PlumbFast Co., Ltd. (KOSDAQ:035200)
South Korea flag South Korea · Delayed Price · Currency is KRW
2,680.00
-55.00 (-2.01%)
Aug 25, 2026, 9:24 AM KST

PlumbFast Income Statement

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Jun '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Operating Revenue
24,35225,23129,66029,48130,22829,564
Other Revenue
-0-0---0-
24,35225,23129,66029,48130,22829,564
Revenue Growth
-15.75%-14.93%0.60%-2.47%2.25%17.13%
Cost of Revenue
21,80621,91524,41524,64725,27922,990
Gross Profit
2,5463,3165,2454,8344,9496,574
Selling, General & Admin
3,0923,1363,2373,1843,3403,832
Research & Development
281.58272.96259.97242.55218.87162.52
Amortization of Goodwill & Intangibles
0.010.542.584.644.644.64
Other Operating Expenses
35.4633.0142.7436.5434.5639.72
Operating Expenses
3,4013,7603,6203,3913,4204,238
Operating Income
-854.81-443.651,6241,4431,5292,335
Interest Expense
-5.03-7.85-23.62-14.59-6.75-7.35
Interest & Investment Income
308.35321.71528.79575.25287.43170.33
Currency Exchange Gain (Loss)
60.2323.1324.37-2.94-33.9414.49
Other Non Operating Income (Expenses)
0.75-23.49-64116.87-248.44-58.04
EBT Excluding Unusual Items
-490.51-130.142,0902,1171,5282,455
Gain (Loss) on Sale of Investments
77.02183.449.364.2116.27107.32
Gain (Loss) on Sale of Assets
1,2001,178-2.43-1.3722.651.79
Asset Writedown
--122.5-462.7--12.47
Pretax Income
786.121,2312,2591,7171,5672,552
Income Tax Expense
259.34209.28340.9300.93242.21418.2
Earnings From Continuing Operations
526.781,0221,9181,4171,3242,133
Net Income to Company
526.781,0221,9181,4171,3242,133
Net Income
526.781,0221,9181,4171,3242,133
Net Income to Common
526.781,0221,9181,4171,3242,133
Net Income Growth
-55.31%-46.73%35.42%6.96%-37.92%42.48%
Shares Outstanding (Basic)
888888
Shares Outstanding (Diluted)
888888
Shares Change
-4.72%-3.17%-0.17%--0.17%-2.97%
EPS (Basic)
66.33124.87227.00167.35156.46251.61
EPS (Diluted)
66.33124.87227.00167.35156.46251.61
EPS Growth
-53.09%-44.99%35.64%6.96%-37.82%46.85%

Additional Metrics

Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Jun '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Free Cash Flow
-476.11465.59-1,1052,441-213.48904.8
Free Cash Flow Per Share
-59.9556.90-130.77288.38-25.22106.72
Gross Margin
10.45%13.14%17.68%16.40%16.37%22.23%
Operating Margin
-3.51%-1.76%5.48%4.89%5.06%7.90%
Profit Margin
2.16%4.05%6.47%4.81%4.38%7.22%
Free Cash Flow Margin
-1.96%1.85%-3.73%8.28%-0.71%3.06%
EBITDA
-395.3228.942,0911,9532,0552,866
EBITDA Margin
-1.62%0.11%7.05%6.62%6.80%9.69%
D&A For EBITDA
459.48472.58466.88510.18526530.33
EBIT
-854.81-443.651,6241,4431,5292,335
EBIT Margin
-3.51%-1.76%5.48%4.89%5.06%7.90%
Effective Tax Rate
32.99%17.00%15.09%17.52%15.46%16.39%