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KT&G Corp ADR (KTGSF)

KT&G Corp ADR (KTGSF)

Luxembourg
34.40 0.00 0.00%
24/02 - Closed. Currency in USD
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For the nine months ended 30 September 2019, KT&G Corp revenues increased 12% to W3.765T. Net income increased 18% to W916.63B. Revenues reflect Real Estate segment increase from W84.03B to W248.25B, Cigarette Segment increase of 7% to W2.109T, Ginseng Segment increase of 5% to W1.174T, South Korea segment increase of 10% to W3.404T, Other Foreigns segment increase of 32% to W361.15B.

Income Statement

Total Revenue Net Income
Sep 30, 2019 Jun 30, 2019 Mar 31, 2019 Dec 31, 2018
1322181.45 1257840.56 1184981.7 1101679.16
761418.17 742435.2 686610.82 641684.87
382443.83 397980.51 347728.85 243368.47
320821.17 322786.28 273027.5 127331.79
Period Ending:
Total Revenue
Gross Profit
Operating Income
Net Income
Gross marginTTM 58.19%
Operating marginTTM 28.18%
Net Profit marginTTM 21.51%
Return on InvestmentTTM 12.1%

Balance Sheet

Total Assets Total Liabilities
Sep 30, 2019 Jun 30, 2019 Mar 31, 2019 Dec 31, 2018
10631391.63 10846393.42 10776751.41 10155101.57
2126484.35 2649910.33 2902134.41 2075821.72
8504907.27 8196483.1 7874617 8079279.85
Period Ending:
Total Assets
Total Liabilities
Total Equity
Quick RatioMRQ 2.6
Current RatioMRQ 4
LT Debt to EquityMRQ 1.34%
Total Debt to EquityMRQ 2.01%

Cash Flow

Cash Net Change in Cash
Sep 30, 2019 9 Months Jun 30, 2019 6 Months Mar 31, 2019 3 Months Dec 31, 2018 12 Months
958830.69 1186586.92 722456.29 822057.21
-409046.52 -400754.46 -212998.22 -46256.07
-619260.39 -586361.51 -94470.71 -549779.28
-60474.7 205301.08 417987.2 217852.27
Period Ending:
Cash From Operating Activities
Cash From Investing Activities
Cash From Financing Activities
Net Change in Cash
Cash Flow/ShareTTM 9,585.46
Revenue/ShareTTM 38,543.36
Operating Cash Flow 59.55%

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