IR/PR

Management Information

Financial
Information

Interojo presents its key financial status and management performance, including financial position, profit and loss, and cash flow.

Statement of Financial Position

(Unit: million KRW)

December 2023
Category
Amount
Current Assets
155,281
Noncurrent Assets
119,617
Assets
274,898
Current Liabilities
79,006
Noncurrent Liabilities
11,583
Liabilities
90,589
Issued Capital
6,608
Capital Surplus
39,765
Other Capital Adjustments
-14,698
Other Comprehensive Income(Loss)
-636
Retained Earnings
153,269
Equity
184,309
December 2022
Category
Amount
Current Assets
133,081
Noncurrent Assets
123,263
Assets
256,344
Current Liabilities
74,931
Noncurrent Liabilities
4,973
Liabilities
79,904
Issued Capital
6,608
Capital Surplus
38,473
Other Capital Adjustments
-15,620
Other Comprehensive Income(Loss)
-334
Retained Earnings
147,311
Equity
176,439
December 2021
Category
Amount
Current Assets
122,673
Noncurrent Assets
106,814
Assets
229,487
Current Liabilities
40,590
Noncurrent Liabilities
16,040
Liabilities
56,631
Issued Capital
6,484
Capital Surplus
38,473
Other Capital Adjustments
-8,685
Other Comprehensive Income(Loss)
-334
Retained Earnings
136,918
Equity
172,856

Income Statement

(Unit: million KRW)

December 2023
Category
Amount
Revenue
120,446
Gross Profit
46,506
Operating Income(Loss)
18,342
Non-operating Income
6,665
Non-operating Expenses
9,160
Profit(Loss)
13,436
December 2022
Category
Amount
Revenue
116,571
Gross Profit
52,914
Operating Income(Loss)
27,054
Non-operating Income
4,644
Non-operating Expenses
12,303
Profit(Loss)
16,128
December 2021
Category
Amount
Revenue
107,081
Gross Profit
51,068
Operating Income(Loss)
23,453
Non-operating Income
5,163
Non-operating Expenses
8,655
Profit(Loss)
13,351

Cash Flow

(Unit: million KRW)

December 2023
Category
Amount
Cash Flows from Operating Activities
8,085
Cash Flows from Investing Activities
-12,548
Cash Flows from Financial Activities
7,052
Increase (Decrease) in Cash
2,557
Cash at the beginning of the term
1,029
Cash at the end of the term
3,586
December 2022
Category
Amount
Cash Flows from Operating Activities
16,377
Cash Flows from Investing Activities
-33,904
Cash Flows from Financial Activities
8,508
Increase (Decrease) in Cash
-8,909
Cash at the beginning of the term
9,937
Cash at the end of the term
1,029
December 2021
Category
Amount
Cash Flows from Operating Activities
15,985
Cash Flows from Investing Activities
-19,951
Cash Flows from Financial Activities
4,508
Increase (Decrease) in Cash
539
Cash at the beginning of the term
9,399
Cash at the end of the term
9,937

Corporate
Governance

Provides information on shareholding structure, dividend indicators, and key corporate governance practices to support transparent management.

Stockholders

Largest Stockholders and Specially Interested Parties

Stockholder Name
No. of Stocks
Largest stockholders and specially interested parties
4,649,949
Treasury stock
705,504
Other stockholders
7,861,025
Sum
13,216,478
Stockholder Name
Share Ratio
Largest stockholders and specially interested parties
35.18%
Treasury stock
5.34%
Other stockholders
59.48%
Sum
100%
Stockholder Name
Announcement Date
Largest stockholders and specially interested parties
2023.12.31
Treasury stock
2023.12.31
Other stockholders
2023.12.31
Sum
-

Stockholders with 5% or More

Stockholder Name
No. of Stocks
Share Ratio
Announcement Date
National Pension Service
1,493,428
9.20%
2023.12.31

Dividend Policy

Dividend Policy

Type
2023
Cash
Total Dividend (Million KRW)
7,507
Cash
Dividend per Share (KRW)
600
Stock
Total Dividend (Shares)
-
Stock
Dividend per Share (KRW)
-
Type
2022
Cash
Total Dividend (Million KRW)
7,479
Cash
Dividend per Share (KRW)
600
Stock
Total Dividend (Shares)
-
Stock
Dividend per Share (KRW)
-
Type
2021
Cash
Total Dividend (Million KRW)
5,610
Cash
Dividend per Share (KRW)
450
Stock
Total Dividend (Shares)
249,331
Stock
Dividend per Share (KRW)
0.02