IR

Financials

GigaVis is dedicated to enhancing shareholder value through a stable and sustainable dividend policy.

Statement of Financial Position (Balance Sheet)

(Unit: million KRW)

Statement of Financial Position for FY2023–FY2025 — Total Assets, Current Assets, Non-Current Assets, Total Liabilities, Current Liabilities, Non-Current Liabilities, Total Equity, Capital Stock, Additional Paid-In Capital, Other Components of Equity, Retained Earnings, Total Liabilities and Equity
Category 2025 2024 2023
Total Assets 239,277 229,668 225,856
Current Assets 184,472 179,556 145,221
Non-Current Assets 54,805 50,112 80,635
Total Liabilities 28,274 23,973 13,242
Current Liabilities 8,167 3,856 12,838
Non-Current Liabilities 20,107 20,117 404
Total Equity 211,003 205,695 212,614
Capital Stock 2,535 2,535 2,535
Additional Paid-In Capital 90,107 90,107 90,107
Other Components of Equity - - -
Retained Earnings 106,002 100,699 107,619
Total Liabilities and Equity 239,277 229,668 225,856

Income Statement

(Unit: million KRW)

Income Statement for FY2023–FY2025 — Revenue, Cost of Sales, Gross Profit, Operating Profit, Profit Before Income Tax, Net Income
Category 2025 2024 2023
Revenue 52,435 26,133 91,423
Cost of Sales 24,061 14,022 38,146
Gross Profit 28,374 12,111 53,276
Operating Profit 12,101 -1,787 35,014
Profit Before Income Tax 15,366 4,404 40,262
Net Income 15,452 3,412 32,663

Statement of Cash Flows

(Unit: million KRW)

Statement of Cash Flows for FY2023–FY2025 — Cash Flows from Operating Activities, Investment Activities, Financing Activities, Net Increase (Decrease) in Cash, Beginning Cash Balance, Ending Cash Balance
Category 2025 2024 2023
Cash Flows from Operating Activities 25,654 2,987 13,149
Cash Flows from Investment Activities 5,194 -23,686 -80,800
Cash Flows from Financing Activities -10,141 9,859 81,089
Net Increase (Decrease) in Cash 19,634 -10,445 13,059
Beginning Cash Balance 20,148 30,593 17,534
Ending Cash Balance 39,782 20,148 30,593

Now Loading.
Please wait a moment.

Now Loading.
Please wait a moment.