48%
5 572
+26%
4 113
-26%
(1 435)
N/A
(1 900)
-32%
(1 884)
+1%
1 497
N/A
847
-43%
4 728
+458%
4 234
-10%
1 240
-71%
17 299
+1 295%
17 997
+4%
5 272
-71%
8 242
+56%
(14 308)
N/A
(24 848)
-74%
(11 853)
+52%
(10 340)
+13%
2 403
N/A
4 644
+93%
(635)
N/A
(7 382)
-1 063%
(18 379)
-149%
(8 575)
+53%
(5 463)
+36%
(3 498)
+36%
23 945
N/A
9 125
-62%
Free Cash Flow
Free Cash Flow
(327)
N/A
79
N/A
(217)
N/A
132
N/A
(425)
N/A
(251)
+41%
(630)
-151%
(1 164)
-85%
(1 227)
-5%
(1 375)
-12%
(1 083)
+21%
(634)
+41%
2 287
N/A
1 635
-28%
927
-43%
(4 769)
N/A
(8 363)
-75%
(10 279)
-23%
(12 413)
-21%
(4 973)
+60%
(8 946)
-80%
(12 200)
-36%
(12 350)
-1%
(21 375)
-73%
(16 831)
+21%
(14 721)
+13%
(16 701)
-13%
(12 533)
+25%
(14 348)
-14%
(12 481)
+13%
(6 661)
+47%
(4 782)
+28%
(3 167)
+34%
(2 411)
+24%
(7 818)
-224%
(8 102)
-4%
(9 066)
-12%
(8 018)
+12%
(5 784)
+28%
(9 646)
-67%
(7 956)
+18%
(7 651)
+4%
(5 591)
+27%
(772)
+86%
(1 424)
-84%
(2 336)
-64%
(1 903)
+19%
(3 986)
-109%
(5 900)
-48%
(7 788)
-32%
(8 733)
-12%
(6 643)
+24%
(1 256)
+81%
(357)
+72%
336
N/A
640
+91%
(1 199)
N/A
2 191
N/A
5 585
+155%
9 074
+62%
8 419
-7%
5 050
-40%
4 146
-18%
4 241
+2%
(9 526)
N/A
(6 357)
+33%
(13 787)
-117%
(24 487)
-78%
(11 034)
+55%
(10 398)
+6%
(1 759)
+83%
6 527
N/A
5 798
-11%
(129)
N/A
(6 626)
-5 022%
(1 839)
+72%
(780)
+58%
1 593
N/A
20 046
+1 158%
22 786
+14%