KCC건설

KOR

KCC건설

KCC건설

Financial Information

Unit: Thousand USD

FY 2023
FY 2022
FY 2021
FY 2020
Total Assets
962,450
945,418
919,253
898,470
Total Liabilities
616,421
589,816
545,993
530,322
Total Capital
346,029
355,602
373,260
368,148
Balance Sheet

Unit: Thousand USD

Accounts
FY 2023
FY 2022
FY 2021
FY 2020
Current assets
654,358
620,538
603,886
555,679
Non-current assets
308,092
324,880
315,367
342,791
Total assets
962,450
945,418
919,253
898,470
Current liabilities
440,230
463,448
414,272
368,461
Non-current liabilities
176,191
126,368
131,721
161,861
Total liabilities
616,421
589,816
545,993
530,322
Equity attributable to owners of the company
346,029
355,602
373,260
368,148
Non-controlling interests
0
0
0
0
Total equity
346,029
355,602
373,260
368,148
Income Statement

Unit: Thousand USD

Accounts
FY 2023
FY 2022
FY 2021
FY 2020
Revenue
1,480,993
1,493,788
1,150,540
1,012,512
Costs of goods
1,417,704
1,449,723
1,067,568
909,781
Gross profit
63,289
44,065
82,972
102,731
Selling, general and administrative expenses
49,215
44,927
56,080
52,820
Result from operating activities
14,074
-862
26,892
49,911
Other income
10,430
17,269
28,182
2,726
Other expense
4,506
7,105
6,117
9,992
Finance income
10,856
9,313
5,848
7,919
Finance cost
16,391
7,906
6,627
8,632
Profit before income tax
14,463
10,709
48,178
41,932
Income taxes expenses
6,435
7,207
8,372
7,335
Profit for the year
8,028
3,502
39,806
34,597
Other comprehensive income for the year, net of tax
-9,185
5,765
170
-2,832
Total comprehensive income for the year
-1,157
9,267
39,976
31,765
Earning per share(Unit: USD)
0.40
0.18
2
1.66