Business & Consumer Services » Business Services | NICE Total Cash Management Co. Ltd.

NICE Total Cash Management Co. Ltd. | Income Statement

Fiscal year is January-December. All values KRW Millions.
2013
2014
2015
2016
2017
Sales/Revenue
137,883
140,202
152,512
215,502
241,044
Cost of Goods Sold (COGS) incl. D&A
113,846
25,599
33,398
79,439
76,679
Gross Income
24,037
114,603
119,114
136,062
164,364
SG&A Expense
15,731
105,893
106,831
120,646
143,478
EBIT
8,305
8,710
12,283
15,416
20,886
Unusual Expense
2,215
1,003
1
15
13
Non Operating Income/Expense
1,369
13,336
601
1,590
350
Interest Expense
1,324
1,091
1,102
2,083
3,101
Pretax Income
6,237
20,124
12,039
15,391
18,511
Income Tax
462
4,984
2,645
2,178
2,080
Equity in Affiliates
52
359
-
-
-
Consolidated Net Income
6,646
14,781
9,394
13,213
16,431
Net Income
6,633
14,752
9,510
13,292
15,505
Net Income After Extraordinaries
7,869
14,752
9,510
13,292
15,505
Net Income Available to Common
5,398
14,752
9,510
13,292
15,505
EPS (Basic)
208.00
567.00
366.00
511.00
596.00
Basic Shares Outstanding
26
26
26
26
26
EPS (Diluted)
207.55
567.06
365.55
510.94
595.99
Diluted Shares Outstanding
26
26
26
26
26
EBITDA
23,427
23,651
28,246
33,990
42,878
Non-Operating Interest Income
102
172
258
484
364
Minority Interest Expense
13
29
116
79
926

About NICE Total Cash Management Co.

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Address
Credit Center Building
Seoul SL 04117
Korea, Republic Of
Employees -
Website http://www.nicetcm.co.kr
Updated 09/14/2018
NICE Total Cash Management Co., Ltd. engages in the provision of automated teller machine (ATM) related services. It operates through the following business areas: ATM Management, Cash Dispenser Value Added Network (CD VAN), Cash Logistics, Financial Derivative, Card VAN and POS, Kiosk, and Smart Parking. The ATM Management business offers automatic teller machines management services.