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WOORI FINANCIAL GROUP INC.

Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12
Total revenue 4,115.60 25,749.84 23,699.22 17,386.13 12,506.68 11,249.81 12,426.64 11,491.26 10,572.07 9,747.31 11,072.14 4,561.68 3,291.90 4,553.26
Cost of revenue 14,438.51 14,837.72 13,771.84 6,840.92 3,440.29 4,309.12 5,055.43 4,363.74 4,115.63 4,326.84 0.00 0.02
Gross profit 4,115.60 10,912.12 9,927.38 10,545.22 9,066.39 6,940.69 7,371.21 7,127.52 6,456.44 5,420.46 11,072.14 4,561.68 3,291.90 4,553.26
Total operating expenses + 7,109.11 6,689.27 6,409.93 5,997.65 5,379.35 4,939.44 4,648.16 4,322.65 4,506.94 3,867.07 2,373.62 3,727.28 3,004.23 2,915.34
Operating income 4,115.60 4,222.85 3,517.45 4,547.57 3,687.05 2,001.25 2,723.05 2,804.87 1,949.51 1,553.39 1,277.46 928.49 263.91 1,748.87
Non-operating income (net) 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 188.30 -94.10 23.76 -110.95
Income before tax 4,115.60 4,222.85 3,517.45 4,547.57 3,687.05 2,001.25 2,723.05 2,804.87 1,949.51 1,553.39 1,465.76 834.40 287.67 1,637.92
Income tax expense 871.18 1,051.38 890.56 1,178.50 924.77 486.00 685.45 753.22 419.42 275.86 376.55 288.20 35.10 356.84
Net income 3,244.43 3,086.00 2,506.30 3,186.77 2,542.84 1,307.27 1,872.21 2,033.18 1,512.15 1,261.27 875.84 385.16 132.61 1,137.10
Show Quarterly Income Statement
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Sep-13 Jun-13 Mar-13 Sep-12 Jun-05
Total revenue 847.95 535.47 6,495.16 6,251.19 6,225.37 6,327.39 6,581.66 6,508.46 6,332.32 6,294.69 5,976.51 5,745.10 5,682.92 5,316.98 4,348.00 4,038.13 3,683.03 3,354.12 3,149.76 3,026.97 2,973.24 2,751.97 2,707.92 2,760.91 3,029.61 3,007.30 3,132.94 3,213.11 1,807.12 2,641.86 2,903.08 1,774.04 1,768.22 3.92 1,537.65 1,471.55 1,529.77 1,356.14 1,176.76 1,401.29 1,576.81 1,313.21 1,350.14 1,105.97 957.52 1,144.86 1,186.72 1,146.23 1,271.21 1,175.34 1,004.10 -608.70 1,682.44
Cost of revenue 3,648.50 3,648.50 3,722.22 3,360.97 3,488.04 3,784.53 3,787.59 3,627.00 3,638.60 4,095.44 3,311.88 3,392.92 2,971.60 2,530.94 1,703.64 1,488.18 1,118.16 1,024.05 823.02 747.94 842.68 963.61 925.04 1,270.09 1,151.75 1,181.45 1,392.93 1,274.04 60.01 1,384.21 1,128.11 -150.67 122.24 0.02 0.00 0.00 5.91
Gross profit 847.95 535.47 2,772.95 2,890.22 2,737.33 2,542.86 2,794.08 2,881.46 2,693.73 2,199.25 2,664.64 2,352.18 2,711.32 2,786.04 2,644.36 2,549.94 2,564.87 2,330.07 2,326.74 2,279.03 2,130.55 1,788.36 1,782.88 1,490.82 1,877.86 1,825.85 1,740.02 1,939.07 1,747.11 1,257.65 1,774.96 1,924.71 1,645.99 3.90 1,537.65 1,471.55 1,529.77 1,356.14 1,176.76 1,401.29 1,576.81 1,313.21 1,350.14 1,105.97 957.52 1,144.86 1,186.72 1,146.23 1,271.21 1,175.34 1,004.10 -608.70 1,682.44
Total operating expenses + 2,908.04 2,908.04 1,243.90 1,703.74 1,872.74 1,911.58 1,593.37 1,634.56 1,549.77 2,077.11 1,417.86 1,473.97 1,440.99 1,994.59 1,356.15 1,247.11 1,399.80 1,795.75 1,191.76 1,203.04 1,188.79 1,496.94 1,106.90 1,209.58 1,125.25 1,501.15 1,069.75 1,036.80 921.30 1,080.10 949.18 929.22 839.95 2.18 1,166.01 870.23 1,335.77 527.51 728.49 1,055.53 1,214.74 747.85 947.83 811.93 1,094.37 751.33 864.93 837.43 930.55 1,039.20 862.89 67.70 914.47 -0.04
Operating income 847.95 535.47 1,529.05 1,186.49 864.60 631.28 1,200.71 1,246.90 1,143.96 122.14 1,246.78 878.21 1,270.32 791.45 1,288.21 1,302.83 1,165.08 534.32 1,134.98 1,075.99 941.76 291.42 675.98 281.24 752.61 324.70 670.27 902.27 825.81 177.55 825.79 995.50 806.04 1.74 302.28 610.13 204.45 880.32 440.62 373.76 382.90 556.33 404.09 333.57 -67.55 296.77 303.77 265.13 428.59 105.08 331.33 -379.04 728.36 -0.04
Non-operating income (net) 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -0.26 69.36 -8.81 -10.45 -51.69 7.65 -28.00 -20.83 9.04 -1.79 -39.53 -69.30 96.76 18.02 43.66 -87.93 31.05 -190.13 -161.96 39.62 464.87
Income before tax 847.95 535.47 1,529.05 1,186.49 864.60 631.28 1,200.71 1,246.90 1,143.96 122.14 1,246.78 878.21 1,270.32 791.45 1,288.21 1,302.83 1,165.08 534.32 1,134.98 1,075.99 941.76 291.42 675.98 281.24 752.61 324.70 670.27 902.27 825.81 177.55 825.79 995.50 806.04 1.48 371.64 601.32 193.99 828.63 448.28 345.76 362.07 565.36 402.30 294.04 -136.85 393.53 321.79 308.80 340.66 136.13 141.20 -541.00 767.98 464.83
Income tax expense 209.03 176.85 237.55 246.74 210.04 177.21 283.73 285.39 305.05 27.18 328.66 211.02 323.70 215.07 354.82 316.00 292.61 133.68 310.59 257.60 222.90 71.92 154.27 64.97 194.84 93.17 136.16 244.84 211.28 46.76 221.25 273.70 211.52 0.31 88.21 135.03 33.64 185.90 88.88 34.48 140.57 118.86 77.23 65.17 15.09 93.58 109.29 84.01 79.80 55.53 21.58 148.71 188.20
Net income 638.92 358.62 1,243.92 935.33 616.69 426.13 904.37 931.50 824.00 68.11 899.31 625.19 913.69 525.03 899.81 922.75 839.19 344.91 778.24 752.60 667.10 166.50 480.20 142.35 518.22 206.51 486.01 611.00 568.69 129.78 597.53 716.14 589.74 1.16 241.05 419.33 98.34 588.21 306.38 257.22 170.20 392.81 270.47 184.19 -191.13 250.97 173.67 187.17 215.45 42.14 127.59 -336.39 518.18 464.83
about 14 hours ago
Ask a follow up
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10
Total cash and short-term investments + 46,730.04 71,078.87 68,448.11 67,304.23 46,685.61 40,019.91 34,123.10 24,811.32 22,261.24 -15,954.58 6,644.06 5,969.81 5.78 5.78 6.42 13.56
Accounts receivable, net 12,468.23 13,912.96 17,312.19 8,627.00 9,098.35 5,335.91 11,773.36 14,299.83 14,189.06 9,503.05 0.00 14.52
Inventories 13,244.43 -54,721.64 -37,802.09 -34,539.35 -32,271.16 -28,978.60 -27,178.81 6.19 0.00 0.00
Other current assets -12,468.23 554.52 440.23 54,721.64 37,802.09 34,539.35 213.32 179.60 148.61 34,487.19 0.00 1.81
Total current assets 46,730.04 85,546.35 86,200.53 75,931.23 55,783.95 45,355.82 46,109.77 39,290.74 36,598.91 34,487.19 6,644.06 5,962.86 5.78 5.78 6.42 13.56
Total non-current assets + 554,727.25 440,206.98 411,804.41 90,847.06 78,098.68 70,776.15 315,870.96 301,156.44 279,696.55 276,195.54 2,839.66 2,741.49 3.62 3.62 3.58 2.59
Total assets 601,457.29 525,753.32 498,004.94 480,474.40 447,183.87 399,081.02 361,980.72 340,447.18 316,295.46 310,682.73 291,859.07 270,157.22 327.10 325.71 312.79 271.15
Total current liabilities + 50,111.62 381,101.55 373,627.08 6,001.86 6,969.17 4,028.64 276,993.97 259,625.49 245,503.41 33,731.77 5.45 5.55 204.21 202.92 195.93
Total non-current liabilities + 517,196.92 108,756.50 90,980.36 6,001.86 69,443.21 58,695.30 59,494.42 58,868.65 50,227.15 259,979.90 42,029.63 42,662.76 99.86 99.78 94.79 44.47
Total liabilities 567,308.54 489,858.05 464,607.45 448,847.05 418,333.68 372,355.17 336,488.39 318,494.14 295,730.56 293,711.67 272,549.16 252,063.79 304.07 302.70 290.72 44.47
Total stockholders' equity + 32,306.84 34,096.84 31,666.88 31,627.34 28,850.20 26,725.85 21,510.37 21,739.93 20,365.89 16,971.06 19,309.92 18,093.43 23.03 23.00 22.07 226.68
Common shares outstanding 253 247 245 728 724 722 228 227 227 227 673 718 676 676
Show Quarterly Balance Sheet
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Sep-13 Jun-13 Mar-13 Sep-12 Mar-12 Mar-11 Jun-05 Sep-04
Total cash and short-term investments + 116,623.78 46,730.04 103,638.62 69,495.85 68,619.15 71,078.87 70,184.97 64,347.26 67,921.49 7,334.88 62,439.72 56,594.47 67,304.23 64,734.21 43,912.90 46,315.81 53,451.84 59,732.86 43,994.47 40,696.24 41,954.73 40,019.91 38,458.59 39,050.03 34,123.10 34,123.10 35,884.02 32,468.57 24,807.73 24,811.32 12.66 5,926.82 6,914.51 5,753.81 6,819.78 7,386.82 16,731.46 7,984.00 8,262.00 5,373.09 6,644.06 6,823.00 7,207.64 4,958.56 5,962.86 7,121.49 0.00 5,099.01 5.78 6,683.41 5,630.30 5.78 6,239.23 6.42 13.56 56.10 0.00
Accounts receivable, net 22,918.87 12,468.23 19,940.07 24,379.51 22,333.25 13,912.96 22,583.89 18,747.87 19,370.69 9,061.94 50.61 15,505.87 8,627.00 14,043.05 15,709.30 13,135.84 16,571.04 14,673.70 14,968.27 13,370.23 16,734.59 11,232.98 15,348.43 16,202.41 8,041.59 11,773.36 12,380.20 14.35 10.04 14,299.83 7.35 11.08 12.96 6.87 12.30 13.38 11,675.12
Inventories -87,292.18 -55,577.44 -50,196.38 -35,146.16 -54,721.64 -57,732.05 -70,529.79 -64,244.84 -49,951.68 -28,726.34 -36,566.90 -40,831.62 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Other current assets -120,581.06 -32,841.03 456.66 583.72 613.09 554.52 607.42 431.60 468.19 20.35 50,196.38 35,146.16 54,721.64 57,732.05 70,529.79 64,244.84 408.79 250.85 349.78 283.11 296.28 199.08 249.73 189.45 275,646.05 213.32 260,325.50 269,704.69 268,874.69 179.60 15.43 14.86 18.64 7.80 11.53 8.80 11,789.91
Total current assets 18,961.59 26,357.24 124,035.35 94,459.08 91,565.49 85,546.35 93,376.28 83,526.73 87,760.37 20.35 62,490.33 72,100.33 75,931.23 78,777.26 59,622.20 59,451.64 70,431.67 74,657.41 59,312.52 54,349.57 58,985.61 51,451.97 54,056.75 55,441.88 6.91 46,109.77 48,264.22 32,482.92 24,817.77 39,290.74 72.16 5,920.57 6,908.29 5,738.00 6,812.49 7,377.12 7,591.32 7,984.00 8,262.00 5,373.09 6,644.06 6,823.00 7,207.64 4,958.56 5,962.86 7,121.49 5,099.01 5.78 6,683.41 5,630.30 5.78 6,239.23 6.42 13.56 56.10
Total non-current assets + 584,668.81 575,100.04 462,921.06 439,653.69 441,130.77 440,206.98 450,328.91 425,254.44 417,007.03 497,995.60 90,190.47 91,914.61 90,847.06 91,859.65 99,261.34 85,859.32 395,272.64 372,526.46 378,872.39 366,921.04 357,118.78 347,629.05 326,782.17 324,635.49 3.00 315,870.96 61,994.48 326,918.74 320,331.18 301,156.44 0.00 2,840.09 2,765.69 2,727.09 2,800.78 2,778.83 2,803.07 2,759.76 2,857.00 2,803.89 2,839.66 2,866.00 2,834.70 2,828.78 2,741.49 2,856.97 2,583.75 3.62 3,529.25 3,532.33 3.62 3,549.53 3.58 2.59 0.28 52.49
Total assets 603,630.40 601,457.29 586,956.41 534,112.78 532,696.26 525,753.32 543,705.20 508,781.17 504,767.40 498,015.95 485,917.00 482,911.62 480,474.40 478,079.26 502,068.93 484,945.69 465,704.31 447,183.87 438,184.91 421,270.61 416,104.38 399,081.02 380,838.91 380,077.38 361,980.72 361,980.72 370,584.20 359,401.66 345,148.96 340,447.18 296.12 326,561.33 316,295.46 325,795.90 317,875.16 316,065.26 310,682.73 310,910.01 312,832.00 308,818.35 291,859.07 308,892.00 297,114.54 286,854.48 270,157.22 279,436.07 258,660.72 327.10 332,803.11 336,665.68 325.71 323,389.73 312.79 271.15 9,748.04 54.78
Total current liabilities + 49,385.53 50,111.62 397,778.64 399,344.21 392,878.21 381,101.55 405,577.50 376,954.79 373,971.84 103.95 24,853.34 12,984.67 6,001.86 11,861.54 13,036.45 11,230.39 335,756.76 328,058.04 326,271.88 315,470.36 315,550.26 305,026.96 295,784.69 294,790.49 234.70 276,993.97 12,322.10 259,386.92 252,697.31 259,625.49 217.90 46.74 40.45 44.68 39.79 32.05 22.09 26.99 6.06 5.45 5.30 5.24 5.55 5.30 2,226.73 204.21 3,037.70 3,028.44 202.92 3,453.43 195.93
Total non-current liabilities + 518,578.13 517,196.92 152,026.26 99,053.05 104,295.06 108,756.50 101,925.29 96,678.76 96,871.22 468,115.39 73,932.63 70,458.45 6,001.86 11,861.54 13,036.45 11,230.39 100,646.24 90,320.73 83,598.26 77,640.07 73,375.80 67,328.21 58,845.47 59,535.20 61.04 59,494.42 56,587.06 77,176.53 70,249.80 58,868.65 0.00 42,652.32 42,746.10 41,117.74 43,944.45 41,422.67 42,427.94 40,930.64 40,413.00 43,041.93 42,029.63 40,641.00 45,168.18 42,814.02 42,662.76 43,093.31 43,314.52 99.86 65,515.36 66,222.72 99.78 65,779.89 94.79 44.47
Total liabilities 567,963.66 567,308.54 549,804.90 498,397.26 497,173.26 489,858.05 507,502.79 473,633.55 470,843.06 468,219.34 73,932.63 450,220.36 448,847.05 445,475.64 470,940.52 455,439.64 436,403.00 418,378.77 409,870.14 393,110.43 388,926.05 372,355.17 354,630.16 354,325.69 336,488.39 336,488.39 346,302.88 336,563.44 322,947.11 318,494.14 276.44 305,564.72 295,730.56 305,255.92 297,258.19 295,644.79 290,136.77 290,343.06 40,413.00 288,977.42 272,549.16 40,641.00 277,946.97 267,831.71 252,063.79 261,420.15 240,854.50 304.07 309,017.27 312,797.88 302.70 300,378.38 290.72 44.47
Total stockholders' equity + 33,796.18 32,306.84 35,355.60 34,175.49 33,727.78 34,096.84 33,752.94 33,466.57 32,223.79 28,066.00 31,585.20 30,244.67 28,761.90 29,659.67 28,252.57 27,026.09 26,283.26 25,796.93 25,315.94 24,559.15 23,512.89 23,053.61 22,753.16 22,301.19 21,510.37 21,510.37 20,844.67 19,443.13 18,810.33 21,739.93 19.49 20,790.19 20,365.89 20,340.11 20,450.56 20,256.35 20,386.16 20,409.20 20,457.00 19,708.59 19,188.47 19,471.00 19,052.31 18,906.06 17,983.50 17,900.33 15,867.66 23.03 18,802.19 18,857.26 23.00 18,678.23 22.07 12.26 7,448.05 16.93
Common shares outstanding 259 254 244 245 263 247 247 249 249 246 246 728 728 728 243 243 243 242 242 241 241 241 241 241 245 227 227 227 222 227 227 227 227 224 673 673 673 673 673 673 673 673 673 673 673 673 676 719 677 676 676 676 676 227
about 14 hours ago
Ask a follow up
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
Operating cash flow + 13,642.39 -6,129.30 1,621.94 18,624.12 -1,800.97 3,605.98 1,870.35 9,160.07 -1,979.01 4,905.29 2,462.47 -13,771.26 -12,703.19 -6,515.08 306.59
Cash flow from investing + -9,880.60 -34.30 -2,254.14 -6,968.69 -10,666.86 -1,456.43 -8,588.14 -11,071.17 1,883.71 -4,225.61 -22,372.27 -1.04
Cash flow from financing + 7,685.34 1,245.34 -2,860.18 1,919.79 9,075.70 2,367.24 6,171.01 1,516.77 -61.10 333.06 20,318.63 14,363.93 13,885.22 3,694.60 103.79
Change in cash 11,447.12 -4,918.26 -3,492.38 13,575.22 -3,392.13 4,516.79 -546.79 -394.33 -156.39 1,012.73 408.82 591.63 1,182.03 -2,820.48 410.38
Change in exchange rate 0.00 0.00 0.00 0.00 0.00
Show Quarterly Cash Flow
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Sep-13 Jun-13 Mar-13 Sep-12 Jun-05
Operating cash flow + 13,557.89 11,774.10 4,374.94 -2,096.68 -409.97 1,782.62 -2,945.15 -4,746.03 -220.74 6,327.49 5,053.50 -15,429.41 -3,451.52 24,398.43 -580.86 -10,893.80 10,000.77 -230.79 3,448.95 -6,143.10 1,123.96 2,089.05 -995.43 3,530.56 -1,018.21 -183.60 -504.22 -1,996.22 6,228.07 6,228.07 1,605.98 418.70 -8,883.79 -1,756.71 -2,934.69 -4,203.03 -434.02 407.64 2,258.71 -2,858.76 -3,735.84 -5,939.27 -6,871.46 -6,429.10 -5,973.74 -3,967.80 -2,324.99 -10,302.95 4,830.41 -636.99 -3,022.66 904.07 824.26 -25.16
Cash flow from investing + -8,590.61 -11,050.26 -2,748.54 3,526.67 391.53 -5,787.62 4,784.31 -1,505.31 2,474.31 -810.96 -1,490.91 47.72 392.21 -3,880.49 -3,225.89 3,097.14 -2,959.46 -5,986.19 -5,203.01 1,499.87 -977.53 -493.45 -161.63 -579.35 -221.99 -1,128.75 -1,074.82 -6,381.36 -107.62 -6,077.33 -2.72 -1.13 -0.66 1.77 -0.19 0.18 445.97
Cash flow from financing + -10,135.90 8,244.72 -2,812.54 3,945.52 -1,692.37 -3,677.16 6,681.14 -529.64 -1,229.01 -619.25 602.15 6,615.62 -336.82 -6,863.05 2,325.02 3,947.83 2,509.99 2,709.11 1,872.85 3,881.36 612.38 353.73 719.23 -3,059.77 4,354.05 -1,118.50 3,530.05 10,053.38 584.98 584.98 1,600.36 769.68 7,956.73 1,225.78 2,576.42 3,378.49 2,225.71 -337.85 -4.58 2,588.99 1,366.16 7,401.57 8,284.46 7,910.89 9,573.01 2,577.37 1,174.67 6,473.51 -2,857.26 1,480.47 2,107.38 -639.29 -1,240.40 -10.62
Change in cash -5,168.61 8,968.56 -1,186.14 5,375.51 -1,710.80 -7,682.15 8,520.30 -6,780.98 1,024.57 4,897.28 4,164.74 -8,766.07 -3,396.12 13,654.89 -1,481.73 -3,848.83 9,551.31 -3,507.86 118.79 -761.86 758.81 1,949.32 -437.82 -108.57 3,113.86 -2,430.85 1,951.01 1,675.80 6,705.43 735.72 3,203.62 1,187.25 -927.73 -529.16 -358.46 -824.37 2,237.66 69.78 2,254.13 -269.77 -2,369.68 1,462.30 1,413.01 1,481.79 3,599.27 -1,390.43 -1,150.32 -3,829.44 1,973.16 843.48 -915.28 264.78 -416.14 -35.78
Change in exchange rate 0.00 0.00 0.00 0.00 0.00 0.00
about 14 hours ago
Ask a follow up