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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 2 months ago
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 2 months ago
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 2 months ago

WOORI FINANCIAL GROUP INC. (WF) - Cash And Cash Equivalents At Carrying Value

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about 2 months ago

WOORI FINANCIAL GROUP INC. (WF) - Total Current Assets

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WOORI FINANCIAL GROUP INC. (WF) - Total Assets

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WOORI FINANCIAL GROUP INC. (WF) - Other Non Current Liabilities

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WOORI FINANCIAL GROUP INC. (WF) - Current Long Term Debt

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WOORI FINANCIAL GROUP INC. (WF) - Accumulated Depreciation Amortization Ppe

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WOORI FINANCIAL GROUP INC. (WF) - Treasury Stock

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WOORI FINANCIAL GROUP INC. (WF) - Inventory

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WOORI FINANCIAL GROUP INC. (WF) - Common Stock Shares Outstanding

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about 2 months ago

WOORI FINANCIAL GROUP INC. (WF) - Common Stock

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