JUSUNG ENGINEERING publishes accurate financial statements and results to ensure reasonable, transparent management and to make progress in maximizing shareholder value and corporate value.

2010 2011 2012 2013 2014
Total Assets 5,387 5,252 4,075 3,709 3,033
Non-current Assets 2,041 2,273 2,193 1,994 1,876
Tangible Assets 1,069 1,238 1,334 1,339 1,402
Intangible Assets 85 92 74 71 128
Investment in Affiliated Businesses 6 5 7 1 1
Other Non-current Assets 881 938 778 583 345
Current Assets
Quick Assets 2,766 2,229 1,190 1,159 666
Inventories 580 750 692 556 491
Total Liabilities 3,131 3,095 2,763 2,727 1,963
Non-current Liabilities 276 1,215 824 97 189
Current Liabilities 2,855 1,880 1,939 2,630 1,774
Total Shareholders' Equity 2,256 2,157 1,312 982 1,070
Capital 173 173 206 206 241
Capital Surplus 1,029 1,095 1,298 1,300 1,460
Other Capital 11 12 8 6 6
Accumulated Other Comprehensive Income 15 (25) - 2 118
Earned Surplus 1,023 890 (210) (532) (755)
Equity Attributable to Patent Owners 2,256 2,145 1,302 982 1,070
Non-controlling Interest 5 12 10 - -
Total Liabilities and Stockholders' Equity 5,387 5,252 4,075 3,709 3,033
2010 2011 2012 2013 2014
Sales Revenue 4,435 3,192 800 1,537 1,420
Costs of Goods and Services Sold 3,133 2,231 603 964 866
Gross Profit (loss) 1,301 960 197 573 553
Selling and Administrative Expenses 856 998 1,035 563 457
Operating Income (loss) 445 (38) (838) 10 96
Finance Income (costs) (51) (113) (165) (382) (298)
Other Non-operating Income (cost) (50) 65 (52) 13 8
Income (loss) before Income Tax Expenses 345 (94) (1,055) (364) (197)
Corporate Tax (9) 35 48 (1) 14
Net Income (loss) 354 (129) (1,103) (363) (211)
Cash Flow Statement (Unit one hundred million won)
2010 2011 2012 2013 2014
Cash Flow from Operating Activities 570 729 (7) 164 402
Cash Flow from Investment Activities (758) (126) (112) 41 (59)
Cash Outflow from Investment Activities 1,606 501 290 140 33
Cash Inflow from Investment Activities (2,364) (627) (402) (99) (92)
Cash Flow from Financial Activities (102) 964 111 (208) (439)
Cash Inflow from Financial Activities 713 1,951 787 57 663
Cash Outflow from Financial Activities (815) (987) (676) (265) (1,102)
Cash at the Beginning of the Year 406 115 253 245 242
Cash at the End of the Year 115 224 245 242 147
Increase (decrease) in Cash (291) 109 (8) (3) (95)