B

Bioptro Inc
KOSDAQ:222160

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Bioptro Inc
KOSDAQ:222160
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Price: 8 040 KRW 5.79% Market Closed
Market Cap: ₩79.5B

Cash Flow Statement

Cash Flow Statement
Bioptro Inc

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Cash Flow Statement
Currency: KRW
Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025
Operating Cash Flow
Net Income
(77)
1 078
(69)
421
3 624
2 821
834
122
(1 209)
(4 084)
(3 714)
(7 335)
(7 816)
(5 490)
(3 032)
(5 244)
(8 162)
(9 277)
Depreciation & Amortization
147
184
159
162
170
176
177
186
187
188
185
181
179
185
152
177
245
296
Stock-Based Compensation
4
0
0
4
10
16
22
24
0
0
0
0
0
0
418
0
135
0
Other Non-Cash Items
4 885
5 445
5 401
4 614
233
(636)
(306)
(134)
38
2 252
1 719
5 641
5 444
3 742
563
1 315
2 267
2 228
Cash Taxes Paid
1
(0)
1
1
29
29
34
36
19
15
21
21
12
(2)
(14)
(14)
(30)
(8)
Cash Interest Paid
159
185
118
80
52
24
9
9
3
7
8
7
7
7
4
42
89
142
Change in Working Capital
(2 024)
(2 799)
(2 784)
(4 116)
(6 711)
(5 299)
(2 168)
(1 466)
960
(359)
(1 923)
(2 502)
57
(2 632)
(1 634)
(1 167)
(1 646)
2 625
Cash from Operating Activities
2 931
N/A
3 908
+33%
2 707
-31%
1 081
-60%
(2 684)
N/A
(2 938)
-9%
(1 463)
+50%
(1 292)
+12%
(24)
+98%
(2 003)
-8 155%
(3 732)
-86%
(4 015)
-8%
(2 135)
+47%
(4 195)
-96%
(3 952)
+6%
(4 918)
-24%
(7 296)
-48%
(4 128)
+43%
Investing Cash Flow
Capital Expenditures
(19)
0
0
(31)
0
0
0
(535)
(540)
(548)
(557)
(59)
(110)
(81)
(62)
(201)
(965)
(986)
Other Items
(140)
397
(2 407)
(2 399)
(2 516)
(3 133)
(570)
(109)
154
207
1 609
3 062
2 921
2 816
(2 530)
(6 503)
(5 954)
(5 176)
Cash from Investing Activities
(155)
N/A
384
N/A
(2 424)
N/A
(2 430)
0%
(2 545)
-5%
(3 164)
-24%
(601)
+81%
(644)
-7%
(385)
+40%
(341)
+11%
1 052
N/A
3 003
+186%
2 811
-6%
2 735
-3%
(2 592)
N/A
(6 704)
-159%
(6 919)
-3%
(6 161)
+11%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
7 563
0
0
0
0
101
101
101
7 081
0
0
0
0
0
0
Net Issuance of Debt
(771)
0
0
(4 342)
0
0
0
(39)
(49)
(59)
(69)
(45)
(47)
(49)
(43)
4 426
4 773
4 428
Other
200
(935)
3 168
176
(12)
1 112
(3 260)
0
(205)
(195)
(185)
(175)
0
0
(10)
(5)
(10)
(25)
Cash from Financing Activities
(585)
N/A
(1 143)
-96%
2 973
N/A
3 398
+14%
3 785
+11%
4 334
+14%
(38)
N/A
(39)
-1%
(124)
-220%
(124)
+0%
(125)
0%
6 861
N/A
6 944
+1%
6 941
0%
(53)
N/A
4 421
N/A
4 763
+8%
4 403
-8%
Change in Cash
Effect of Foreign Exchange Rates
(93)
22
170
199
404
441
121
60
(151)
(293)
36
18
44
(7)
36
23
3
38
Net Change in Cash
2 099
N/A
3 170
+51%
3 425
+8%
2 248
-34%
(1 041)
N/A
(1 327)
-28%
(1 982)
-49%
(1 915)
+3%
(685)
+64%
(2 760)
-303%
(2 768)
0%
5 867
N/A
7 663
+31%
5 474
-29%
(6 561)
N/A
(7 178)
-9%
(9 449)
-32%
(5 849)
+38%
Free Cash Flow
Free Cash Flow
2 912
N/A
3 908
+34%
2 707
-31%
1 049
-61%
(2 684)
N/A
(2 938)
-9%
(1 463)
+50%
(1 827)
-25%
(564)
+69%
(2 550)
-352%
(4 288)
-68%
(4 074)
+5%
(2 245)
+45%
(4 276)
-90%
(4 013)
+6%
(5 119)
-28%
(8 261)
-61%
(5 114)
+38%