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Igis Residence Reit Co Ltd (350520)

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3,955 -30    -0.75%
02:18:03 - Closed. Currency in KRW ( Disclaimer )
Type:  Equity
Market:  South Korea
ISIN:  KR7350520003 
  • Volume: 8,780
  • Bid/Ask: 3,955 / 3,960
  • Day's Range: 3,945 - 4,000
Igis Residence 3,955 -30 -0.75%

KS:350520 Financials

 
A brief overview of the KS:350520 financials. This summary provides an overview of the most significant critical numbers from each of its financial reports, including the income statement, balance sheet, and cash flow statement. Additionally, it features several financial ratios that provide insight into the company's financial health. Users can select to view data from four periods of either annual or quarterly information, allowing them to track financial performance of Igis Residence Reit Co Ltd over time.

IGIS RESIDENCE REIT Co., Ltd. reported earnings results for the second half year ended December 31, 2022. For the second half year, the company reported negative sales was KRW 0.00012 million. Net income was KRW 62,734.18 million. Basic earnings per share from continuing operations was KRW 2,212. Basic earnings per share was KRW 2,212.

AnnualQuarterly  
InvestingPro Advanced Financial Summary
TTM = Trailing Twelve Months
MRQ = Most Recent Quarter

350520 Income Statement

Gross margin TTM -
Operating margin TTM -
Net Profit margin TTM -
Return on Investment TTM -
 Total Revenue  Net Income
Period Ending: Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021
Total Revenue 930.15 8209.85 950.74 2052.27
Gross Profit 911.26 8078.39 925.53 1827.33
Operating Income 862.78 8020.89 899.22 1703.05
Net Income 228.85 7460.27 643.01 1680.32

350520 Balance Sheet

Quick Ratio MRQ -
Current Ratio MRQ -
LT Debt to Equity MRQ -
Total Debt to Equity MRQ -
 Total Assets  Total Liabilities
Period Ending: Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021
Total Assets 165612.15 168157.96 122774.05 125059.58
Total Liabilities 54636.63 54692.09 16768.46 17019
Total Equity 110975.52 113465.86 106005.59 108040.58

350520 Cash Flow Statement

Cash Flow/Share TTM -
Revenue/Share TTM -
Operating Cash Flow  -228.72%
 Cash  Net Change in Cash
Period Ending: Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021
Period Length: 3 Months 12 Months 9 Months 6 Months
Cash From Operating Activities -195.01 3884.01 2343.85 1981.45
Cash From Investing Activities 0 -59000 -21500 -17500
Cash From Financing Activities -2719.2 48780.73 11280.73 13958.73
Net Change in Cash -2914.21 -6335.26 -7875.43 -1559.82
* In Millions of (except for per share items)
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