Interim report
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INDEX .1 Semi - Annual Report ใ Confirmation by CEO , etc. ] I. Company Overview . 1. Company overview . 2. Company history ....... 3. Changes in capital stock 4. Total number of shares , etc .. 5. Matters related to the articles of incorporation II . Business Description ..... 1. Business overview 2. Main products and services . 3. Raw materials and production facilities 4. Status of sales and orders 5. Risk management and derivatives transactions 6. Major contracts and research and development activities . 7. Other details III . Financial Matters . 1. Summary of financial information . 2. Consolidated financial statements .2 .2 .11 12 .19 .21 .21 .22 .24 .27 .30 .38 .44 .59 .59 ..65 2-1 . Consolidated Statement Of FinancialPosition . .65 2-2 . Consolidated Statement Of ComprehensiveIncome ..... 66 2-3 . Consolidated Statement Of ChangesInEquity 2-4 . Consolidated Statement Of CashFlows . ..67 .68 3. Notes to the consolidated financial statements . 1. Overview of consolidated entities ( Consolidated ) . 2. Basis of Preparation ( Consolidated ) ..69 .69 .71 3. Changes in accounting policies ( Consolidated ) .71 4. Operating segments ( Consolidated ) . .72 5. Cash and cash equivalents and long - term and short - term financial instruments ( Consolidated ) 6. Financial assets at fair value through other comprehensive income and profit or loss ( Consolidated ) 7. Trade and other receivables ( Consolidated ) 8. Inventories ( Consolidated ) 9. Other assets ( Consolidated ) . 10. Property , plant and equipment ( Consolidated ) 11. Intangible assets ( Consolidated ) . 12. Investment property ( Consolidated ) 13. Leases ( Consolidated ) 14. Assets pledged as collateral ( Consolidated ) 15. Trade and other payables ( Consolidated ) . 16. Other liabilities ( Consolidated ) .. 17. Employee benefits ( Consolidated ) 18. Provisions ( Consolidated ) .. 19. Share capital and capital surplus ( Consolidated ) 20. Other elements of stockholder's equity ( Consolidated ) . 21. Accumulated other comprehensive income ( Consolidated ) . .79 .83 .84 ..85 .89 .91 .93 ..96 .97 .97 ..98 102 .103 104 .104
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22. Retained earnings (Consolidated) ......................................................................................105 23. Operating profit and loss (Consolidated)...........................................................................106 24. Expenses by nature (Consolidated) ...................................................................................114 25. Other income (Consolidated)..............................................................................................115 26. Other expenses (Consolidated)..........................................................................................116 27. Finance income and expense (Consolidated) ....................................................................116 28. Corporate tax (Consolidated).............................................................................................117 29. Earnings per share (Consolidated).....................................................................................118 30. Cash flow statement (Consolidated) ..................................................................................119 31. Non-cash transactions (Consolidated) ..............................................................................122 32. Financial instruments by category (Consolidated)............................................................122 33. Risk management (Consolidated).......................................................................................126 34. Business combinations (Consolidated) ..............................................................................128 35. Related party (Consolidated)..............................................................................................129 36. Contingent liabilities and commitments (Consolidated) ....................................................134 37. Subsequent Events (Consolidated).....................................................................................136 4. Separate financial statements....................................................................................................136 4-1. Statement Of FinancialPosition........................................................................................136 4-2. Statement Of ComprehensiveIncome...............................................................................137 4-3. Statement Of ChangesInEquity ........................................................................................138 4-4. Statement Of CashFlows..................................................................................................139 5. Notes to the separate financial statements...............................................................................140 1. Company overview ...............................................................................................................140 2. Basis of Preparation .............................................................................................................141 3. Changes in accounting policies............................................................................................141 4. Cash and cash equivalents and long-term and short-term financial instruments.............142 5. Financial assets at fair value through other comprehensive income and profit or loss....143 6. Trade and other receivables................................................................................................147 7. Inventories ............................................................................................................................150 8. Other assets..........................................................................................................................152 9. Investments in subsidiaries..................................................................................................152 10. Property, plant and equipment...........................................................................................153 11. Intangible assets.................................................................................................................156 12. Investment property ...........................................................................................................158 13. Leases.................................................................................................................................160 14. Assets pledged as collateral ..............................................................................................164 15. Trade and other payables ..................................................................................................164 16. Other liabilities....................................................................................................................165 17. Employee benefits ..............................................................................................................165 18. Provisions ...........................................................................................................................170 19. Share capital and capital surplus .......................................................................................171 20. Other elements of stockholder's equity............................................................................172 21. Accumulated other comprehensive income.......................................................................172 22. Retained earnings ...............................................................................................................172 23. Operating profit and loss....................................................................................................174 24. Expenses by nature............................................................................................................181 25. Other income.......................................................................................................................182
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26. Other expenses...................................................................................................................182 27. Finance income and expense .............................................................................................183 28. Corporate tax......................................................................................................................184 29. Earnings per share..............................................................................................................184 30. Cash flow statement ...........................................................................................................186 31. Non-cash transactions .......................................................................................................188 32. Financial instruments by category.....................................................................................189 33. Risk management................................................................................................................192 34. Related party.......................................................................................................................195 35. Contingent liabilities and commitments .............................................................................200 36. Subsequent Events .............................................................................................................202 6. Matters related to dividends......................................................................................................202 7. Matters related to financing through issuance of securities....................................................208 7-1. Performance of financing through securities issuance...................................................208 7-2. Performance of fund utilization from securities issuance ..............................................211 8. Other financial matters...............................................................................................................212 IV. Directorโs Management Assessment and Analysis Opinion .........................................................220 1. Forward-Looking Statements....................................................................................................220 2. Overview.....................................................................................................................................220 3. Financial Condition and Results of Operations .........................................................................220 4. Liquidity, Capital Resources and Expenditures ........................................................................220 5. Off-Balance Sheet Arrangements .............................................................................................220 6. Other Matters Material to Investment Decisions......................................................................220 V. Accounting Auditorโs Audit Opinion, etc. .......................................................................................221 1. Matters related to external audit...............................................................................................221 2. Matters related to internal control ............................................................................................224 VI. Matters Related to Corporate Bodies Including the Board of Directors, etc. .............................228 1. Matters related to the board of directors .................................................................................228 2. Matters related to the audit system ..........................................................................................230 3. Matters related to general shareholdersโ meeting, etc. ...........................................................232 VII. Matters Related to Shareholders..................................................................................................236 VIII. Matters Related to Executives and Employees, etc...................................................................239 1. Status of executives and employees, etc..................................................................................239 2. Executive remuneration, etc......................................................................................................245 IX. Matters Related to Affiliated Companies, etc. ..............................................................................256 X. Details of Transactions with Major Shareholders, etc. .................................................................257 XI. Other Matters Necessary for Investor Protection........................................................................260 1. Progress and changes of disclosure information......................................................................260 2. Matters related to contingent liabilities, etc.............................................................................260 3. Matters related to sanctions, etc...............................................................................................261 4. Other matters, including material matters occurred after the document preparation date....262 XII. Detailed Table...............................................................................................................................263 1. Status of subsidiaries subject to consolidation (Detailed)........................................................263 2. Status of affiliates (Detailed).....................................................................................................264 3. Status of investment in other corporations (Detailed) .............................................................266 4. Status of intellectual property ownership[Detailed]................................................................267 ใConfirmation from Expertsใ...........................................................................................................269
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1. Confirmation from experts.........................................................................................................269 2. Relationship to experts..............................................................................................................269
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Semi-Annual Report (์ 25 ๊ธฐ) Fiscal year 2026.01.01 From 2026.06.30 To ๊ธ์ต์์ํ ํ๊ตญ๊ฑฐ๋์ ๊ท์ค 2026๋ 08์ 12์ผ Type of entity subject to submission: Stock-listed corporations Occurrence of reasons for relief: N/A ํ ์ฌ ๋ช : SNT๋ชจํฐ๋ธ์ฃผ์ํ์ฌ ๋ ํ ์ด ์ฌ : ๊ถ ํ ์ ๋ณธ ์ ์ ์ฌ ์ง : ๋ถ์ฐ๊ด์ญ์ ๊ธฐ์ฅ๊ตฐ ์ฒ ๋ง๋ฉด ์ฌ๋ฝ์ก์ ๋ก 363 (์ ํ) 051-509-2590 (ํํ์ด์ง) http://www.sntmotiv.com ์ ์ฑ ์ฑ ์ ์ : (์ง ์ฑ ) ์ด์ฌ (์ฑ ๋ช ) ํ ์ ์ธ (์ ํ) 051-509-2590 DART dart.fss.or.kr Page 1
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ใConfirmation by CEO, etc.ใ I. Company Overview DART dart.fss.or.kr Page 2
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1. Company overview ๊ฐ. ํ์ฌ์ ๋ฒ์ ยท์์ ์ ๋ช ์นญ ํ์ฌ์ ๋ช ์นญ์ SNT๋ชจํฐ๋ธ์ฃผ์ํ์ฌ๋ผ๊ณ ํ๊ธฐํฉ๋๋ค. ํ๊ธ๋ก๋ ์์ค์คํฐ๋ชจํฐ๋ธ์ฃผ์ํ์ฌ๋ผ ํ๊ณ , ์๋ฌธ์ผ๋ก๋ SNT MOTIV CO., LTD. (์ฝํธ SNT MOTIV)๋ก ํ๊ธฐํฉ๋๋ค. ๋. ์ค๋ฆฝ์ผ์ ๋ฐ ์กด์๊ธฐ๊ฐ ๋น์ฌ๋ 2002๋ 2์ 6์ผ์๋ก ๋์ฐํต์ ์ฃผ์ํ์ฌ๋ก๋ถํฐ ์๋ฒ์ ์ธ์ ๋ถํ ๋ฐฉ์์ ์ํด๋ถํ ๋์ด ์ค๋ฆฝ๋์์ผ๋ฉฐ, 2002๋ 3์ 11์ผ์๋ก ํ๊ตญ์ฆ๊ถ์ ๋ฌผ๊ฑฐ๋์๊ฐ ๊ฐ์คํ ์ ๊ฐ์ฆ๊ถ์์ฅ์ ์ฌ์์ฅ ๋์์ต๋๋ค. 2006๋ 9์ 13์ผ์ ์ฃผ์ฃผ์ดํ์์ ํ์ฌ์ ์ํธ๊ฐ ๋์ฐ์ ๋ฐ์ฃผ์ํ์ฌ์์ S&T๋์ฐ์ฃผ์ํ์ฌ๋ก ๋ณ๊ฒฝ๋์๊ณ , 2012๋ 3์ 9์ผ์ ์ฃผ์ฃผ์ดํ์์ S&T๋์ฐ์ฃผ์ํ์ฌ์์ S&T๋ชจํฐ๋ธ์ฃผ์ํ์ฌ๋ก, 2021๋ 2์ 26์ผ์ ์ฃผ์ฃผ์ดํ์์S&T๋ชจํฐ๋ธ์ฃผ์ํ์ฌ์์ SNT๋ชจ ํฐ๋ธ์ฃผ์ํ์ฌ๋ก ๋ณ๊ฒฝ๋์์ต๋๋ค. ๋ค. ๋ณธ์ฌ์ ์ฃผ์, ์ ํ๋ฒํธ ๋ฐ ํํ์ด์ง ์ฃผ์ : ๋ถ์ฐ๊ด์ญ์ ๊ธฐ์ฅ๊ตฐ ์ฒ ๋ง๋ฉด ์ฌ๋ฝ์ก์ ๋ก 363 ์ ํ๋ฒํธ : 051-509-2114 ํํ์ด์ง : http://www.sntmotiv.com DART dart.fss.or.kr Page 3
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๋ผ. ์ฃผ์์ฌ์ ์ ๋ด์ฉ ์ง๋ฐฐํ์ฌ์ธ ๋น์ฌ๋ ์ง๋ 1981๋ ํ๊ตญํ ์ํ๊ธฐ๋ฅผ ์ ์กฐํ๋ ๋ฐฉ์์ฐ์ ์ ๋ชจํ๋ก ์ฌ์ ์ ์์ ํ์์ผ๋ฉฐ, ๋ฐฉ์์ฐ์ ์์ ์ถ์ ๋ ์ ๋ฐ๊ธฐ์ ์ ๊ธฐ๋ฐ์ผ๋ก ์๋์ฐจ๋ถํ์ฌ์ ์ ์ง์ถํ์ฌ ๊ตญ๋ด์ธ ์ ๋์ฐจ์ฐ์ ์ ์ค์ถ์ ์ธ ์ญํ ์ ๋ด๋นํ๊ณ ์์ต๋๋ค. ํ๋์๋์ฐจ, GM์ ํ์ด๋ธ๋ฆฌ๋, ์ ๊ธฐ์๋์ฐจ์ฉ ๋ชจํฐ๋ฅผ ๊ณต๊ธํ๊ณ ์๋ ๋ฐ, ํนํ ํ๋๊ธฐ์์๋ ์ฐจ์ ์ ๊ธฐ์ฐจ, ํ์ด๋ธ๋ฆฌ๋์ฐจ ๋ฐ ์์์ฐ๋ฃ์ ์ง์ฐจ ๋ฑ ์นํ๊ฒฝ์ฐจ๋ค์ ์ฃผ๋๋ ฅ์์ธ ๊ตฌ๋๋ชจํฐ ํต์ฌ ๋ถํ์ ์์ ์ ์ผ๋ก ๊ณต๊ธํ๊ณ ์์ผ๋ฉฐ, GM ์ ๊ธฐ์ฐจ์ ๋ด์ฐ๊ธฐ๊ด ์น์ฉ์ฐจ์์์ง๊ณผ ๋ณ์๊ธฐ์ ํด๋น ํ๋ ํต์ฌ๋ถํ์ธ ๋๋ผ์ด๋ธ์ ๋์ ๊ณต๊ธํ์ต๋๋ค. ๋ํ ์ํ๊ธฐ ์์ฃผ์ ๋ฐฉ์ฐํ์ ์์ฐํ์ฌ ๋ฐฉ ์์ฌ์ ์ฒญ ๋ฑ์ ๋ด์๋ฌผ๋๊ณผ ํด์ธ์์ถ๋ ๋ณํํ๊ณ ์์ต๋๋ค. ์ฐ๊ฒฐ๋์ ์ข ์ํ์ฌ์ ํฌํจ๋ ํ์ฌ๋ค์ด ์์ํ๋ ์ฌ์ ์ ์ฐจ๋๋ถํ ๋ฑ์ด ์์ต๋๋ค. ๋น์ฌ ๋ฐ ์ฐ๊ฒฐํ์ฌ์ ์ฌ์ ๋ถ๋ฌธ๋ณ ์์ธํ ์ฌํญ์ "โ ก. ์ฌ์ ์ ๋ด์ฉ"์ ์ฐธ๊ณ ํ์๊ธฐ ๋ฐ๋๋๋ค. ๋ง. ์ฐ๊ฒฐ๋์ ์ข ์ํ์ฌ ํํฉ(์์ฝ) โป ์ฃผ์์ข ์ํ์ฌ ์ฌ๋ถ๋ ์ต๊ทผ์ฐ๋๋ง ์์ฐ์ด์ก์ด ์ง๋ฐฐํ์ฌ ์์ฐ์ด์ก์ 10%์ด์์ด๊ฑฐ๋ ์ต๊ทผ ์ฐ๋๋ง ์์ฐ์ด์ก์ด 750์ต์ ์ด์์ธ ์ข ์ํ์ฌ๋ฅผ ๋์์ผ๋ก ํ์์ต๋๋ค. (Unit: company) Category Number of subsidiaries subject to consolidation Number of major subsidiaries Beginning of the period Increase Decrease End of the period Listed 0 0 0 0 0 Unlisted 8 1 0 9 0 Total 8 1 0 9 0 โ Move to detailed table DART dart.fss.or.kr Page 4
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๋ฐ. ์ฐ๊ฒฐ๋์ํ์ฌ์ ๋ณ๋๋ด์ฉ ์ฌ. ์ค์๊ธฐ์ ๋ฑ ํด๋น ์ฌ๋ถ โป ๋น์ฌ๋ใ์ค๊ฒฌ๊ธฐ์ ์ฑ์ฅ์ด์ง ๋ฐ ๊ฒฝ์๋ ฅ ๊ฐํ์ ๊ดํ ํน๋ณ๋ฒใ์ 2์กฐ์ ๋ฐ๋ฅธ ์ค๊ฒฌ๊ธฐ์ ์ ๋ ๋ค. ์. ํ์ฌ์ ์ฃผ๊ถ์์ฅ(๋๋ ๋ฑ๋กใ์ง์ )์ฌ๋ถ ๋ฐ ํน๋ก์์ฅ์ ๊ดํ ์ฌํญ Category Subsidiary company Reason for report Newly consolidated (์ฃผ)SNT๋ก๋ณดํฑ์ค ์ง๋ถ์ทจ๋ - - Excluded from consolidation - - - - Whether applicable to small and medium-sized enterprises Non-applicable Whether a venture business Non-applicable Whether applicable to middle-standing enterprises Applicable Stock listing (or registration/designation) status Stock listing (or registration/designation) date Special listing type KOSPI market listed 2002.03.11 N/A DART dart.fss.or.kr Page 5
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์. ์ ์ฉํ๊ฐ์ ๊ดํ ์ฌํญ ๋น์ฌ๋ ๋งค๋ ์ ์ฉํ๊ฐ ์ ๋ฌธ๊ธฐ๊ด์ผ๋ก๋ถํฐ ํ๊ฐ๋ฅผ ๋ฐ๊ณ ์์ผ๋ฉฐ, ์ต๊ทผ 3๊ฐ๋ ์ ๊ธฐ ์ ์ฉํ๊ฐ ๋ด ์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. โก ๊ธฐ์ ์ ์ฉ๋ฑ๊ธ์ ์ ์ <์ดํฌ๋ ๋๋ธ> โป ๋นํด ๋ฑ๊ธ๋ด ์๋์ ์ฐ์ด์ ๋ฐ๋ผ + ๋๋ - ๋ฅผ ๋ถ๊ธฐํ ์ ์์ต๋๋ค. ํ๊ฐ์ผ ๊ธฐ์ ์ ์ฉํ๊ฐ๋ฑ๊ธ ํ๊ฐํ์ฌ 2026.03.25 AA- ์ดํฌ๋ ๋๋ธ 2025.03.30 AA- ์ดํฌ๋ ๋๋ธ 2024.03.30 AA- ์ดํฌ๋ ๋๋ธ ๋ฑ๊ธ ๋ฑ๊ธ์ ์ AAA ์ฑ๋ฌด์ดํ ๋ฅ๋ ฅ์ด ์ต๊ณ ์ฐ๋ํ ์์ค์. AA ์ฑ๋ฌด์ดํ ๋ฅ๋ ฅ์ด ๋งค์ฐ ์ฐ๋ํ๋, AAA ๋ณด๋ค๋ ๋ค์ ์ด์ํ ์์๊ฐ ์์. A ์ฑ๋ฌด์ดํ ๋ฅ๋ ฅ์ด ์ฐ๋ํ๋, ์์๋ฑ๊ธ์ ๋นํด ๊ฒฝ๊ธฐ์นจ์ฒด ๋ฐ ํ๊ฒฝ๋ณํ์ ์ํฅ์ ๋ฐ๊ธฐ ์ฌ์. BBB ์ฑ๋ฌด์ดํ ๋ฅ๋ ฅ์ด ์ํธํ๋, ์ฅ๋๊ฒฝ๊ธฐ์นจ์ฒด ๋ฐ ํ๊ฒฝ๋ณํ์ ๋ฐ๋ผ ์ฑ๋ฌด์ดํ ๋ฅ๋ ฅ์ด ์ ํ ๋ ๊ฐ๋ฅ์ฑ์ด ๋ดํฌ๋์ด ์์. BB ์ฑ๋ฌด์ดํ ๋ฅ๋ ฅ์ ๋ฌธ์ ๊ฐ ์์ผ๋, ๊ฒฝ์ ์ฌ๊ฑด ๋ฐ ์์ฅํ๊ฒฝ ๋ณํ์ ๋ฐ๋ผ ๊ทธ ์์ ์ฑ๋ฉด์์๋ ํฌ๊ธฐ์ ์ธ ์์๊ฐ ๋ดํฌ๋์ด ์์. B ์ฑ๋ฌด์ดํ ๋ฅ๋ ฅ์ด ์์ผ๋, ์ฅ๋์ ๊ฒฝ์ ํ๊ฒฝ ์ ํ์ ์ฑ๋ฌด๋ถ์ดํ ๊ฐ๋ฅ์ฑ์ด ์์ด ๊ทธ ์์ ์ฑ๋ฉด์์ ํฌ๊ธฐ์ ์. CCC ํ์ฌ์์ ์์ ์ฑ๋ฌด๋ถ์ดํ์ด ๋ฐ์ํ ๊ฐ๋ฅ์ฑ์ ๋ดํฌํ๊ณ ์์ด ๋งค์ฐ ํฌ๊ธฐ์ ์. CC ์ฑ๋ฌด๋ถ์ดํ์ด ๋ฐ์ํ ๊ฐ๋ฅ์ฑ์ด ๋์. C ์ฑ๋ฌด๋ถ์ดํ์ด ๋ฐ์ํ ๊ฐ๋ฅ์ฑ์ด ๋งค์ฐ ๋์. D ํ์ฌ ์ฑ๋ฌด๋ถ์ดํ ์ํ์ ์์. DART dart.fss.or.kr Page 6
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2. Company history ๊ฐ. ์ํธ์ ๋ณ๊ฒฝ (1) SNT๋ชจํฐ๋ธ์ฃผ์ํ์ฌ ์ํธ ๋ณ๊ฒฝ (2) ์ฃผ์ ์ข ์ํ์ฌ์ ์ํธ ๋ณ๊ฒฝ - ํด๋น์ฌํญ ์์ ๋. ๋ณธ์ ์์ฌ์ง ๋ฐ ๊ทธ ๋ณ๊ฒฝ ๋น์ฌ๋ ๋ณธ์ ์์ฌ์ง๋ฅผ '๋ถ์ฐ๊ด์ญ์ ๊ธฐ์ฅ๊ตฐ ์ฒ ๋ง๋ฉด ์ฌ๋ฝ์ก์ ๋ก 363'์ ๋๊ณ ์์ผ๋ฉฐ ๋ณ๊ฒฝ์ฌํญ ์ ์์ต๋๋ค. ๋ณ๊ฒฝ์ผ์ ๋ณ๊ฒฝ์ ์ํธ ๋ณ๊ฒฝํ ์ํธ ๋น๊ณ 2006.09.13 ๋์ฐ์ ๋ฐ ์ฃผ์ํ์ฌ S&T๋์ฐ ์ฃผ์ํ์ฌ - 2012.03.09 S&T๋์ฐ ์ฃผ์ํ์ฌ S&T๋ชจํฐ๋ธ ์ฃผ์ํ์ฌ - 2021.02.26 S&T๋ชจํฐ๋ธ ์ฃผ์ํ์ฌ SNT๋ชจํฐ๋ธ ์ฃผ์ํ์ฌ - DART dart.fss.or.kr Page 7
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๋ค. ์ค์ํ ์ฐํ ํ์ฌ ๋ ์ง ํ์ฌ์ ์ฐํ SNT๋ชจํฐ๋ธ(์ฃผ) 2006.06 2006.09 2006.09 2006.09 2007.01 2007.06 2007.12 2008.06 2010.01 2011.01 2012.03 2013.09 2013.11 2014.03 2014.04 2016.03 2016.09 2016.11 2019.03 2019.03 2019.04 2019.11 2020.02 2021.02 2021.07 2022.02 2022.11 2023.12 2024.05 2024.05 2024.07 2024.10 2025.01 2025.06 2026.03 : S&T์ปจ์์์๊ณผ ์ฃผ์์์๋๊ณ์ฝ ์ฒด๊ฒฐ : S&T์ปจ์์์๊ณผ ์ฃผ์์์๋๊ณ์ฝ ์ข ๊ฒฐ : S&T๋์ฐ์ฃผ์ํ์ฌ๋ก ์ฌ๋ช ๋ณ๊ฒฝ : ๊ธฐ์ ๊ฐ์ ์์ ์ข ๋ฃ : ์ค๊ตญ ๊ด์ฃผS&T์ค๊ณต์ ํ๊ณต์ฌ ์ธ์ : ํด๋๋๋ฒ์ธ S&T Polska SP. Zo.o. ์ค๋ฆฝ : ์ค๊ตญ๋ฒ์ธ S&T๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ ์ค๋ฆฝ : ์ธ๋๋ฒ์ธ S&T Daewoo India Private Ltd ์ค๋ฆฝ : ๋ฉ์์ฝ๋ฒ์ธ S&T Automotive Mexico ์ค๋ฆฝ : S&T๋ชจํฐ์ค(์ฃผ) ์ง๋ถ(31.5%) ์ธ์ ์ํ์ฌ ํธ์ : S&T๋ชจํฐ๋ธ์ฃผ์ํ์ฌ๋ก ์ฌ๋ช ๋ณ๊ฒฝ : ๋ฏธ๊ตญ๋ฒ์ธ S&T Motiv America Co. ์ค๋ฆฝ : (์ฃผ)S&TC ์ง๋ถ (50.7%) ์ธ์ ์ํ์ฌ ํธ์ : S&T๋ชจํฐ์ค(์ฃผ) ์ง๋ถ(32.1%) ๋งค๊ฐ ์ํ์ฌ์์ ์ ์ธ : ๋ฏธ๊ตญ๋ฒ์ธ S&T Motiv America Co.์ ์ํ์ฌ์ธ S&T Automotive America, LLC ์ค๋ฆฝ : ๋ํ์ด์ฌ ๋ณ๊ฒฝ(๋ณ๊ฒฝ์ : ๊นํ๊ถ, ๋ณ๊ฒฝํ : ์ ๊ธฐ์ค) : S&T์ ์ฅ(์ฃผ)์ ํฉ๋ณ ๊ฒฐ์(์๊ท๋ชจํฉ๋ณ) : S&T์ ์ฅ(์ฃผ)์ ํฉ๋ณ ์๋ฃ : (์ฃผ)S&TC ์ง๋ถ(55.6%) ๋งค๊ฐ ์ํ์ฌ์์ ์ ์ธ : ๋ฉ์์ฝ๋ฒ์ธ S&T Automotive Mexico ์ฒญ์ฐ์ผ๋ก ์ํ์ฌ์์ ์ ์ธ : ๊ด์ฃผS&T์ค๊ณต์ ํ๊ณต์ฌ ์ง๋ถ๋งค๊ฐ ์ํ์ฌ์์ ์ ์ธ : ๋ํ์ด์ฌ ๋ณ๊ฒฝ(๋ณ๊ฒฝ์ : ์ ๊ธฐ์ค, ๋ณ๊ฒฝํ : ๊นํ์ฒ ) : ๋ฏธ๊ตญ๋ฒ์ธ S&T Motiv America Co.์ ์ํ์ฌ์ธ S&T Automotive America, LLC ์ฒญ์ฐ : SNT๋ชจํฐ๋ธ์ฃผ์ํ์ฌ๋ก ์ฌ๋ช ๋ณ๊ฒฝ : ๋ฏธ๊ตญ๋ฒ์ธ SNT Motiv America Co. ์ฒญ์ฐ์ผ๋ก ์ํ์ฌ์์ ์ ์ธ : ๋ํ์ด์ฌ ๋ณ๊ฒฝ(๋ณ๊ฒฝ์ : ๊นํ์ฒ , ๋ณ๊ฒฝํ : ์ต๊ด์) : ๋ํ์ด์ฌ ๋ณ๊ฒฝ(๋ณ๊ฒฝ์ : ์ต๊ด์, ๋ณ๊ฒฝํ : ๊ถํ์) : ํด๋๋๋ฒ์ธ SNT Polska SP. Zo.o. ์ง๋ถ๋งค๊ฐ ์ํ์ฌ์์ ์ ์ธ : ๋ฏธ๊ตญ๋ฒ์ธ SNT USA LTD ์ค๋ฆฝ ์ํ์ฌ ํธ์ : ๋ฏธ๊ตญ๋ฒ์ธ SNT USA LTD์ ์ํ์ฌ์ธ SNT Defense LLC ์ค๋ฆฝ : ๋ฏธ๊ตญ๋ฒ์ธ SNT USA LTD์ ์ํ์ฌ์ธ SNT Property LLC ์ค๋ฆฝ : ์ธ๋๋ฒ์ธ SNT Motiv India Private LTD ์ค๋ฆฝ ์ํ์ฌ ํธ์ : ๋ฌด์์ฆ์(100%, ์ฆ์์ฃผ์์ 11,917,136(์๊ธฐ์ฃผ์์ ์ธ) / ๋ฌด์์ฆ์ํ ๋ฐํ์ฃผ์ ์ด์ 26,540,272์ฃผ) : ๋ฏธ๊ตญ๋ฒ์ธ SNT GLOBAL INC ์ง๋ถ์ทจ๋์ผ๋ก ์ํ์ฌ ํธ์ : (์ฃผ)SNT๋ก๋ณดํฑ์ค ์ง๋ถ์ทจ๋์ผ๋ก ์ํ์ฌ ํธ์ DART dart.fss.or.kr Page 8
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๋ผ. ๊ฒฝ์์ง ๋ฐ ๊ฐ์ฌ์ ์ค์ํ ๋ณ๋ โป 2026๋ 04์ 30์ผ ์์์ฃผ์ฃผ์ดํ์์ ํ์๋ณด ๊ฐ์ฌ๊ฐ ์ ๊ท ์ ์๋์์ต๋๋ค. โป 2026๋ 07์ 24์ผ ๊นํ์ญ ์ฌ๋ด์ด์ฌ๊ฐ ์ผ์ ์์ ์ด์ ๋ก ์ฌ์ํ์์ต๋๋ค. SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด (๊ณค์ฐ)์ ํ๊ณต์ฌ 2007.12 2009.04 2009.11 2010.02 2011.05 2011.07 2012.06 2013.05 2014.11 2015.09 2016.03 2017.06 2017.07 2017.09 2017.10 2018.12 2018.12 2019.08 2021.02 2022.03 2023.09 2024.09 2025.06 2025.12 : ๊ณค์ฐ๋ฒ์ธ S&TDaewoo(kunshan) Factory ์ค๋ฆฝ : SOP of shock Absorber (Delta Project) : ISO 14001 ์ธ์ฆ : TS16949 ์ธ์ฆ, SAP system ๊ตฌ์ถ : SOP of S/A & Cluster(Gamma Project) : SOP of RSE(DPCA W23 Project) : SOP of PAB & S/A(GSUV Project) : SOP of AVR(Stellantis) : SOP of Oil Pump(GF6 ATM) : ๊ณค์ฐ๋ฒ์ธ S&T Daewoo (Kunshan) Factory ์ฑ๋ ๋ถ๊ณต์ฌ ์ค๋ฆฝ : S&T Daewoo(Kunshan) ์ฐ๊ตฌ์ ์ค๋ฆฝ : SOP of NGC Oil pump (VDOP, Engine) : SOP of MDPS (Motor) : SOP of GFE (Aux Pump) : SOP of HSG (Motor) : SOP of D20 (VDOP, Engine) : SOP of CVT 250 (T/M Oil Pump) : ์ฒญ๋S&T์ค๊ณต์ ํ๊ณต์ฌ์ ํฉ๋ณ : SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ๋ก ์ฌ๋ช ๋ณ๊ฒฝ : SOP of GS61 Oil Pump(VDOP, Engine) : SOP of DAE AR850 Oil Pump(T/M Oil Pump) : SOP of CIE Sunroof Motor : SOP of Rotor Ass'y(MDPS, EOP) : SOP of Rotor Ass'y(HSG) Date of change Type of shareholdersโ meeting Appointment Expiration of term or dismissalNew Reappointment 2026.04.30 Extraordinary General Shareholdersโ Meeting ๊ฐ์ฌ ํ์๋ณด - - 2025.02.28 Ordinary General Shareholdersโ Meeting ์ฌ๋ด์ด์ฌ ๊นํ์ญ ๋ ๋ฆฝ์ด์ฌ ํ ์ฐ ์ฌ๋ด์ด์ฌ ๊น๋ํ - 2024.02.29 Ordinary General Shareholdersโ Meeting ๊ฐ์ฌ ํฉ๋์ ๋ํ์ด์ฌ ๊ถํ์ ๋ ๋ฆฝ์ด์ฌ ๋ฐ์ฐฝ์ ๊ฐ์ฌ ์กฐํ์ฑ DART dart.fss.or.kr Page 9
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๋ง. ํฉ๋ณ๋ฑ์ ํ ๊ฒฝ์ฐ ๊ทธ ๋ด์ฉ 2016๋ 9์ 1์ผ ์ด์ฌํ ๊ฒฐ์ ๋ฐ 2016๋ 9์ 5์ผ ํฉ๋ณ๊ณ์ฝ์ ์ํด 2016๋ 11์ 8์ผํฉ๋ณ๊ธฐ ์ค์ผ๋ก ํ์ฌ S&T์ ์ฅ(์ฃผ)๋ฅผ ํก์ํฉ๋ณํ์์ต๋๋ค. DART dart.fss.or.kr Page 10
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3. Changes in capital stock ๊ฐ. ์๋ณธ๊ธ ๋ณ๋์ถ์ด ๋น์ฌ์ ์ต๊ทผ 5๋ ๊ฐ ์๋ณธ๊ธ ๋ณ๋์ฌํญ์ ์๋์ ๊ฐ์ต๋๋ค. โป ๋น์ฌ๋ ์ฃผ์ฃผ์ด์ต ํ์๊ณผ ์ฃผ์ฃผ๊ฐ์น ์ ๊ณ ์ฐจ์์์ 2025๋ 1์ 14์ผ ์ด์ฌํ ๊ฒฐ์๋ฅผํตํด 2025๋ 1์ 31์ผ ๊ธฐ์ค ๋ณดํต์ฃผ 1์ฃผ๋น 1์ฃผ๋ฅผ ๋ฐฐ์ ํ๋ ์ผ๋์ผ ๋ฌด์์ฆ์๋ฅผ ๊ฒฐ์ํ์ต๋๋ค. ์ด๋ก ์ธํด ์ค๋น๊ธ์์ ์ ์ ๋ ์๋ณธ๊ธ์ 59,585,680,000์์ ๋๋ค. (๋จ์ : ์, ์ฃผ) ์ข ๋ฅ ๊ตฌ๋ถ 25๊ธฐ (2026๋ 6์๋ง) 24๊ธฐ (2025๋ ๋ง) 23๊ธฐ (2024๋ ๋ง) 22๊ธฐ (2023๋ ๋ง) 21๊ธฐ (2022๋ ๋ง) ๋ณดํต์ฃผ ๋ฐํ์ฃผ์์ด์ 26,540,272 26,540,272 14,623,136 14,623,136 14,623,136 ์ก๋ฉด๊ธ์ก 5,000 5,000 5,000 5,000 5,000 ์๋ณธ๊ธ 132,701,360,000 132,701,360,000 73,115,680,000 73,115,680,000 73,115,680,000 ํฉ๊ณ ์๋ณธ๊ธ 132,701,360,000 132,701,360,000 73,115,680,000 73,115,680,000 73,115,680,000 DART dart.fss.or.kr Page 11
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4. Total number of shares, etc. ๊ฐ. ์ฃผ์์ ์ด์ 2026๋ 06์ 30์ผ ํ์ฌ ๋ฐํํ ์ฃผ์์ ์ด์๋ 50,000,000์ฃผ์ด๋ฉฐ, ๋ฐํ์ฃผ์์ ์ด์๋ ๋ณดํต ์ฃผ 26,540,272์ฃผ์ ๋๋ค. (Record date: 2026.06.30 ) (Unit: shares, %) Category Type of shares Note ๋ณดํต์ฃผ ์ฐ์ ์ฃผ Total โ . Total Number of Shares to Be Issued - - 50,000,000 - โ ก. Total Number of Shares Issued to Date 26,540,272 2,984,350 29,524,622 - โ ข. Total Number of Shares Reduced to Date - 2,984,350 2,984,350 - 1. Capital reduction - - - - 2. Retirement of earnings - - - - 3. Redemption of redeemable shares - - - - 4. Others - 2,984,350 2,984,350 ์ ํ๊ถํ์ฌ โ ฃ. Total Number of Shares Issued (โ ก-โ ข) 26,540,272 - 26,540,272 - โ ค. Number of Treasury Stocks 2,706,000 - 2,706,000 - โ ฅ. Number of Outstanding Shares (โ ฃ-โ ค) 23,834,272 - 23,834,272 - โ ฆ. Treasury Shareholding Ratio 10.20 - 10.20 - DART dart.fss.or.kr Page 12
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๋. ์๊ธฐ์ฃผ์ ์ทจ๋ใ์ฒ๋ถ ํํฉ - ์๊ธฐ "๊ธฐ์ด์๋"์ ๊ธฐ์ค์ผ์ 2026๋ 1์ 1์ผ์ด๋ฉฐ, "๊ธฐ๋ง์๋"์ ๊ธฐ์ค์ผ์ 2026๋ 06์ 30์ผ ์ ๋๋ค. (Record date: 2026.06.30 ) (Unit: shares) Acquisition method Type of shares Beginning balance Change in quantity Closing balance NoteAcquisition (+) Disposal (-) Retirement (-) Acquisiti on within profits available for dividends Direct acquisiti on Direct acquisition on the exchange ๋ณดํต์ฃผ์ - - - - - - ๊ธฐํ์ฃผ์ - - - - - - Direct acquisition in OTC ๋ณดํต์ฃผ์ - - - - - - ๊ธฐํ์ฃผ์ - - - - - - Tender offer ๋ณดํต์ฃผ์ - - - - - - ๊ธฐํ์ฃผ์ - - - - - - Subtotal (a) ๋ณดํต์ฃผ์ - - - - - - ๊ธฐํ์ฃผ์ - - - - - - Acquisiti on by trust contract Number of shares indirectly held through trust contracts ๋ณดํต์ฃผ์ - - - - - - ๊ธฐํ์ฃผ์ - - - - - - Number of shares directly held ๋ณดํต์ฃผ์ 2,706,000 - - - 2,706,000 - ๊ธฐํ์ฃผ์ - - - - - - Subtotal (b) ๋ณดํต์ฃผ์ 2,706,000 - - - 2,706,000 - ๊ธฐํ์ฃผ์ - - - - - - Other acquisition (c) ๋ณดํต์ฃผ์ - - - - - - ๊ธฐํ์ฃผ์ - - - - - - Total (a+b+c) ๋ณดํต์ฃผ์ 2,706,000 - - - 2,706,000 - ๊ธฐํ์ฃผ์ - - - - - - DART dart.fss.or.kr Page 13
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๋ค. ์๊ธฐ์ฃผ์ ์ง์ ์ทจ๋ใ์ฒ๋ถ ์ดํํํฉ ๋น์ฌ์ ์ต๊ทผ 3๋ ๊ฐ ์๊ธฐ์ฃผ์ ์ง์ ์ทจ๋ใ์ฒ๋ถํํฉ์ ์์ต๋๋ค. ๋ผ. ์๊ธฐ์ฃผ์ ์ ํ๊ณ์ฝ ์ฒด๊ฒฐใํด์ง ์ดํํํฉ ๋น์ฌ์ ์ต๊ทผ 3๋ ๊ฐ ์๊ธฐ์ฃผ์ ์ ํ๊ณ์ฝ ์ฒด๊ฒฐใํด์งํํฉ์ ์๋์ ๊ฐ์ต๋๋ค. - ์๊ธฐ "๊ฒฐ๊ณผ๋ณด๊ณ ์ผ"์ ์ ํ๊ณ์ฝํด์ง์ ๋ฐ๋ฅธ ์๊ธฐ์ฃผ์ ์ ํ๊ณ์ฝ ํด์ง๊ฒฐ์ ๋ฐ ์ ํ๊ณ์ฝํด์ง ๊ฒฐ๊ณผ๋ณด๊ณ ์ ์ ์ถ์ผ์ ๋๋ค. - 2023๋ 11์ 8์ผ์ ์ฒด๊ฒฐํ ์ ํ๊ณ์ฝ๊ฑด์ ์ต์ด ์ข ๋ฃ์ผ์ด 2024๋ 5์ 7์ผ ์ด์์ผ๋ 2024๋ 5์ 3์ผ ์ด์ฌํ์์ 2024๋ 6์ 14์ผ๊น์ง๋ก, 2024๋ 6์ 13์ผ ์ด์ฌํ์์ 2024๋ 7์ 15์ผ๊น์ง๋ก ์ฐ์ฅ๊ฒฐ์ ํ์์ต๋๋ค. (๊ธฐ์ค์ผ : 2026๋ 06์ 30์ผ ) (๋จ์ : ๋ฐฑ๋ง์, %, ํ) ๊ตฌ ๋ถ ๊ณ์ฝ๊ธฐ๊ฐ ๊ณ์ฝ๊ธ์ก(A) ์ทจ๋๊ธ์ก(B) ์ดํ๋ฅ (B/A) ๋งค๋งค๋ฐฉํฅ ๋ณ๊ฒฝ ๊ฒฐ๊ณผ๋ณด๊ณ ์ผ ์์์ผ ์ข ๋ฃ์ผ ํ์ ์ผ์ ์ ํ ํด์ง 2024๋ 09์ 02์ผ 2025๋ 03์ 01์ผ 10,000 9,983 99.83 0 - 2025๋ 02์ 28์ผ ์ ํ ํด์ง 2023๋ 11์ 08์ผ 2024๋ 07์ 15์ผ 50,000 49,997 99.99 0 - 2024๋ 07์ 15์ผ DART dart.fss.or.kr Page 14
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๋ง. ์๊ธฐ์ฃผ์ ๋ณด์ ํํฉ 1. ์๊ธฐ์ฃผ์ ๋ณด์ ํํฉ โป ์๊ธฐ ์๊ฐ๊ธฐํ์ ๊ฐ์ ์๋ฒ ์ 341์กฐ์4 ๋ฐ ๊ด๋ จ ๊ฒฝ๊ณผ๊ท์ ์ ๋ฐ๋ฅธ ๊ธฐํ์ ๊ธฐ์ฌํ ๊ฒ์ ๋ ๋ค. โป ์ด์ฌํ ๊ฒฐ์์ผ ํ์ฌ ๋น์ฌ๊ฐ ๋ณด์ ํ๊ณ ์๋ ์๊ธฐ์ฃผ์ 2,706,000์ฃผ์ ๋ํ ์ฒ๋ถ๊ณผ ๊ด๋ จ๋ ์ ํจํ ๊ณ์ฝ์ ์์ต๋๋ค. โป ์๊ธฐ์ฃผ์๋ณด์ ใ์ฒ๋ถ๊ณํ์ ๋ํ ์ฃผ์ฃผ์ดํ ์น์ธ ์๋ฌด๋ฅผ ๊ท์ ํ ๊ฐ์ ์๋ฒ ์ 341์กฐ์4๋ 2026๋ 3์ 6์ผ๋ถํฐ ์ํ๋์์ผ๋ฉฐ, ๋น์ฌ์ ์ 24๊ธฐ ์ ๊ธฐ์ฃผ์ฃผ์ดํ๋ ๋๋ฒ ์ํ์ผ ์ ์ธ 2026๋ 2์ 27์ผ ๊ฐ์ต๋์์ต๋๋ค. ์ด์ ๋ฐ๋ผ ์ด์ฌํ ๊ฒฐ์์ผ ํ์ฌ ์ฃผ์ฃผ์ดํ์ ์น์ธ์ ๋ฐ์ ์๊ธฐ์ฃผ์๋ณด์ ใ์ฒ๋ถ๊ณํ์ ์์ต๋๋ค. ํฅํ ๋น์ฌ๋ ๊ด๋ จ ๊ฒฝ๊ณผ๊ท์ ์ ๋ฐ๋ผ ๋ณด์ ์ค์ธ ์๊ธฐ์ฃผ์ ์ ๋ํด ์๊ธฐ์ฃผ์์ ๋ณด์ ยท์ทจ๋ ๋๋ ์๊ฐยท์ฒ๋ถ ๊ณํ ๋ฐ ๊ทธ ์ฌ์ ๋ฅผ ์๊ธฐ์ฃผ์ ๋ณด์ ยท์ฒ๋ถ๊ณํ์ ์ ๋ช ์ํ์ฌ ๋งค๋ ์ฃผ์ฃผ์ดํ์์ ์น์ธ์ ๋ฐ์ ์์ ์ ๋๋ค. (Record date: 2026.06.30 ) (Unit: shares, %) Category Type of shares Number of shares held Ratio to total issued shares Purpose of acquisition Year of acquisition Retirement deadline Retention/disposal plan approval details NoteDate of approval Expected retention/dis posal period Purpose of retention/dis posal Acquisition within profits available for dividends Directly held ๋ณดํต์ฃผ 199,169 0.75 ์ฃผ๊ฐ์์ ๋ฐ ์ฃผ ์ฃผ๊ฐ์น ์ ๊ณ 2018๋ 2027๋ - - - - ๋ณดํต์ฃผ 447,131 1.69 ์ฃผ๊ฐ์์ ๋ฐ ์ฃผ ์ฃผ๊ฐ์น ์ ๊ณ 2019๋ 2027๋ - - - - ๋ณดํต์ฃผ 67,478 0.25 ์ฃผ๊ฐ์์ ๋ฐ ์ฃผ ์ฃผ๊ฐ์น ์ ๊ณ 2020๋ 2027๋ - - - - ๋ณดํต์ฃผ 679,298 2.56 ์ฃผ๊ฐ์์ ๋ฐ ์ฃผ ์ฃผ๊ฐ์น ์ ๊ณ 2022๋ 2027๋ - - - - ๋ณดํต์ฃผ 1,101,210 4.15 ์ฃผ๊ฐ์์ ๋ฐ ์ฃผ ์ฃผ๊ฐ์น ์ ๊ณ 2024๋ 2027๋ - - - - ๋ณดํต์ฃผ 211,714 0.80 ์ฃผ๊ฐ์์ ๋ฐ ์ฃผ ์ฃผ๊ฐ์น ์ ๊ณ 2025๋ 2027๋ - - - - Held through trust - - - - - - - - - - - - - - - - - - - - Other acquisition - - - - - - - - - - - - - - - - - - - - Total ๋ณดํต์ฃผ 2,706,000 10.20 - - - DART dart.fss.or.kr Page 15
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2. ์๊ธฐ์ฃผ์ ์ทจ๋ใ์ฒ๋ถใ์๊ฐ ๊ด๋ จ ๋จ๊ธฐ ๊ณํ โป ๋ฐ๊ธฐ๋ณด๊ณ ์ ์ ์ถ์ผ ํ์ฌ ์๋ณธ์์ฅ๋ฒ ์ํ๋ น ์ 176์กฐ์2 ์ 6ํญ์ ๋ฐ๋ฅธ ์ด์ฌํ ์น์ธ์(์น ์ธ์ผ : 26.08.12) ๋ฐ์ ์๊ธฐ์ฃผ์๋ณด๊ณ ์์ ์๊ธฐ์ฃผ์ ์ทจ๋ยท์ฒ๋ถยท์๊ฐ ๊ด๋ จ ๋จ๊ธฐ ๊ณํ์ ์์ต๋ ๋ค. 3. ์๊ธฐ์ฃผ์ ์ทจ๋ใ์ฒ๋ถใ์๊ฐ ๋จ๊ธฐ ๊ณํ ์ดํ ํํฉ โป ์ ๊ธฐ ์ฌ์ ๋ณด๊ณ ์ ์ ์ฒจ๋ถ๋ ์๋ณธ์์ฅ๋ฒ ์ํ๋ น ์ 176์กฐ์2 ์ 6ํญ์ ๋ฐ๋ฅธ ์ด์ฌํ ์น์ธ์ ๋ฐ์ ์๊ธฐ์ฃผ์๋ณด๊ณ ์ ์ ์๊ธฐ์ฃผ์ ์ทจ๋ยท์ฒ๋ถยท์๊ฐ ๋จ๊ธฐ ๊ณํ์ ์์์ต๋๋ค. (Record period: 2026.01.01 ~ 2026.12.31 ) (Unit: shares, %) Category Holding method Type of shares Acquisition purpose Transaction method Number of shares Ratio to total issued shares Reason(s) Acquisition - - - - - - - - - - - - - - Disposal - - - - - - - - - - - - - - Retirement - - - - - - - - - - - - - - Hold in treasury Acquisition within profits available for dividends- Directly held Common stock ์ฃผ๊ฐ์์ ๋ฐ ์ฃผ์ฃผ๊ฐ์น ์ ๊ณ ํด๋น์ฌํญ ์์ 2,706,000 10.20 ๋น์ฌ๋ ๊ด๋ จ ๊ฒฝ๊ณผ๊ท์ ์ ๋ฐ๋ผ ํฅํ ์๊ธฐ์ฃผ์์ ๋ณด ์ ยท์ทจ๋ ๋๋ ์๊ฐยท์ฒ๋ถ ๊ณํ ๋ฐ ๊ทธ ์ฌ์ ๋ฅผ ์๊ธฐ์ฃผ ์ ๋ณด์ ยท์ฒ๋ถ๊ณํ์์ ๋ช ์ํ์ฌ ๋งค๋ ์ฃผ์ฃผ์ดํ์์ ์น์ธ ๋ฐ์ ์์ ์ ๋๋ค. - - - - - - - (Record period: 2026.01.01 ~ 2026.06.30 ) (Unit: shares, %) Category Holding method Type of shares Planned number of shares in the previous report (A) Number of shares executed in the current half year (B) Fulfillment rate (B/A) Reason(s) for discrepancy, if any Acquisition - - - - - - - - - - - - Disposal - - - - - - - - - - - - Retirement - - - - - - - - - - - - Hold in treasury Acquisition within profits available for dividends- Directly held Common stock 2,706,000 2,706,000 100 - - - - - - - DART dart.fss.or.kr Page 16
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โป ๋ณด์ ์ค์ธ ์๊ธฐ์ฃผ์์ ๊ฐ์ ์๋ฒ ์ 341์กฐ์4 ๋ฐ ๊ฒฝ๊ณผ๊ท์ ์ ๋ฐ๋ผ ์๊ฐ๊ธฐํ์ด 2027๋ 9์ ๊น์ง ์ ์๋ ์๊ธฐ์ฃผ์์ ๋๋ค. DART dart.fss.or.kr Page 17
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4. ์๊ธฐ์ฃผ์ ์ทจ๋ใ์ฒ๋ถใ์๊ฐ ๊ด๋ จ ์ฅ๊ธฐ ๊ณํ ๋ณด๊ณ ์ ๊ธฐ์ค์ผ ํ์ฌ ์ด์ฌํ ์น์ธ์ ๋ฐ์ ์ค์ฅ๊ธฐ ๊ณํ์ ์์ผ๋, ๋น์ฌ๋ ๊ฐ์ ์๋ฒ ๋ถ์น์ ๋ฐ ๋ผ ๋ณด์ ์๊ธฐ์ฃผ์์ ์ฒ๋ฆฌํ ์์ ์ ๋๋ค. ๋น์ฌ๋ ๋ณด์ ํ ์๊ธฐ์ฃผ์์ ๊ฐ์ ์๋ฒ ์ํ์ผ ์ด์ ์ ์ทจ๋ํ ๋ถ์ด๋ฏ๋ก, ์๋ฒ์ 2027๋ 9์ 5์ผ๊น์ง ๋ค์ ์ค ํ๋์ ๋ฐฉ๋ฒ์ผ๋ก ์ฒ๋ฆฌํด์ผ ํจ์ ์ธ์ง ํ๊ณ ์์ต๋๋ค. โ ์๊ฐ, ์ธ์ฌ ํ๋ณด ๋ฐ ์์ง์ ๋ณด์์ฌ์ ํ์ฉ โก ๋ฒ๋ น์ ๋ฐ๋ฅธ ์ฒ๋ถ ๋๋ ์ฃผ์ฃผ์ดํ๋ฅผ ํตํ ์๊ธฐ์ฃผ์ ๋ณด์ ยท์ฒ๋ถ๊ณํ ์น์ธ ๊ตฌ์ฒด์ ์ธ ์ฒ๋ฆฌ ๋ฐฉํฅ ๋ฐ ์ธ๋ถ ์ผ์ ์ ํฅํ ์ด์ฌํ ๊ฒฐ์๋ฅผ ๊ฑฐ์ณ ํ์ ํ ๊ณํ์ด๋ฉฐ, ๊ฒฐ์ ์ฆ์ ์ ์ฅ์ ๊ณต์ํ ์์ ์ ๋๋ค. 5. ๊ธฐํ ํฌ์์ ๋ณดํธ๋ฅผ ์ํด ํ์ํ ์ฌํญ ๋น์ฌ๋ ์๊ธฐ์ฃผ์์ ๋ณด์ ๋ฐ ํ์ฉ๊ณผ ๊ด๋ จํ์ฌ ๊ด๋ จ ๋ฒ๋ น ๋ฐ ๋ด๋ถ ๊ท์ ์ ์ค์ํ๊ณ ์์ต๋๋ค. ์๊ธฐ์ฃผ์๊ณผ ๊ด๋ จ๋ ์ค์ํ ์์ฌ๊ฒฐ์ ์ด ์ด๋ฃจ์ด์ง ๊ฒฝ์ฐ ๊ด๋ จ ๋ฒ๊ท์ ๋ฐ๋ผ ์ ์์ ๊ณต์ํ์ฌ ํฌ ์์์ ์ ๋ณด ์ ๊ทผ์ฑ์ ์ ๊ณ ํ ์์ ์ ๋๋ค. . ๋ฐ. ์ข ๋ฅ์ฃผ์(์ฐ์ ์ฃผ) ๋ฐํํํฉ - ๋น์ฌ๋ ์ค๋ฆฝ ์ดํ ์ํ์ ํ์ฐ์ ์ฃผ 2,984,350์ฃผ๋ฅผ ๋ฐํํ์๊ณ ๋นํด ์ฐ์ ์ฃผ์์ ์ ๋ ๋ง๊ธฐ์ผ์ ๋ณดํต์ฃผ๋ก ์ ํ์ฒญ๊ตฌ๋์ด ๋ณธ ๋ณด๊ณ ์ ์ ์ถ์ผ ํ์ฌ ์ข ๋ฅ์ฃผ์(์ฐ์ ์ฃผ)์ ์์ต๋๋ค. ์ ํ๊ถํ์ฌ ๋ด์ญ์ ์๋์ ๊ฐ์ต๋๋ค. Exercise date Number of converted class shares (shrs.) Number of converted common stock (shrs.) 2012.12.18 2,764,600 2,764,600 2016.08.04 219,750 219,750 DART dart.fss.or.kr Page 18
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5. Matters related to the articles of incorporation ๊ฐ. ์ ๊ด ๋ณ๊ฒฝ ์ด๋ ฅ ๋น์ฌ์ ์ต๊ทผ ์ ๊ด ๊ฐ์ ์ผ์ 2026๋ 2์ 27์ผ์ด๋ฉฐ, ์ต๊ทผ 3์ฌ์ ์ฐ๋ ์ ๊ด๋ณ๊ฒฝ์ด๋ ฅ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. Articles of incorporation change date Name of the relevant general meeting Major changes Reason for change 2026.02.27 ์ 24๊ธฐ ์ ๊ธฐ์ฃผ์ฃผ์ดํ ์ 24์กฐ <์์ง์ง์ ๊ฐ์ต๋ฐฉ์> โ ์ฃผ์ฃผ์ดํ๋ ๋ณธ์ ์์ฌ์ง์์ ๊ฐ์ตํ๋ ํ์์ ๋ฐ๋ผ ์ด์ ์ธ์ ์ง์ญ์์๋ ๊ฐ์ตํ ์ ์๋ค. โก ํ์ฌ๋ ์ดํ์ผ์ ์ฃผ์ฃผ๊ฐ ์์ง์ง์ ์ง์ ์ถ์ํ๋ ๋ฐฉ์์ผ๋ก ์ดํ๋ฅผ ๊ฐ์ตํ๋ค. ์ 30์กฐ <์๊ฒฐ๊ถ์ ๋๋ฆฌํ์ฌ> โ ์ฃผ์ฃผ๋ ๋๋ฆฌ์ธ์ผ๋ก ํ์ฌ๊ธ ๊ทธ ์๊ฒฐ๊ถ์ ํ์ฌํ๊ฒ ํ ์ ์๋ค. โก ์ 1ํญ์ ๋๋ฆฌ์ธ์ ์ฃผ์ฃผ์ดํ ๊ฐ์ ์ ์ ์์์ฅ ๋ฑ ๊ทธ ๋๋ฆฌ๊ถ์ ์ฆ๋ช ํ๋ ์๋ฉด ๋๋ ์ ์๋ฌธ์๋ฅผ ์ ์ถํ์ฌ ์ผ ํ๋ค. ์ 33์กฐ <์ด์ฌ์ ์> ํ์ฌ์ ์ด์ฌ๋ 3๋ช ์ด์ 7๋ช ์ด๋ด๋ก ํ๊ณ , ๋ ๋ฆฝ์ด์ฌ๋ ์ด์ฌ์ด์์ 3๋ถ์ 1 ์ด์์ผ๋ก ํ๋ค. ์ 36์กฐ <์ด์ฌ์ ๋ณด์ > โ ์ด์ฌ ์ค ๊ฒฐ์์ด ์๊ธด ๋์๋ ์ฃผ์ฃผ์ดํ์์ ์ด๋ฅผ ์ ์ํ๋ค. ๊ทธ๋ฌ๋ ์ด ์ ๊ด ์ 33์กฐ์์ ์ ํ๋ ์์๋ฅผ ๊ฒฐํ์ง ์๋ํ๊ณ ์ ๋ฌด ์ํ์ ์ง์ฅ์ด ์๋ ๊ฒฝ์ฐ์๋ ๊ทธ๋ฌํ์ง ์๋ํ๋ค. โก ๋ ๋ฆฝ์ด์ฌ๊ฐ ์ฌ์ยท์ฌ๋ง๋ฑ์ ์ฌ์ ๋ก ์ธํ์ฌ ์ ๊ด ์ 33์กฐ์์ ์ ํ๋ ์ด์ฌํ์ ๊ตฌ์ฑ์๊ฑด์ ๋ฏธ๋ฌํ๊ฒ ๋๋ฉด ๊ทธ ์ฌ์ ๊ฐ ๋ฐ์ํ ํ ์ต์ด๋ก ์์ง๋๋ ์ฃผ์ฃผ์ดํ์์ ๊ทธ ์๊ฑด์ ํฉ์น๋๋๋ก ๋ ๋ฆฝ์ด์ฌ๋ฅผ ์ ์ํ์ฌ์ผ ํ๋ค. ์ 39์กฐ์ 2 <์ด์ฌ, ๊ฐ์ฌ์ ํ์ฌ์ ๋ํ ์ฑ ์๊ฐ๊ฒฝ> โ ์ด ํ์ฌ๋ ์ฃผ์ฃผ์ดํ ๊ฒฐ์๋ก ์ด์ฌ ๋๋ ๊ฐ์ฌ์ ์๋ฒ ์ 399์กฐ์ ๋ฐ๋ฅธ ์ฑ ์์ ๊ทธ ํ์๋ฅผ ํ ๋ ์ด์ ์ต๊ทผ 1๋ ๊ฐ์ ๋ณด์์ก(์์ฌ๊ธ๊ณผ ์ฃผ์๋งค์์ ํ๊ถ์ ํ์ฌ๋ก ์ธํ ์ด์ต๋ฑ์ ํฌํจํ๋ค)์ 6๋ฐฐ(๋ ๋ฆฝ์ด์ฌ์ ๊ฒฝ์ฐ๋ 3๋ฐฐ)๋ฅผ ์ด๊ณผํ๋ ๊ธ์ก์ ๋ํ์ฌ ๋ฉด์ ํ ์ ์๋ค. โก ์ด์ฌ ๋๋ ๊ฐ์ฌ๊ฐ ๊ณ ์ ๋๋ ์ค๋ํ ๊ณผ์ค๋ก ์ํด๋ฅผ ๋ฐ์์ํจ ๊ฒฝ์ฐ์ ์ด์ฌ๊ฐ ์๋ฒ ์ 397์กฐ(๊ฒฝ์ ๊ธ์ง), ์ 397์กฐ์2(ํ์ฌ๊ธฐํ์ ์ฉ๊ธ์ง) ๋ฐ ์๋ฒ ์ 398์กฐ(์๊ธฐ๊ฑฐ๋๊ธ์ง)์ ํด๋นํ๋ ๊ฒฝ์ฐ์๋ ์ 1ํญ์ ๊ท์ ์ ์ ์ฉํ์ง ์๋ํ๋ค. ๊ฐ์ ์๋ฒ์ ์ ์ฉํ์ฌ ๋ด์ฉ ์ ๋น DART dart.fss.or.kr Page 19
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๋. ์ฌ์ ๋ชฉ์ ํํฉ ๊ณต์๋์๊ธฐ๊ฐ์ค ์ ๊ด์ ์ฌ์ ๋ชฉ์ ์ถ๊ฐ/๋ณ๊ฒฝ์ ์์์ผ๋ฉฐ, ๋น์ฌ์ ํ์ฌ ์ ๊ด์ ๋ช ์๋์ฌ์ ๋ชฉ์ ์ ์๋์ ๊ฐ์ต ๋๋ค. Category Business purpose Whether operating the business 1 ๊ฐ์ข ์ ๋ฐ๊ธฐ๊ณ, ๊ธฐ๊ธฐ์ ๊ทธ ๋ถ์ํ์ ์ ์กฐ ๋ฐ ํ๋งค Operating 2 ๊ฐ์ข ์ดํฌ์ ๊ทธ ๋ถ์ํ์ ์ ์กฐ ๋ฐ ํ๋งค Operating 3 ๋ด์ฐ๊ธฐ๊ด, ์๋์ฐจ, ๊ฐ์ข ์ค๊ธฐ, ์ฒ ๋์ฐจ๋ ๋ฑ์ ๋ถ์ํ ์ ์กฐ ๋ฐ ํ๋งค Operating 4 ๊ฐ์ข ์ฐ์ ์ฉ ์ ์ด์ฅ์น(์ ๊ธฐ, ์ ์, ์ ์, ๊ณต์ ๋ฑ)์ ์ ์กฐ ๋ฐ ํ๋งค Operating 5 ์ฃผ์ฒ ๊ฐ ๋ฐ ์๋ฃจ๋ฏธ๋ ์ฃผ์กฐํ์ ์ ์กฐ ๋ฐ ํ๋งค Not operating 6 ๊ฐ์ข ๊ณต๊ตฌ๋ฅ์ ์ ์กฐ ๋ฐ ํ๋งค Operating 7 ์ ๊ธฐ ๋ฐ ์ ์์ ํ์ ์ ์กฐ ๋ฐ ํ๋งค Operating 8 ์ฌ๋ฌด๊ธฐ๊ธฐ์ ์ ์กฐ ๋ฐ ํ๋งค Not operating 9 ๊ฐ์๋ฆฐ ์์ง ๋ฐ ๊ทธ ๋ถํ์ ์ ์กฐ ๋ฐ ํ๋งค Operating 10 ๊ฑด์์ฌ์ ์ ์กฐ, ์์ ๋ฐ ํ๋งค Not operating 11 ์ปดํจํฐ ๋ฐ ์ฃผ๋ณ๊ธฐ๊ธฐ์ ์ ์กฐ, ์์ ๋ฐ ํ๋งค Not operating 12 ์ปดํจํฐ ํ๋ก๊ทธ๋จ(์ํํธ์จ์ด)์ ๊ฐ๋ฐ, ์์ ๋ฐ ํ๋งค Not operating 13 ์ ์์๊ฑฐ๋ ๋ฐฉ์์ ์ํ ๋ยท์๋งค, ๋ฌด์ญ, ์๋น์ค์ Operating 14 ๊ตฐ ๋ฉํ์ Operating 15 ๋ถ๋์ฐ ๋ฐ ๊ธฐ๊ณ ๋ฑ ์์ค๋ฌผ์ ๋งค๋งค ๋ฐ ์๋ Operating 16 ์จ๋น์ค, ์ฉ์ญ Operating 17 ์์ถ์ ์ ๋ฐ ๊ทธ ๋ํ์ Operating 18 ์ธ๊ตญ์์ฌ ๋๋ฆฌ์ ์ Not operating 19 ์ ๊ฐํธ์ ๋ถ๋๋๋ ์ฌ์ Operating DART dart.fss.or.kr Page 20
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II. Business Description 1. Business overview ๋น์ฌ์ ์ฌ์ ๋ถ๋ฌธ์ ์ฐจ๋๋ถํ์ฌ์ ๊ณผ ๊ธฐํ์ฌ์ ์ผ๋ก ๊ตฌ๋ถ๋ฉ๋๋ค. ์ฐจ๋๋ถํ์ฌ์ ์ ์ ๊ธฐ์ฐจ ๋ฐ ์์์ฐ๋ฃ์ ์ง์ฐจ ๋ฑ ์นํ๊ฒฝ์ฐจ๋ค์ ์ฃผ๋๋ ฅ์์ธ ๊ตฌ๋๋ชจํฐ ํต์ฌ๋ถํ, ํ์ด๋ธ๋ฆฌ๋ ์๋์ฐจ์ฉ ์๋๋ฐ์ ๋ชจํฐ(HSG)์ ์ ๊ธฐ์ฐจ์ฉ ๋๋ผ์ด๋ธ ์ ๋(Drive Unit)์ ์ค์ฌ์ผ ๋ก ๊ธ๋ก๋ฒ ์๋์ฐจ๋ถํ์์ฅ์์ '์นํ๊ฒฝ ๋ถํ์ ์ฒด'๋ก์์ ์ ์ง๋ฅผ ๊ฒฌ๊ณ ํ ๋ค์ง๊ณ ์์ต๋๋ค. ๊ธฐํ๋ถ๋ฌธ์ ๋ฐฉ์ฐ์ฌ์ ์ K2C1์์ด, 5.56mm๊ฒฝ๊ธฐ๊ด์ด, 7.62mm ๊ธฐ๊ด์ด์ ์ ๋ ฅํํ์๊ณ , ํน ์์์ ์ฉ ๊ธฐ๊ด๋จ์ด(๋ชจ๋ธ๋ช : K17๊ธฐ๊ด๋จ์ด)์ ์์ฃผ ํ์ ์ผ๋ก ํฅํ ๋งค์ถ์ฆ๋์ ๊ธฐ์ฌํ ๊ฒ์ผ๋ก ์์๋ฉ๋๋ค. ํด์ธ์์ถ์ ์์์์ง์ญ์ ์ฌ๋ฌ ๊ตญ๊ฐ๋ค์ ์์ฑํ ๋ฐ ๋ถํ ๊ณต๊ธ์ ํตํด ๊ฐ๋ํ ์ฌ ์ ์ ์ฐธ์ฌํ๊ณ ์์ผ๋ฉฐ, ๊ทธ ์ธ ์ง์ญ์ ์ฌ์ ์์ฃผ ํ๋์๋ ์ ๊ทน์ ์ผ๋ก ์ฐธ์ฌํ๊ณ ์์ต๋๋ค. ๋ฐ๋์ฒด ์ฅ๋น๋ถํ ์ฌ์ ์ ๋ฐ๋์ฒด ์ ์กฐ์ฌ๋ค์ ์ง์์ ์ธ ํฌ์์ ํ์ ์ด ์ฑ์ฅ ์ถ์ธ๊ฐ ์ด์ด์ง ๊ฒ ์ผ๋ก ์ ๋งํ๊ณ ์์ต๋๋ค. ๋น์ฌ ๋ฐ ์ฐ๊ฒฐ์ข ์ํ์ฌ์ ์ฌ์ ํํฉ์ ์์ฝํ๋ฉด ์๋์ ๊ฐ์ต๋๋ค. (๋จ์ : ๋ฐฑ๋ง์) โป ๋น์ฌ ๋ฐ ์ฐ๊ฒฐ์ข ์ํ์ฌ์ ์ฌ์ ๋ถ๋ฌธ๋ณ ์์ธํ ์ฌํญ์ "7. ๊ธฐํ ์ฐธ๊ณ ์ฌํญ"์ ์ฐธ๊ณ ํ์๊ธฐ ๋ฐ ๋๋๋ค. ์ฌ์ ๋ถ๋ฌธ ํ์ฌ ์ฃผ์์ ํ ์ฃผ์๊ณ ๊ฐ ๋งค์ถ์ก (๋น์ค) 2026๋ ๋ฐ๊ธฐ 2025๋ ์ฐจ๋๋ถํ SNT๋ชจํฐ๋ธ(์ฃผ) SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ SNT America Ltd SNT Daewoo India Private Ltd SNT Motiv India Private Limited SNT Global INC ๋ชจํฐ ์์ง๋ฐ๋ณ์๊ธฐ๋ถํ ์ ์์ ์ฅํ ํ๊ฐ์ฅ์น ๋ฑ GM Global ํ๋๋ชจ๋น์ค ํ๊ตญGM Stellantis MAGNA BorgWarner ๋ฑ 392,984 (83.0%) 777,178 (77.2%) ๊ธฐ ํ SNT๋ชจํฐ๋ธ(์ฃผ) SNT USA Ltd SNT Defense LLC SNT Property LLC (์ฃผ)SNT๋ก๋ณดํฑ์ค ๋ฐฉ์ฐํ SCMC ์ฐ์ ์ฉ๋ก๋ด ๊ธฐํ ๋ฑ ์ ๋ถ๊ธฐ๊ด, ๋ฐฉ์ฐ์ ์ฒด, AMAT ๋ฑ 80,637 (17.0%) 229,196 (22.8%) DART dart.fss.or.kr Page 21
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2. Main products and services ๊ฐ. ์ฃผ์์ ํ๋ฑ์ ํํฉ ๋น์ฌ ๋ฐ ์ฐ๊ฒฐ์ข ์ํ์ฌ์ ๊ฐ ์ฌ์ ๋ถ๋ฌธ๋ณ ์ฃผ์ ์ ํ ํํฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์ : ๋ฐฑ๋ง์) ์ฌ์ ๋ถ๋ฌธ ํ ๋ชฉ ๊ตฌ์ฒด์ ์ฉ๋ ์ฃผ์์ํ ๋ฑ ๋งค์ถ์ก ๋น์จ(%) ์ฐจ๋ ๋ถํ ๋ชจํฐ ์๋์ฐจ์ฉ๋ชจํฐ๋ฅ ํ๋, GM, FORD ๋ฑ 232,482 48.4% ์์ง๋ถํ ์์ง/ํ์ํธ๋ ์ธ๋ถํ GM, ํ๊ตญGM ๋ฑ 97,874 20.4% ํ๊ฐ์ฅ์น ํ๊ฐ์ฅ์น๋ฅ GM, ํ๊ตญGM ๋ฑ 39,823 8.3% ์ ์์ ์ฅํ ์ ์์ ์ฅํ๋ฅ GM, ํ๊ตญGM ๋ฑ 28,190 5.9% ๊ธฐํ SCMC ๋ฐ๋์ฒด์ฅ๋น๋ถํ AMAT 52,287 10.9% ๊ธฐํ์ฌ์ ๋ฐฉ์ฐ, ๊ธํ, ์น๊ณต๊ตฌ,์ฅ๋น, ์ ์ฒด๊ธฐํ ใ- 29,149 6.1% ์ด ๋งค์ถ์ก 479,805 100.0% ์ฐ๊ฒฐ ์กฐ์ 6,184 - ์ ๋งค์ถ์ก 473,621 - DART dart.fss.or.kr Page 22
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๋. ์ฃผ์ ์ ํ์ ๊ฐ๊ฒฉ๋ณ๋ ์ถ์ด ๋น์ฌ ๋ฐ ์ฐ๊ฒฐ์ข ์ํ์ฌ์ ์ฃผ์ ์ ํ์ ๊ฐ๊ฒฉ๋ณ๋ ์ถ์ด๋ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (1) ์ฐ์ถ๊ธฐ์ค โ ์ฐจ๋๋ถํ, ๊ธฐํ๋ถ๋ฌธ - ๋จ์ํ๊ท ๊ฐ๊ฒฉ์ผ๋ก ์ฐ์ถํ์์ต๋๋ค. - ์ด๊ธฐ๋ฅ๋ ๋ฐฉ์ฐ ๋ฌผ์๋ก ์ธํด ์ฐ์ถ๊ธฐ์ค์ ๊ธฐ์ฌํ์ง ์์์ต๋๋ค. - ์๋์ฐจ๋ถํ์ฌ์ ์ ์ฐจ์ข ๋ชจ๋ธ๋ณ ๋ค๊ธฐ์ข ์ผ๋ก, ๋จ์ํ๊ท ๊ฐ๊ฒฉ์ผ๋ก ์ฐ์ถํ์์ต๋๋ค. (2) ์ฃผ์ ๊ฐ๊ฒฉ๋ณ๋์์ธ โ ์ฐจ๋๋ถํ, ๊ธฐํ๋ถ๋ฌธ - ๊ณ ๊ฐ์ฌ์ ๋จ๊ฐ๋ณ๊ฒฝ ๋ฐ ์์ถ์ ๊ฒฝ์ฐ ํ์จ ๋ณ๋์ ๋ฐ๋ฅธ ๋จ๊ฐ ๋ณ๋์ด ๋ฐ์๋์์ต๋๋ค. - ์ด๊ธฐ๋ฅ๋ ๋ฐฉ์ฐ ๋ฌผ์๋ก ์ธํด ๋ณ๋์์ธ์ ๊ธฐ์ฌํ์ง ์์์ต๋๋ค. (๋จ์ : ์) ์ฌ์ ๋ถ๋ฌธ ํ๋ชฉ 2026๋ ๋ฐ๊ธฐ 2025๋ 2024๋ ์ฐจ๋ ๋ถํ SHOCK ABSORBER 17,366 16,842 16,852 IMC 517,286 512,216 490,714 INSTRUMENT CLUSTER 61,952 56,499 62,377 TNB 6,781 6,080 5,507 MOTOR 68,789 68,375 67,273 OIL PUMP 61,918 64,123 64,500 CARBURETOR 117,212 116,094 108,597 EOP 22,283 21,898 20,543 ๊ธฐํ SCMC 93,830,219 91,356,320 85,541,436 DART dart.fss.or.kr Page 23
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3. Raw materials and production facilities ๊ฐ. ์ฃผ์ ์์ฌ๋ฃ๋ฑ์ ํํฉ ๋น์ฌ ๋ฐ ์ฐ๊ฒฐ์ข ์ํ์ฌ์ ์ฐจ๋๋ถํ ๋ฐ ๊ธฐํ์ฌ์ ๋ถ๋ฌธ์ ์ค๊ตญ์ Yantai Zhenghai Magnetic Material Co.Ltd ๋ฑ ๊ตญ์ธ์ ์ฒด์ ๋์์ผ์ด๋ชจ๋น๋ฆฌํฐ ๋ฑ ๊ตญ๋ด์ ์ฒด๋ก๋ถํฐ ์์ฌ๋ฃ๋ฅผ ์กฐ๋ฌํ์ฌ ์ ํ์ ์์ฐํ๊ณ ์์ต๋๋ค. ์ฃผ์ ์์ฌ๋ฃ๋ Magnet, Magnet Wire ๋ฑ์ด ์์ต๋๋ค. ๋. ์ฃผ์ ์์ฌ๋ฃ๋ฑ์ ๊ฐ๊ฒฉ๋ณ๋ ์ถ์ด ์ฃผ์ ์์ฌ๋ฃ์ ๊ฐ๊ฒฉ๋ณ๋ ์ถ์ด๋ ๋ค์๊ณผ ๊ฐ์ผ๋ฉฐ ์์์ฌ๊ฐ๊ฒฉ ์์น๊ณผ ํ์จ๋ณ๋์ ๋ฐ๋ผ ์์ฑ๋ ์์น์ ๋๋ค. (1) ์ฐ์ถ๊ธฐ์ค - ๊ตฌ๋งค๊ธ์ก์ ์๋์ผ๋ก ๋๋์ด ์ฐ์ถํ ๋จ์ํ๊ท ๊ฐ๊ฒฉ์ ์ ์ฉํ์์ต๋๋ค. (2) ์ฃผ์ ๊ฐ๊ฒฉ๋ณ๋์์ธ - ์์์ฌ ๊ฐ๊ฒฉ๋ณ๋ ๋ฐ ํ์จ๋ณ๋์ ๋ฐ๋ฅธ ์์ฌ๋ฃ ๊ตฌ์ ๊ฐ ๋ณ๋์ด ๋ฐ์๋์์ต๋๋ค. (๋จ์ : ์) ์ฌ์ ๋ถ๋ฌธ ํ๋ชฉ ๋จ์ 2026๋ ๋ฐ๊ธฐ 2025๋ 2024๋ ์ฐจ๋๋ถํ COVER-FLUID PUMP EA 21,390 16,509 15,585 LCD EA 17,551 16,494 15,750 MAGNET EA 772 670 729 MAGNET WIRE KG 21,386 15,658 14,147 ๊ธฐํ CHAMBER,300MM EA 2,924,810 2,605,739 2,466,926 DART dart.fss.or.kr Page 24
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๋ค. ์์ฐ๋ฅ๋ ฅ ๋ฐ ์ค์ , ๊ฐ๋๋ฅ ๋น์ฌ ๋ฐ ์ฐ๊ฒฐ์ข ์ํ์ฌ์ ๋น๊ธฐ ๋ฐ๊ธฐ์ค ์์ฐ์ค์ ๋ฐ ๊ฐ๋๋ฅ ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. โป ๊ธฐํ๋ถ๋ฌธ์ ์ด๊ธฐ๋ฅ๋ ๋ฐฉ์ฐ๋ฌผ์๋ก ์ธํ์ฌ ์์ฐ์๋ ํ์๋ฅผ ์๋ตํ์์ต๋๋ค. ๋ผ. ์์ฐ๋ฅ๋ ฅ์ ์ฐ์ถ๊ทผ๊ฑฐ โ ์ฐจ๋๋ถํ, ๊ธฐํ๋ถ๋ฌธ ์์ฐ๋ฅ๋ ฅ์ ์ฐ์ถ๊ธฐ์ค์ ๋น์ฌ์ ๋ถ์ฐ๊ณต์ฅ์ ๊ธฐ์ค์ผ๋ก 2๊ต๋ ์์ ์ ํด์ผ์ ์ ์ธํ ๋น๊ธฐ ๋ฐ๊ธฐ ๊ฐ๋์ผ์ธ ์ด 119์ผ์ ๋๋ค. 1์ผ ๊ฐ๋ ๊ฐ๋ฅ์๊ฐ์ผ๋ก๋ 16์๊ฐ์ ์ ์ฉํ์ฌ, ๋น๊ธฐ ๋ฐ๊ธฐ ์ด๊ฐ๋ ๊ฐ๋ฅ ์๊ฐ์ 1,904์๊ฐ์ ๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ ์ฐจ๋๋ถํ ๋ฐ ๊ธฐํ์ฌ์ ๋ถ ์ ์ฒด๊ณต์ฅ์ ์์ฐ๋ฅ๋ ฅ์ ์์ฐ๊ฐ์๋ฅผ ๊ธฐ์ค์ผ๋ก ์ด 12,430,304๊ฐ์ด๊ณ , ์ค์ ์์ฐ์๋์ 9,204,308๊ฐ๋ก์ ์์ฐ์๋๊ธฐ์ค ํ๊ท ๊ฐ๋๋ฅ ์ 74.0%์ ๋๋ค. (๋จ์ : ๊ฐ) ์ฌ์ ๋ถ๋ฌธ ์ง์ญ ์์ฐ๊ฐ๋ฅ์๋ ์ค์ ์์ฐ์๋ ์ฐจ๋ ๋ถํ ํ๊ตญ 10,917,536 8,884,746 ์ค๊ตญ 1,403,600 268,380 ๊ธฐํ 108,224 50,631 ๊ธฐํ ํ๊ตญ 944 551 DART dart.fss.or.kr Page 25
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๋ง. ์์ฐ์ค๋น์ ํํฉ ๋ฑ 1) ํ ์ง (๋จ์ : ์ฒ์) โป ์๊ธฐ ํํฉ์ ๊ตญ๋ด์ฌ์ ์ฅ ๊ธฐ์ค์ ๋๋ค. 2) ๋น์ฌ ๋ฐ ์ข ์ํ์ฌ๊ฐ ๋ณด์ ํ๊ณ ์๋ ์์ฐ์ค๋น ๋ฑ์ ํํฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (*1) ๊ธฐํ์ฆ๊ฐ์ก์ ๊ฑด์ค์ค์ธ์์ฐ์ ๋ณธ๊ณ์ ๋์ฒด ๋ฐ ํ์จ๋ณ๋์ผ๋ก ์ธํ ๊ธ์ก์ ๋๋ค. (*2) ๊ฑด์ค์ค์ธ์์ฐ์ ์ ๊ท ์ค๋นํฌ์ ๋ฑ๊ณผ ๊ด๋ จํ์ฌ 23,004๋ฐฑ๋ง์์ด ์ง์ถ๋์์ต๋๋ค. (*3) ์ฐ๊ฒฐ์ค์ฒด๋ ๊ฑด๋ฌผ ๋ฑ ์ ํ์์ฐ์ ๋ํด ํ์ฌ๋ณดํ์ ๊ฐ์ ํ๊ณ ์์ผ๋ฉฐ, ๋ถ๋ณด์ก์ ์ผ๋ถ๋ ํ ๊ตญ์ฐ์ ์ํ์ ์ง๊ถ ์ค์ ๋์ด ์์ต๋๋ค. ๋ฐ. ์ค๋น์ ์ ์คใ๋งค์ ๊ณํ ๋ฑ ๋น์ฌ๋ ํด์ธ์์ฅ ๊ฐ์ฒ, ์ ์ ํ ๊ฐ๋ฐ๋ฑ์ ๋ฐ๋ฅธ ์์ฐ ์ค๋น ๋ฐ ๊ณต์ฅ์์ค์ ์ ์งํ๊ธฐ ์ํ ์์ , ์ฑ๋ฅ ๊ฐ์ ๋ฑ์ ๋ํ ํฌ์๋ฅผ ์ง์ํ๊ณ ์์ผ๋ฉฐ, ํฅํ ํฌ์๋ ์นํ๊ฒฝ์ฌ์ ๋ถ์ผ ์์ฃผ์ํฉ ๋ฐ ๊ธ ๋ก๋ฒ ๊ฒฝ๊ธฐ ๋ฑ์ ๊ฐ์ํ์ฌ ์ด์ํ ๊ณํ์ ๋๋ค. ์์ฌ์ง ์ฅ๋ถ๊ฐ์ก ๊ณต์์ง๊ฐ ๋น๊ณ ๋ถ์ฐ์ ๊ธ์ ๊ตฌ ๋๊ตฌ๋ 21,562,288 23,176,295 - ๋ถ์ฐ์ ๊ธฐ์ฅ๊ตฐ ์ฒ ๋ง๋ฉด ์ก์ ๋ฆฌ 152,629,571 151,925,126 ์ข ์ํ์ฌ ํ ์ง ์์ ๋ถ 3,611,490์ฒ์ ํฌํจ ๋ถ์ฐ์ ๊ธฐ์ฅ๊ตฐ ์ฒ ๋ง๋ฉด ์์ฌ๋ฆฌ 12,110,876 3,544,336 - ๋ถ์ฐ์ ๊ธฐ์ฅ๊ตฐ ์ ๊ด์ ๋ฌ์ฐ๋ฆฌ 3,307,597 3,733,596 - ๊ฒฝ๋จ ์์ฐ์ ์ฐ๋ง๋ 2,137,372 2,261,846 - ์ถฉ๋จ ๋ณด๋ น์ ์ฃผ๊ต๋ฉด ๊ด์ฐฝ๋ฆฌ 755,308 831,749 - ์ธ์ฒ์ ์๊ตฌ ๊ฐ์ข๋ 29,844,190 30,770,389 - ์์ธ ๊ฐ๋จ๊ตฌ ์ญ์ผ๋ 18,730,421 10,319,353 ํฌ์๋ถ๋์ฐ 16,857,379์ฒ์ ํฌํจ ๊ณ 241,077,623 226,562,690 - (๋จ์:์ฒ์) ๊ตฌ ๋ถ ๊ธฐ์ด์ฅ๋ถ๊ธ์ก ์ทจ ๋ ์ฒ ๋ถ ๊ฐ๊ฐ์๊ฐ๋น ๊ธฐ ํ(*1) ๊ธฐ๋ง์ฅ๋ถ๊ธ์ก ํ ์ง 221,802,741 2,254,334 - - 15,321,207 239,378,282 ๊ฑด๋ฌผ 35,603,301 1,759,217 - (1,428,024) 4,365,095 40,299,589 ๊ตฌ์ถ๋ฌผ 6,913,783 193,661 - (269,505) 292,666 7,130,605 ๊ธฐ๊ณ์ฅ์น 91,102,382 3,404,109 (14) (10,893,802) 7,540,198 91,152,873 ์ฐจ๋์ด๋ฐ๊ตฌ 2,466,694 351,875 (28,659) (303,644) (867) 2,485,399 ๊ธฐํ์์ ํ์์ฐ 17,969,600 1,733,965 - (1,855,762) 953,544 18,801,347 ๊ฑด์ค์ค์ธ์์ฐ(*2) 61,636,472 18,604,200 - - (19,024,973) 61,215,699 ํฉ ๊ณ 437,494,973 28,301,361 (28,673) (14,750,737) 9,446,870 460,463,794 DART dart.fss.or.kr Page 26
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4. Status of sales and orders ๊ฐ. ๋งค์ถ์ค์ 2026๋ ๋ฐ๊ธฐ ๋น์ฌ์ ์ฐ๊ฒฐ๊ธฐ์ค ๋งค์ถ์ 473,621๋ฐฑ๋ง์์ด๋ฉฐ ์์ถ ๋ฐ ๋ด์๋น์ค์ 81.8% : 18.2%์ ๋๋ค. ์ฌ์ ๋ถ๋ฌธ๋ณ ๋งค์ถ๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์ : ๋ฐฑ๋ง์) ์ฌ์ ๋ถ๋ฌธ ๋งค์ถ์ ํ 2026๋ ๋ฐ๊ธฐ 2025๋ ๋ฐ๊ธฐ 2025๋ 2024๋ ์ฐจ๋ ๋ถํ ๋ด ์ 68,178 74,726 158,533 145,565 ์ ์ถ 324,806 319,665 618,645 574,063 ์ ๊ณ 392,984 394,391 777,178 719,628 ๊ธฐํ ๋ด ์ 17,890 28,452 74,692 132,233 ์ ์ถ 62,747 60,881 154,504 117,037 ์ ๊ณ 80,637 89,333 229,196 249,270 ํฉ๊ณ ๋ด ์ 86,068 103,178 233,225 277,798 ์ ์ถ 387,553 380,546 773,149 691,100 ์ ๊ณ 473,621 483,724 1,006,374 968,898 DART dart.fss.or.kr Page 27
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๋. ํ๋งค๊ฒฝ๋ก ๋ฐ ํ๋งค๋ฐฉ๋ฒ๋ฑ (1) ํ๋งค๊ฒฝ๋ก (2) ํ๋งค๋ฐฉ๋ฒ ๋ฐ ์กฐ๊ฑด ๋ค. ํ๋งค์ ๋ต โป ๊ธฐํ๋ถ๋ฌธ์ ๋ฐฉ์ฐํ์ ํ๋งค๊ฒฝ๋ก, ๋ฐฉ๋ฒ, ์กฐ๊ฑด, ์ ๋ต ๋ฑ์ ๊ธฐ์ฌ๋ฅผ ์๋ตํ์์ต๋๋ค. ์ฌ์ ๋ถ๋ฌธ ํ๋งค๊ฒฝ๋ก ์ฐจ๋๋ถํ ๊ธฐ ํ โ ๋ด์ (๋งค์ถ์ก์ค 18%) ์ฃผ๋ฌธ, ๊ณ์ฝ โ ๊ณต์ฅ์์ฐ โ ๊ฑฐ๋์ฒ ๋ฉํ โก ์์ถ (๋งค์ถ์ก์ค 82%) ์ฃผ๋ฌธ โ ๊ณต์ฅ์์ฐ โ โ MASTER (์ฃผ์๊ฑฐ๋์ฒ : ๋ฏธ๊ตญ, ์ ๋ฝ ๋ฑ) โ LOCAL : ์ฃผ์ LOCAL ๊ฒฝ๋ก (ํ๋๋ชจ๋น์ค, ํ๊ตญGM ๋ฑ) ์ฌ์ ๋ถ๋ฌธ ํ๋งค๋ฐฉ๋ฒ ๋ฐ ์กฐ๊ฑด ์ฐจ๋๋ถํ ๊ธฐ ํ ํ๋งค๋ฐฉ๋ฒ : โ ๋ด์ : ์ฃผ๋ฌธ ๋ฐ ๊ณ์ฝ์ ์ํ ๋ฉํ โก ์์ถ : ์ทจ์๋ถ๋ฅ LOCAL์ ์ฉ์ฅ์ ์ํ ํ๋งค, ์ธ์์์ถ ๋๊ธํ์ : โ ๋ด์ : ์ต์๋ง๊น์ง ๋๊ธ์๋ น (ํ๊ธ ๋ฐ 3๊ฐ์์ด๋ด ์ด์ ๋ฑ) โก MASTER : ์ ์ โ ๋๊ธ์๋ น โข LOCAL : ๋ฉํ โ ๋๊ธ์๋ น ์ฌ์ ๋ถ๋ฌธ ํ๋งค์ ๋ต ์ฐจ๋๋ถํ ์ ํ๋ค์ํ๋ก ๋ฏธ๊ตญ ๋ฐ ์ค๊ตญ, ์ ๋ฝ์์ฅ ์์ญํ๋ ๋ฑ์ ํตํ ํด์ธ์์ฅ ๊ฐ์ฒ๊ณผ ๊ฑฐ๋์ฒ ๋ค๋ณํ๋ฅผ ํตํ ์๋์ฐจ๋ถํ์์ฅ ํ๋๋ฅผ ์ํด ์ธ์ง๋ ํฅ์์ ์ถ์งํ๊ณ ์์ต๋๋ค. ๋ํ ์์ฅ๊ท๋ชจ๊ฐ ์ฑ์ฅํ๊ณ ์๋ ์นํ๊ฒฝ ์๋์ฐจ๋ถํ(HEV/EV)๊ณผ ์๋์ฐจ์ ํต์ฌ ๋ถ๋ถ ์ธ ํ์ํธ๋ ์ธ ๊ด๋ จ๋ถํ์ ์ ๊ท์์ฃผ๋ฅผ ํตํด ๋งค์ถ ํ๋๋ฅผ ๊ณํํ๊ณ ์์ต๋๋ค. DART dart.fss.or.kr Page 28
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๋ผ. ์ฃผ์๋งค์ถ์ฒ ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ๋น์ฌ์ ์ฃผ์๊ณ ๊ฐ์ฒ๋ ์ง๋ฐฐํ์ฌ ๋ณ๋๋งค์ถ ๊ธฐ์ค์ผ๋ก ํ๋๋ชจ๋น์ค ๋ฑ์ ํตํ ํ๋ ๊ธฐ์์ฐจ๊ทธ๋ฃน์ด 32.7%, ๋ถ๋ฏธGM์ ํฌํจํ GM๊ทธ๋ฃน์ด 26.2%๋ฅผ ์ฐจ์งํ๊ณ ์์ต๋๋ค. ๊ทธ๋์ ํ ๊ตญGM์ ๋ํ ๋์ ๋งค์ถ์์กด๋๊ฐ ํ๋๋ชจ๋น์ค, Global GM ๋ฑ์ผ๋ก ํ๋๋๊ณ ์์ผ๋ฉฐ, ํ๋ํธ๋ ์์ค, Borgwarnar(BWA), Stellantis ๋ฑ ์ ๊ท๊ฑฐ๋์ฒ๋ค์ ๋ํํฅํ ๋งค์ถ ์ ๋ง๋ ์ง์์ ์ผ๋ก ์ฆ๊ฐํ ๊ฒ์ผ๋ก ์์๋ฉ๋๋ค. ๋ง. ์์ฃผ์ํฉ ๋น์ฌ์ ์ฐจ๋๋ถํ์ฌ์ ๋ถ๋ฌธ์ ์์ฑ์ฐจ์ ์ฒด์ ์ฐจ์ข ๋ณ ์ ํ์ ์์ฐ ๋ฐ ๋ฉํํ๊ณ ์์ผ๋ ๋ฌผ๋์ด ํ์ ๋์ด ์์ง ์๊ณ ๋๋ด์ธ์ ๊ฒฝ์ ํ๊ฒฝ ๋ณํ์ ๊ทธ์ ๋ฐ๋ฅธ ์์๋ณํ๋ฅผ ์ ํํ ์์ธกํ ์ ์๊ธฐ ๋๋ฌธ์ ์์ฃผ๋ฌผ๋, ์์ฃผ์๊ณ ๋ ๊ด๋ฆฌํ๊ณ ์์ง ์์ต๋๋ค. DART dart.fss.or.kr Page 29
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5. Risk management and derivatives transactions ๊ฐ. ์ํ๊ด๋ฆฌ ์ ์ฑ ์ฐ๊ฒฐ์ค์ฒด์ ์ํ๊ด๋ฆฌ๋ ์ฐ๊ฒฐ์ค์ฒด์ ์ฌ๋ฌด์ ์ฑ๊ณผ์ ์ํฅ์ ๋ฏธ์น๋ ์ ์ฌ์ ์ํ์ ์๋ณํ์ฌ ์ฐ๊ฒฐ์ค์ฒด๊ฐ ํ์ฉ ๊ฐ๋ฅํ ์์ค์ผ๋ก ๊ฐ์, ์ ๊ฑฐ ๋ฐ ํํผํ๋ ๊ฒ์ ๊ทธ ๋ชฉ์ ์ผ๋ก ํ๊ณ ์์ต๋๋ค. ์ฐ๊ฒฐ์ค์ฒด๋ ์ ์ฌ์ ์ธ ์์ค์ ์ํ๊ด๋ฆฌ ์ ์ฑ ๋ฐ ์ ์ฐจ๋ฅผ ๋ง๋ จํ์ฌ ์ด์ํ๊ณ ์์ผ๋ฉฐ, ์ฐ๊ฒฐ์ค์ฒด ์ ์ฌ๋ฌด๋ถ๋ฌธ์์ ์ํ๊ด๋ฆฌ์ ๋ํ ์ด๊ด์ฑ ์์ ๋ด๋นํ๊ณ ์์ต๋๋ค. ์ฐ๊ฒฐ์ค์ฒด์ ์ฌ๋ฌด๋ถ๋ฌธ์ ์ด์ฌํ์์ ์น์ธ๋ ์ํ๊ด๋ฆฌ ์ ์ฑ ๋ฐ ์ ์ฐจ์ ๋ฐ๋ผ ์ฐ๊ฒฐ์ค์ฒด์ ์์ ๊ณผ ๊ด๋ จํ ๊ธ์ต์ํ์ ๊ฐ ์ํ๊ณ ๊ด๋ฆฌํ๋ ์ญํ ์ ํ๊ณ ์์ต๋๋ค. ๋ํ, ์ฐ๊ฒฐ์ค์ฒด์ ๋ด๋ถ๊ฐ์ฌ์ธ์ ์ํ๊ด๋ฆฌ ์ ์ฑ ๋ฐ ์ ์ฐจ์ ์ค์ ์ฌ๋ถ์ ์ํ๋ ธ์ถ ํ๋๋ฅผ ์ง์์ ์ผ๋ก ๊ฒํ ํ๊ณ ์์ต๋๋ค. ๋. ์ ์ฉ์ํ๊ด๋ฆฌ ์ฐ๊ฒฐ์ค์ฒด๋ ๊ธ์ต์ํ์ ๋น์ฌ์ ์ค ์ผ๋ฐฉ์ด ์๋ฌด๋ฅผ ์ดํํ์ง ์์ ์๋๋ฐฉ์๊ฒ ์ฌ๋ฌด์์ค์ ์ ํ ์ ์ฉ์ํ์ ๋ ธ์ถ๋์ด ์์ต๋๋ค. ์ฐ๊ฒฐ์ค์ฒด์ ๊ฒฝ์์ง์ ์ ์ฉ์ํ์ ๊ด๋ฆฌํ๊ธฐ ์ํ์ฌ ์ ์ฉ ๋๊ฐ ์ผ์ ์์ค ์ด์์ธ ๊ฑฐ๋์ฒ์ ๊ฑฐ๋ํ๊ณ ์์ผ๋ฉฐ, ๊ธ์ต์์ฐ์ ์ ์ฉ๋ณด๊ฐ์ ์ํ ์ ์ฑ ๊ณผ ์ ์ฐจ ๋ฅผ ๋ง๋ จํ์ฌ ์ด์ํ๊ณ ์์ต๋๋ค. ์ฐ๊ฒฐ์ค์ฒด๋ ์ ๊ท ๊ฑฐ๋์ฒ์ ๊ณ์ฝ์ ๊ณต๊ฐ๋ ์ฌ๋ฌด์ ๋ณด์ ์ ์ฉ ํ๊ฐ๊ธฐ๊ด์ ์ํ์ฌ ์ ๊ณต๋ ์ ๋ณด ๋ฑ์ ์ด์ฉํ์ฌ ๊ฑฐ๋์ฒ์ ์ ์ฉ๋๋ฅผ ํ๊ฐํ๊ณ ์ด๋ฅผ ๊ทผ๊ฑฐ๋ก ์ ์ฉ๊ฑฐ๋ํ๋๋ฅผ ๊ฒฐ์ ํ๊ณ ์์ผ๋ฉฐ, ๋ด๋ณด ๋๋ ์ง๊ธ๋ณด์ฆ์ ์ ๊ณต๋ฐ๊ณ ์์ต๋๋ค. ๋ํ, ์ฐ๊ฒฐ์ค์ฒด๋ ์ฃผ๊ธฐ์ ์ผ๋ก ๊ฑฐ๋์ฒ์ ์ ์ฉ๋๋ฅผ ์ฌํ๊ฐํ์ฌ ์ ์ฉ๊ฑฐ๋ํ๋๋ฅผ ์ฌ๊ฒํ ํ๊ณ ๋ด๋ณด์์ค์ ์ฌ์กฐ์ ํ๊ณ ์์ผ๋ฉฐ, ํ์๊ฐ ์ง์ฐ๋๋ ๊ธ์ต์์ฐ์ ๋ํ์ฌ๋ ๋ถ๊ธฐ ๋จ์๋ก ํ์์ง์ฐ ํํฉ ๋ฐ ํ์๋์ฑ ์ ๋ณด๊ณ ํ์ฌ ์ง์ฐ์ฌ์ ์ ๋ฐ๋ผ ์ ์ ํ ์กฐ์น๋ฅผ ์ทจํ๊ณ ์์ต๋๋ค. DART dart.fss.or.kr Page 30
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๊ธ์ต์์ฐ์ ์ฅ๋ถ๊ธ์ก์ ์ ์ฉ์ํ์ ๋ํ ์ต๋ ๋ ธ์ถ์ ๋๋ฅผ ํ์ํ๊ณ ์์ต๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ์ฐ๊ฒฐ์ค์ฒด์ ์ ์ฉ์ํ์ ๋ํ ์ต๋ ๋ ธ์ถ์ ๋๋ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (*1) ์ถฉ๋น๊ธ ์ฐจ๊ฐ ์ ๊ธ์ก์ ๋๋ค. (*2) ๋ถ๊ฐ์ธ๋ฏธ์๊ธ์ ์ ์ธํ ๊ธ์ก์ ๋๋ค. ํํธ, ์ฐ๊ฒฐ์ค์ฒด๋ ์ฐ๋ฆฌ์ํ ๋ฑ์ ๊ธ์ต๊ธฐ๊ด์ ํ๊ธ์ฑ์์ฐ ๋ฑ์ ์์นํ๊ณ ์์ผ๋ฉฐ, ์ ์ฉ๋ฑ๊ธ์ด ์ฐ์ํ ๊ธ์ต๊ธฐ๊ด๊ณผ ๊ฑฐ๋ํ๊ณ ์์ผ๋ฏ๋ก ๊ธ์ต๊ธฐ๊ด์ผ๋ก๋ถํฐ์ ์ ์ฉ์ํ์ ์ ํ์ ์ ๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ๋์์ถฉ๋น๊ธ ์ฐจ๊ฐ ์ ๋งค์ถ์ฑ๊ถ์ ๊ฐ ์ง์ญ๋ณ ์ ์ฉ์ํ์ ๋ ธ์ถ์ ๋ ๋ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์:์ฒ์) ๊ตฌ ๋ถ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์ ๊ธฐ๋ง ํ๊ธ์ฑ์์ฐ 165,451,487 233,273,880 ๋จ๊ธฐ๊ธ์ต์ํ 192,968,350 221,380,010 ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ(*1)(*2) 191,256,511 194,622,187 ์ฅ๊ธฐ๊ธ์ต์ํ 3,000 3,000 ์ฅ๊ธฐ๊ธ์ต์์ฐ 42,290,698 4,823,175 ์ฅ๊ธฐ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ 595,999 665,865 ํฉ ๊ณ 592,566,045 654,768,117 (๋จ์:์ฒ์) ์ง์ญ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์ ๊ธฐ๋ง ๊ตญ๋ด 28,523,435 29,753,175 ๋ก์ปฌ์์ถ 67,109,966 59,176,698 ์์์ 44,848,914 47,508,219 ์ ๋ฝ 2,611,816 1,249,781 ์๋ฉ๋ฆฌ์นด 42,721,384 50,142,580 ํฉ ๊ณ 185,815,515 187,830,453 DART dart.fss.or.kr Page 31
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๋ค. ์ ๋์ฑ์ํ๊ด๋ฆฌ ์ฐ๊ฒฐ์ค์ฒด๋ ํ๊ธ ๋ฑ ๊ธ์ต์์ฐ์ ์ธ๋ํ์ฌ ๊ฒฐ์ ํ๋ ๊ธ์ต๋ถ์ฑ์ ๊ด๋ จ๋ ์๋ฌด๋ฅผ ์ถฉ์กฑํ๋๋ฐ ์ด๋ ค์์ ๊ฒช๊ฒ ๋ ์ ๋์ฑ์ํ์ ๋ ธ์ถ๋์ด ์์ต๋๋ค. ์ฐ๊ฒฐ์ค์ฒด์ ๊ฒฝ์์ง์ ์ ๋์ฑ์ํ์ ๊ด ๋ฆฌํ๊ธฐ ์ํ์ฌ ๋จ๊ธฐ ๋ฐ ์ค์ฅ๊ธฐ ์๊ธ๊ด๋ฆฌ๊ณํ์ ์๋ฆฝํ๊ณ ํ๊ธ์ ์ถ์์ฐ๊ณผ ์ค์ ํ๊ธ์ ์ถ์ก์ ์ง์์ ์ผ๋ก ๋ถ์ใ๊ฒํ ํ์ฌ ๊ธ์ต๋ถ์ฑ์ ๊ธ์ต์์ฐ์ ๋ง๊ธฐ๊ตฌ์กฐ๋ฅผ ๋์์ํค๊ณ ์์ต๋๋ค. ์ฐ๊ฒฐ ์ค์ฒด์ ๊ฒฝ์์ง์ ์์ ํ๋ํ๊ธํ๋ฆ๊ณผ ๊ธ์ต์์ฐ์ ํ๊ธ์ ์ ์ผ๋ก ๊ธ์ต๋ถ์ฑ์ ์ํ์ด ๊ฐ๋ฅํ ๋ค๊ณ ํ๋จํ๊ณ ์์ต๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ๊ธ์ต๋ถ์ฑ์ ์์กด๊ณ์ฝ ๋ง๊ธฐ์ ๋ฐ๋ฅธ ๋ง๊ธฐ๋ถ์์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์:์ฒ์) ๊ตฌ ๋ถ ์ฅ๋ถ๊ธ์ก ๊ณ์ฝ์ ํ๊ธํ๋ฆ ์์กด๊ณ์ฝ๋ง๊ธฐ 3๊ฐ์ ๋ฏธ๋ง 3๊ฐ์ ~ 1๋ 1 ~ 5๋ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง: ๋งค์ ์ฑ๋ฌด 182,986,135 182,986,135 127,970,251 55,015,884 - ๋ฏธ์ง๊ธ๊ธ 33,540,665 33,540,665 33,540,665 - - ๋ฏธ์ง๊ธ๋ฐฐ๋น๊ธ 2,895 2,895 2,895 - - ๋ฆฌ์ค๋ถ์ฑ 63,469 72,397 18,006 54,391 - ์ฅ๊ธฐ์์๋ณด์ฆ๊ธ 115,900 115,900 - - 115,900 ์ฅ๊ธฐ๋ฆฌ์ค๋ถ์ฑ 115,791 122,250 - - 122,250 ํฉ ๊ณ 216,824,855 216,840,242 161,531,817 55,070,275 238,150 ์ ๊ธฐ๋ง: ๋งค์ ์ฑ๋ฌด 143,065,455 143,065,455 97,861,951 45,203,504 - ๋ฏธ์ง๊ธ๊ธ 42,196,991 42,196,991 42,196,991 - - ๋ฏธ์ง๊ธ๋ฐฐ๋น๊ธ 2,495 2,495 2,495 - - ๋ฆฌ์ค๋ถ์ฑ 24,286 25,750 13,119 12,631 - ์ฅ๊ธฐ์์๋ณด์ฆ๊ธ 115,900 115,900 - - 115,900 ์ฅ๊ธฐ๋ฆฌ์ค๋ถ์ฑ 28,888 30,002 - 30,002 ํฉ ๊ณ 185,434,015 185,436,593 140,074,556 45,216,135 145,902 DART dart.fss.or.kr Page 32
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๋ผ. ์์ฅ์ํ๊ด๋ฆฌ 1) ํ์ํ ์ฐ๊ฒฐ์ค์ฒด๋ ์ ํ ์ ์กฐ๋ฅผ ์ํ ์์์ฌ ์์ ๊ฑฐ๋ ๋ฐ ์ ํ๊ณผ ์ํ์ ์์ถ ๊ฑฐ๋์ ๊ด๋ จํ์ฌ USD ๋ฐ EUR ๋ฑ์ ํ์จ๋ณ๋์ํ์ ๋ ธ์ถ๋์ด ์์ต๋๋ค. ์ฐ๊ฒฐ์ค์ฒด์ ๊ฒฝ์์ง์ ๋ด๋ถ์ ์ผ๋ก ์ ํ ํ์จ ๋ณ๋์ ๋ํ ํ์ํ์ ์ ๊ธฐ์ ์ผ๋ก ์ธก์ ํ๊ณ ์์ผ๋ฉฐ, ํ์ํ ๊ฒฝ์ฐ ํ์ํ๊ด๋ฆฌ๋ฅผ ๋ชฉ์ ์ผ๋ก ํ์์ํ๊ณ์ฝ์ ์ฒด๊ฒฐํ๊ณ ์์ต๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ๊ธฐ๋ฅํตํ ์ด์ธ์ ์ธํ๋ก ํ์๋ ํํ์ฑ์์ฐ ๋ฐ ๋ถ์ฑ์ ์ฅ๋ถ๊ธ์ก์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ์ ๊ธฐ๋ง ํ์ฌ ๊ธฐ๋ฅํตํ ์ด์ธ์ ์ธํ๋ก ํ์๋ ํํ์ฑ์์ฐ ๋ฐ ๋ถ์ฑ์ ์ฅ๋ถ๊ธ์ก์ ๋ค์๊ณผ ๊ฐ์ต ๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง์ ์ ์ฉ๋ ํ์จ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์:์ฒ์) ๊ตฌ ๋ถ USD EUR JPY PLN CNY INR ์์ฐ: ํ๊ธ๋ฐํ๊ธ์ฑ์์ฐ 33,769,286 1,053,804 - - 812,151 - ๋จ๊ธฐ๊ธ์ต์ํ 22,968,351 - - - - - ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ 65,774,387 7,297,961 - 4,395 1,378,767 2,989,662 ์์ฐ ํฉ๊ณ 122,512,024 8,351,765 - 4,395 2,190,918 2,989,662 ๋ถ์ฑ: ๋งค์ ์ฑ๋ฌด๋ฐ๊ธฐํ์ฑ๋ฌด 47,067,712 841,269 215,253 - 426,675 - ๋ถ์ฑ ํฉ๊ณ 47,067,712 841,269 215,253 - 426,675 - ์ธํ์์์ฐ ํฉ๊ณ 75,444,312 7,510,496 (215,253) 4,395 1,764,243 2,989,662 (๋จ์:์ฒ์) ๊ตฌ ๋ถ USD EUR JPY PLN CNY INR ์์ฐ: ํ๊ธ๋ฐํ๊ธ์ฑ์์ฐ 55,069,698 2,915,921 - - 241,333 - ๋จ๊ธฐ๊ธ์ต์ํ 21,380,010 - - - - - ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ 83,474,886 7,167,148 - 14,916 1,379,516 2,186,701 ์์ฐ ํฉ๊ณ 159,924,594 10,083,069 - 14,916 1,620,849 2,186,701 ๋ถ์ฑ: ๋งค์ ์ฑ๋ฌด๋ฐ๊ธฐํ์ฑ๋ฌด 19,962,418 6,384 705,325 - 512,770 - ๋ถ์ฑ ํฉ๊ณ 19,962,418 6,384 705,325 - 512,770 - ์ธํ์์์ฐ ํฉ๊ณ 139,962,176 10,076,685 (705,325) 14,916 1,108,079 2,186,701 (๋จ์:์) ๊ตฌ ๋ถ ํ๊ท ํ์จ ๊ธฐ๋ง ํ์จ ๋น๊ธฐ ๋ฐ๊ธฐ ์ ๊ธฐ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์ ๊ธฐ๋ง USD 1,483.85 1,422.22 1,541.50 1,434.90 EUR 1,730.05 1,607.46 1,761.09 1,685.72 DART dart.fss.or.kr Page 33
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์ฐ๊ฒฐ์ค์ฒด๋ ๋ด๋ถ์ ์ผ๋ก ์ํ ํ์จ ๋ณ๋์ ๋ํ ํ์ํ์ ์ ๊ธฐ์ ์ผ๋ก ์ธก์ ํ๊ณ ์์ต๋๋ค. ๋น ๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ์ธํ์ ๋ํ ์ํ ํ์จ 10% ๋ณ๋์ ํ์จ๋ณ๋์ด ์ธ์ ์์ต์ ๋ฏธ์น๋ ์ํฅ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. JPY 9.38 9.51 9.52 9.18 PLN 407.76 379.20 410.65 399.10 CNY 216.23 197.78 226.97 204.76 INR 15.95 16.32 16.30 15.98 (๋จ์:์ฒ์) ๊ตฌ ๋ถ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์ ๊ธฐ๋ง 10% ์์น์ 10% ํ๋ฝ์ 10% ์์น์ 10% ํ๋ฝ์ USD 7,544,431 (7,544,431) 13,996,218 (13,996,218) EUR 751,050 (751,050) 1,007,669 (1,007,669) JPY (21,525) 21,525 (70,533) 70,533 PLN 439 (439) 1,492 (1,492) CNY 176,424 (176,424) 110,808 (110,808) INR 298,966 (298,966) 218,670 (218,670) ํฉ ๊ณ 8,749,785 (8,749,785) 15,264,324 (15,264,324) DART dart.fss.or.kr Page 34
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2) ์ด์์จ์ํ๊ด๋ฆฌ ์ด์์จ์ํ์ ๋ฏธ๋ ์์ฅ์ด์์จ ๋ณ๋์ ๋ฐ๋ผ ์๊ธ ๋๋ ์ฐจ์ ๊ธ ๋ฑ์์ ๋ฐ์ํ๋ ์ด์์์ต ๋ฐ ์ด์๋น์ฉ์ด ๋ณ๋๋ ์ํ์ผ๋ก์ ์ด๋ ์ฃผ๋ก ๋ณ๋์ด์์จ ์กฐ๊ฑด์ ์๊ธ๊ณผ ์ฐจ์ ๊ธ์์ ๋ฐ์ํ๊ณ ์์ต๋๋ค. ์ฐ๊ฒฐ์ค์ฒด์ ์ด์์จ์ํ๊ด๋ฆฌ์ ๋ชฉํ๋ ์ด์์จ ๋ณ๋์ผ๋ก ์ธํ ๋ถํ์ค์ฑ๊ณผ ๊ธ์ต๋น์ฉ ์ ์ต์ํํ๋๋ฐ ์์ต๋๋ค. ์ด๋ฅผ ์ํด ๋ด๋ถ ์ ๋ณด์๊ธ์ ํ์ฉํ ์ธ๋ถ์ฐจ์ ์ต์ํ, ์ ๊ธฐ์ ์ธ ๊ตญ ๋ด์ธ ๊ธ๋ฆฌ๋ํฅ ๋ชจ๋ํฐ๋ง ์ค์ ๋ฐ ๊ณ ์ ๊ธ๋ฆฌ๋ถ ๊ธ์ต์์ฐ ํฌ์ ๋ฑ์ ํตํด ์ ์ ์ ์ผ๋ก ์ด์์จ์ ํ์ ๊ด๋ฆฌํ๊ณ ์์ต๋๋ค. ์ฐ๊ฒฐ์ค์ฒด๋ ๋ณ๋์ด์์จ ๊ธ์ต์์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ๊ฐ ์์ด, ์ด์์จ์ ๋ณ๋์ด ์์ต์ ์ํฅ์ ์ฃผ์ง ์์ต๋๋ค. DART dart.fss.or.kr Page 35
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3) ๊ณต์ ๊ฐ์น์ ์ฅ๋ถ๊ธ์ก ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ๊ธ์ต์ํ์ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ณต์ ๊ฐ์น๋ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (*1) ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ์ฅ๊ธฐ๊ธ์ต์์ฐ ์ค ๋น๊ธฐ์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ฑ๋ฌด์ฆ๊ถ์ ๊ณต์ ๊ฐ์น๋ฅผ ๊ฒฐ์ ํ๊ธฐ ์ํด ์ด์ฉํ ์ ์๋ ์ ๋ณด๊ฐ ๋ถ์ถฉ๋ถํ๊ณ ๊ฐ๋ฅํ ๊ณต์ ๊ฐ์น ์ธก์ ์น์ ๋ฒ์๊ฐ ๋์ผ๋ฏ๋ก, ๊ทธ ๋ฒ์ ๋ด์์ ์ทจ๋์๊ฐ์ ์๋ณธ์ ์ ์ ๋ ๋ฐฐ๋น์์ต์ ๊ฐ์ฐํ ๋์ ๊ธ์ก์ ๊ณต์ ๊ฐ ์น์ ์ต์ ์ ์ถ์ ์น๋ก ๊ฐ์ฃผํ์ฌ ์๊ฐ๋ฅผ ๊ณต์ ๊ฐ์น๋ก ํ์์ต๋๋ค. (*2) ์๊ฐํ์๊ฐ๋ก ์ธก์ ๋๋ ๊ธ์ต์์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ๋ ๊ณต์ ๊ฐ์น๊ฐ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ทผ์ฌํฉ๋๋ค. (*3) ๋ถ๊ฐ์ธ๋ฏธ์๊ธ์ ์ ์ธํ ๊ธ์ก์ ๋๋ค. (*4) ๋ฆฌ์ค๋ถ์ฑ ๋ฐ ์ข ์ ์ ๊ด๋ จ ์ฑ๋ฌด๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. (๋จ์:์ฒ์) ๊ตฌ๋ถ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์ ๊ธฐ๋ง ์ฅ๋ถ๊ธ์ก ๊ณต์ ๊ฐ์น ์ฅ๋ถ๊ธ์ก ๊ณต์ ๊ฐ์น ๊ธ์ต์์ฐ: ๊ณต์ ๊ฐ์น๋ก ์ธ์๋ ๊ธ์ต์์ฐ ์ฅ๊ธฐ๊ธ์ต์์ฐ(*1) 42,290,698 42,290,698 4,823,175 4,823,175 ์๊ณ 42,290,698 42,290,698 4,823,175 4,823,175 ์๊ฐํ์๊ฐ๋ก ์ธ์๋ ๊ธ์ต์์ฐ(*2) ํ๊ธ๋ฐํ๊ธ์ฑ์์ฐ 165,571,372 165,571,372 233,364,727 233,364,727 ๋จ๊ธฐ๊ธ์ต์ํ 192,968,350 192,968,350 221,380,010 221,380,010 ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ(*3) 188,327,068 188,327,068 192,116,396 192,116,396 ์ฅ๊ธฐ๊ธ์ต์ํ 3,000 3,000 3,000 3,000 ์ฅ๊ธฐ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ 595,999 595,999 665,865 665,865 ์๊ณ 547,465,789 547,465,789 647,529,998 647,529,998 ๊ธ์ต์์ฐ ํฉ๊ณ 589,756,487 589,756,487 652,353,173 652,353,173 ๊ธ์ต๋ถ์ฑ: ์๊ฐํ์๊ฐ๋ก ์ธ์๋ ๊ธ์ต๋ถ์ฑ(*2) ๋งค์ ์ฑ๋ฌด๋ฐ๊ธฐํ์ฑ๋ฌด(*4) 217,363,041 217,363,041 185,264,942 185,264,942 ์ฅ๊ธฐ๋งค์ ์ฑ๋ฌด๋ฐ๊ธฐํ์ฑ๋ฌด(*4) 115,900 115,900 115,900 115,900 ๊ธ์ต๋ถ์ฑ ํฉ๊ณ 217,478,941 217,478,941 185,380,842 185,380,842 DART dart.fss.or.kr Page 36
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๋ง. ์๋ณธ๊ด๋ฆฌ ์ฐ๊ฒฐ์ค์ฒด์ ์๋ณธ๊ด๋ฆฌ๋ ํฌ์์์ ์ฑ๊ถ์, ์์ฅ์ ์ ๋ขฐ ๋ฐ ํฅํ ๋ฐ์ ์ ์ํด ์๋ณธ์ ์ ์งํ๋ ๊ฒ์ ๋๋ค. ์๋ณธ๊ด๋ฆฌ๋ ์ฌ๋ฌด๋ถ๋ฌธ์์ ์ฃผ๊ธฐ์ ์ผ๋ก ๋ถ์ฑ๋น์จ์ ํตํ์ฌ ๊ด๋ฆฌ๋๊ณ ์์ต๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง์ ์๋ณธ๊ด๋ฆฌ์งํ๋ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ๋ฐ. ํ์์ํ ๊ณ์ฝ ๋ฐ ์์ตํํฉ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์ฐ๊ฒฐ์ค์ฒด๊ฐ ์ํํํผ๋ชฉ์ ์ผ๋ก ๋ณด์ ํ๊ณ ์๋ ํตํ์ ๋๊ณ์ฝ์ ์์ต๋๋ค. ์ฌ. ์ ์ฉํ์์ํ ํํฉ ๋น์ฌ ๋ฐ ์ฐ๊ฒฐ๋์์ข ์ํ์ฌ์ ์ ์ฉํ์์ํ ํํฉ์ ์์ต๋๋ค. (๋จ์:์ฒ์) ๊ตฌ ๋ถ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์ ๊ธฐ๋ง ๋ถ์ฑ์ด๊ณ 279,104,004 259,973,761 ์๋ณธ์ด๊ณ 1,037,935,767 1,019,390,058 ๋ถ์ฑ๋น์จ 26.89% 25.50% DART dart.fss.or.kr Page 37
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6. Major contracts and research and development activities ๊ฐ. ๊ฒฝ์์์ ์ฃผ์ ๊ณ์ฝ ๋ฑ ๊ณต์์๋ฅ ์์ฑ๊ธฐ์ค์ผ ํ์ฌ ํ์ฌ์ ์ฌ๋ฌด์ํ์ ์ค์ํ ์ํฅ์ ๋ฏธ์น๋ ๋น๊ฒฝ์์ ์ธ ์ค์๊ณ์ฝ ๋ฑ์ ์ฒด๊ฒฐํ๊ณ ์์ง ์์ต๋๋ค. ๋. ์ฐ๊ตฌ๊ฐ๋ฐํ๋ 1) ์ฐ๊ตฌ๊ฐ๋ฐํ๋์ ๊ฐ์ โ ์ฐจ๋๋ถํ๋ถ๋ฌธ ๋ชจํฐ์ ํ์ ๊ธฐ์กด์ ์ค๊ณ ๋ฐ ์์ฐ๊ธฐ์ ์ Upgradeํ์ฌ ๊ฐ๋ฐํ ํ์ํธ๋ ์ธ(Powertrain)์ฉ ๋ชจ ํฐ์ ์นํ๊ฒฝ์๋์ฐจ ๊ด๋ จ ๋ชจํฐ๋ฅผ ์ค์ฌ์ผ๋ก ์์ฅ์ ์ ์จ์ ํ๋ ๋ฐ ์ง์์ ์ธ ์ฑ์ฅ์ ์ํด ๋ ธ๋ ฅ ํ๊ณ ์์ต๋๋ค. ์ค๊ณ ๋ฐ ์ ์กฐ ๊ธฐ์ ์ ํ๋ณดํ ์ฐจ๋ ํธ๋์คํผ์ผ์ด์ค์ฉ ๋ชจํฐ์ ์ ๋์ฌ์ด๋ ์คํ ๋ชจํฐ๋ ๊พธ์คํ ํ๋งค๋ฌผ๋ ์ฆ๋๊ฐ ์์๋๋ฉฐ, MDPS์ฉ Brushless๋ชจํฐ์ ๊ณ ์ถ๋ ฅ ๋ชจํฐ๋ ์ ์ฉ์ฐจ ์ข ์ ๊ณ์ ํ๋ํ์ฌ ๊ฐ๊ณ ์์ต๋๋ค. ํนํ, ์นํ๊ฒฝ ์ฐจ๋ HEV/EV ์์ง์ ์ฅ์ฐฉ๋๋ ๊ตฌ๋๋ชจํฐ ํต์ฌ๋ถํ, ์๋๋ฐ์ ์ฉ ๋ชจํฐ, ํ์ํฉ ๋ฑ์ ์ฃผ์ ๋ชจํฐ๋ ์์ฅํ๋๋ก ์ธํ ๋งค์ถ ์ฆ๋๋ฟ๋ง ์๋๋ผ ๊ทธ๋์์ ์์ฐ ๊ฒฝํ์ผ๋ก ์ ๊ท ๊ณ ๊ฐํ๋์ ๋ง์ ๊ธฐ์ฌ๋ฅผ ํด์ค ๊ฒ์ผ๋ก ๊ธฐ๋ํ๊ณ ์์ต๋๋ค. ๊ทธ๋ฆฌ ๊ณ , ํฅํ ์ ์ฉ์ฐจ๋ ์์ฅ ์ฑ์ฅ์ด ์์๋๋ ์ค์ผํํ(Pump) ๊ตฌ๋์ฉ ๋ชจํฐ์ ์ ์ด์ฅ์น์ ๋งค์ถ ์ฑ์ฅ๋ ์์๋ฉ๋๋ค. ์ ์์ ํ์ 1986๋ RKE(Remote Keyless Entry)๋ฅผ ์์์ผ๋ก Immobilizer ๋ฐ ๊ฐ์ข BCM(Body Control Module)์ ๋ ์์ ์ธ ๊ธฐ์ ๋ก ๊ฐ๋ฐํ์ฌ ์์ฐํ๊ณ ์์ต๋๋ค. ๋น์ฌ ๊ณ ์ ์ ์๊ณ ๋ฆฌ์ฆ์ ์ด์ฉํ Anti-Pinch ๊ธฐ๋ฅ์ด ํฌํจ๋ Motor ์ผ์ฒดํ์ Sunroof Controller๋ฅผ ์์ฐ ์ค์ด๋ฉฐ, Transfer Case Motor ECU์ฌ์ ํ๋๋ฅผ ์ํ ๊ฐ๋ฐ ๊ฒํ ๋ฅผ ์งํ์ค์ ๋๋ค. ์์ธ๋ฌ, ์ ๋์ฐจ ADAS(Advanced Driver Assistance System) ์ ํ ์ ์ฉํ๋์ ๋ฐ๋ฅธ ์ฐจ๋์ฉ Camera์ Display Module์ ์์ฐ ๋ฐ ์ ํ ๊ฐ๋ฐ ์ค์ด๋ฉฐ, ์ง์์ ์๊ฐ์ ๊ฐ ํ๋์ ํตํ ์ฌ์ ์์ต์ฑ ๊ฐ์ ๊ณผ ๊ณ ๊ฐ๋ง์กฑ๋ ํฅ์์ ๋ชจ์ํ๊ณ ์์ต๋๋ค. ๋ํ TPCA(TOYOTA & Stellantis) TNB๋ฅผ ์์ฐ ๊ณต๊ธ ์ค์ด๋ฉฐ, TOYOTA์ ๊ฐ๋ฐ ๋ฐ ์์ฐ ํ๋ก์ธ์ค๋ฅผ ๋ฌธ์ ์์ด ์ํํ์ฌ TOYOTA์๋์ฐจ์ ์ ๊ท ๋ถํ ์ฌ์ ์ ์ง์ถํ ์ ์๋ ๊ธฐํ๋ฅผ ํ๋ณดํ์์ต๋๋ค. DART dart.fss.or.kr Page 38
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์ ์ฅ์ ํ์ 1987๋ Calsonic Kansei์ ๊ณ๊ธฐํ ๊ฐ๋ฐ ๊ด๋ จ ๊ธฐ์ ์ ํด๋ฅผ ํ ์ด๋ 9๋ ๋ง์ธ 1995๋ ๊ณ๊ธฐํ ๋ ์๊ฐ๋ฐ์ ์ฑ๊ณตํ์์ต๋๋ค. ์ดํ ๋์์๋ ๋ณํ์ ํ์ ์ ํตํด ์๋์ฐจ ๋ถํ ์ ์ฒด๋ก์ ๊ตญ๋ด ์ต์ด๋ก CMM Level ์ธ์ฆ์ ํ๋ ๋ฐ์์ผ๋ฉฐ, ์ถ์ ๋ ๊ธฐ์ ๋ ฅ์ ๋ฐํ์ผ๋ก ์ ์ธ ๊ณ ์ ์์ ์๋์ฐจ Maker๋ค์๊ฒ ์ ํ์ ๊ณต๊ธํ๊ณ ์์ต๋๋ค. ์ต๊ทผ์๋ Multimedia Interface๊ฐ ์ ์ฉ๋ Full TFT Cluster๋ฅผ ๊ฐ๋ฐ ์งํ ์ค์ ์์ต๋๋ค. ๋๋ถ์ด, HVAC control ์ฌ์ ๋ GM์ด์ธ์ ์ ๊ท ๊ณ ๊ฐ๊ณผ ๊ณ ๋ถ๊ฐ๊ฐ์น ์ ํ ๊ฐ๋ฐ์ ๋ํ ๊ฒํ ๋ฅผ ์งํํ๊ณ ์์ต๋๋ค. ์ค์์ ํ์ ์ด๊ธฐ์ ๋ ์ผ์ BOGE์ฌ(็คพ)(็พ,ZF Sachs)์ ๊ธฐ์ ์ ํด๋ฅผ ํตํด ๊ฐ๋ฐ์ ํด์์ผ๋ฉฐ, ์ดํ ๋ ์ ๊ธฐ์ ์ ํ๋ณดํ์ฌ ์ ๊ท์ฐจ์ข ๊ฐ๋ฐ์ ๋์ํ๊ณ ์์ต๋๋ค. ํ์ฌ๋ ์ธ๋ ๋ฑ์ ์๋ Shock Absorber ํ์ฌ๋ก ์ค๊ณ, ์์ฐ ๋ถ๋ฌธ์ ๊ธฐ์ ์ ์ ๊ณตํ๊ณ ์์ผ๋ฉฐ, ๋ ์ผ๊ณผ์ ๊ธฐ์ ์ ํด ์ ํ๋ณดํ ๋ด๊ตฌ์ฑ์ด ์ฐ์ํ ๋์์ธ์ ๋ณด์ ํ๊ณ ์์ต๋๋ค. ์ด์ธ์๋ ์๋ ๊ฐ์ ์ฐ๊ตฌ ๊ฐ๋ฐ์ ํตํด ์์ฑ์ํจ ๋ค์ํ ๋์์ธ์ ๋ณด์ ํจ์ผ๋ก์จ ๊ธฐ์ ๋ฐ ๋น์ฉ ๋ถ๋ถ์์ ๊ณ ๊ฐ์งํฅ์ ์ธ ๊ฐ๋ฐ์ ์คํํ๊ณ ์์ต๋๋ค. ์์ง๋ถํ์ ์ด๊ธฐ AC ROCHESTER์ฌ(็คพ)์ ๊ธฐ์ ์ ํด๋ฅผ ํตํด ๊ฐ๋ฐ์ ํด์์ผ๋ฉฐ ์ดํ์๋ ๋ ์ ๊ธฐ์ ์ ํ๋ณดํ์ฌ ์ ๊ท์ฐจ์ข ๊ฐ๋ฐ์ ๋์ํ๊ณ ์์ต๋๋ค. Oil Pump๋ Front Cover, Oil Pump & Water Pump ์ผ์ฒดํ Module์ ๊ฐ๋ฐํ์๊ณ , ๊ฐ๋ณํ Oil Pump(Variable Discharge Oil Pump) ๋ฑ ์ ๊ธฐ์ ๋ถํ๋ค์ ์์ฃผํ์ฌ Module๋ก ๊ฐ๋ฐ ์ง ํ ์ค์ ์์ผ๋ฉฐ, E-Pump (๋ชจํฐ ์ผ์ฒดํ Electric Pump)์ ์์ฐ ์์ฃผ์ ํจ๊ป GM Global์ ์๋๋ณ์๊ธฐ์ฉ Pump ๋ถ์ผ๊น์ง ์ฌ์ ์์ญ์ ํ์ฅํ์์ต๋๋ค. ์์ธ๋ฌ E-Pump (๋ชจํฐ ์ผ์ฒดํ Electric Pump)์ ๋ํด์๋ ์๋ก์ด ํ๋์๋์ฐจ ํ๋ฅ ํ์ด๋ธ๋ฆฌ๋์ฉ ๊ณ ์ ์ ์ ์ด๊ธฐ ์ผ์ฒดํ EOP ์์ฐ ์์ฃผ๋ฅผ ํ์ฌ ์ ๊ท ๊ณ ๊ฐ ํ๋ณด ๋ฐ ์์ฅ ํ๋์ ๊ธฐํ๋ฅผ ๋ง๋ค์์ต๋๋ค. ๋ํ, ์ฐจ์ธ๋ ์ฐจ์ข ์ธ ์ ๊ธฐ์ฐจ์ ์ฌ์ฅ์ ํด๋นํ๋ Drive Unit๋ฅผ ๊ณต๊ธํ์ฌ GM์ผ๋ก๋ถํฐ SOY(Supplier Of the Year)๋ฅผ ์์ํจ์ผ๋ก์จ ์ ๊ธฐ์ ์ ๋ํ ๊ธฐ์ ๊ณผ ํ์ง์ ์ ์ฆ ๋ฐ์์ต๋๋ค. 2022๋ ์๋ ์ฐจ๋์ฉ ์ ์ยท์ ์ฅ๋ถํ ์ํํธ์จ์ด ๊ฐ๋ฐ ํ๋ก์ธ์ค ๊ตญ์ ํ์ค์ธ ์คํ ๋ชจํฐ๋ธ ์คํ ์ด์ค(ASPICE : Automotive Software Process Improvement & Capability Determination) ๋ ๋ฒจ2 ์ธ์ฆ์ ํ๋ํ์ต๋๋ค. ASPICE๋ ๊ธ๋ก๋ฒ ์์ฑ์ฐจ ์ ์ฒด๋ค์ด ๋ถํ์ฌ๋ฅผ ๋์์ผ๋ก ์ค๊ณ, ๊ด๋ฆฌ ๋ฑ ์ํํธ์จ์ด ์์ญ ๊ฐ๋ฐ ํ๋ก์ธ์ค ๋ฐ ํ์ง ๋ฅ๋ ฅ์ ํ๊ฐํ๋ ๊ตญ์ ์ธ์ฆ์ ๋๋ค. ๊ธ๋ก๋ฒ ์์ฑ์ฐจ ์ ์ฒด์ ๋ถํ์ ๊ณต๊ธํ๊ธฐ ์ํด์๋ ASPICE ๋ ๋ฒจ2 ์ด์์ ์ธ์ฆ์ด ํ์ํ ๋งํผ ๊ฐ๋ฐ ํ๋ก์ธ์ค ๋ฐ ํ์ง ๊ฒฝ์๋ ฅ ์ญ๋ ๊ฐํ๋ฅผ ํตํ ๊ฒฝ์๋ ฅ ์ ๊ณ ๋ก ๊ธ๋ก๋ฒ ์๋์ฐจ ๋ถํ ์ ์ฒด๋ก ์์ ์ ์ง๋ฅผ ๋์ฑ ๊ณต๊ณ ํ ๋ค์ง ์ ์๊ฒ ๋๊ณ ์ ๋์ ์ค์ผํํ ๊ฐ๋ฐ ๋ฅ๋ ฅ ๋ฐ ํ์ง ์ ๋ขฐ์ฑ์ ๊ฐ ๊ด์ ์ผ๋ก ์ธ์ ๋ฐ๋ ๊ณ๊ธฐ๊ฐ ๋์ต๋๋ค. โ ๊ธฐํ๋ถ๋ฌธ ๊ฒฝ์์ฒด์ ์ ๋ด์์์ฅ์์ ๊ธฐ์กด K๊ณ์ด ์์ฑ์ด๊ธฐ์ ๋ถํ๋ฅ์ ๋ํ ์์ฃผ๋ ์ง์์ ์ผ๋ก์ด์ด์ง ๊ณ ์์ผ๋ฉฐ, ๊ฒฝ์ ์ด์ธ์ ์ ํ๋ค ์ญ์ ์์ฐ๊ณผ ๊ณต๊ธ์ ์ฐจ์ง ์์ด ์งํ๋๊ณ ์์ต๋๋ค. ์ด๋ฅผ ๋ฐํ ์ผ๋ก ๊ตฌ๊ฒฝ 5.56mm๋ถํฐ 40mm๊น์ง ํ๋ผ์ธ์ ์ ๋ํ ๊ตฌ๊ฒฝ๋ณ ์ ์ ํ ์ฐ๊ตฌ๊ฐ๋ฐ์ ์ด์ด๋๊ฐ๊ณ ์์ต๋๋ค. ๊ตฌ๊ฒฝ 5.56mm ์ ํ ์๋์์ด์ธ STC-16์ K13์ผ๋ก ์ ์๋ช ์นญ์ ๋ถ์ฌ๋ฐ์ ์ฑ๊ณต์ ์ผ๋ก ํ๊ตญ ๊ตฐ์ ๋์ ๋๊ณ ์์ผ๋ฉฐ, ์ด๋ 40๋ ๋ง์ ๊ต์ฒด๋๋ ๋ํ๋ฏผ๊ตญ ๊ตญ๊ตฐ์ ์ ํ ๊ธฐ๊ด๋จ์ด์ผ๋ก ๊ตญ๋ด์ธ ์์ ์ฃผ๋ชฉ์ ๋ฐ๊ณ ์์ต๋๋ค. ์ด๋ฅผ ๋ฐํ์ผ๋ก ์ฐจ์ธ๋ ์์ด์ ๋ํ ์ฐ๊ตฌ๊ฐ๋ฐ์ ์ด์ด ๋๊ฐ ๊ฒ์ ๋ ๋ค. 2022๋ ๋ถํฐ ๋๋์์ฐ ๊ณต๊ธ๋๊ณ ์๋ ๊ตฌ๊ฒฝ 5.56mm K15๊ธฐ๊ด์ด์ ์ด์ด ์ด๋ฅผ ๊ฒฝ๋ํ ๋ฐ ๋จ์ถ ํํ K15 PARA ์ ํ์ ๊ฐ๋ฐํ์์ผ๋ฉฐ ํด๋น ๊ธฐ๊ด์ด์ ํด์ธ์์ถ์์ฅ์ ๊ฒจ๋ฅํ ์ผ์ฌ์์ ๋๋ค. DART dart.fss.or.kr Page 39
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๋ํ, ๊ตฌ๊ฒฝ 7.62mm K16 ๊ธฐ๊ด์ด์ ๋ ธํํ๋ M60๊ธฐ๊ด์ด์ ๋์ฒดํ ๋ฟ๋ง ์๋๋ผ ๋ค์ํ Application์ ํ์ฅ ์ ์ฉ ๊ฐ๋ฅํ ์ ์๋๋ก ์ฐ๊ตฌ๊ฐ๋ฐ๋๊ณ ์์ต๋๋ค. 2020๋ ์ฒซ ์์ ํ ๊ณต๊ฐ์ ๋ง์ ์ด์๋ฅผ ๋ถ๋ฌ์ผ์ผ์ผฐ๋ ๊ตฌ๊ฒฝ 9mm STSM21 ๊ธฐ๊ด๋จ์ด์ ํด์ธ ์์ถ์์ฅ์์ ์๊ตฌํ๋ ๋จ์ถํ ๋ฐ ํธํ์ฑ์ ๋ง์กฑํ๊ธฐ ์ํ ๊ฐ๋ฐ์ ์ด์ด๋๊ฐ๊ณ ์์ผ๋ฉฐ, ํนํ ๊ฒฝ์ฐฐ์ฉ ๊ฐ์ธ๋ฌด์ฅ์ผ๋ก ๊ฐ๋ฐ๋ ๊ตฌ๊ฒฝ 9mm STRV9 ๊ถ์ด์ ์ ์ํํ, ๋ณดํตํ, ๊ณตํฌํ์ ๋ชจ๋ ์ฌ ์ฉํ ์ ์๋ ์ ์ํ๊ถ์ด์ผ๋ก, ์ ์ํํ๊ณผ ํจ๊ป ์ง๋ํด ๋ง ๊ฒฝ์ฐฐ์ฒญ๊ณผ ๊ณต๊ธ๊ณ์ฝ์ ์ฒด๊ฒฐํ์์ต ๋๋ค. ๋น์ฌ๊ฐ ์์ฒด ๊ฐ๋ฐํ ์ ์ํํ์ ํ๋๋ฅผ ํ๋ผ์คํฑ ์ฌ์ง๋ก ์ ์ฉ, ์ด๊ตฌ ์๋๋ฅผ ์ต์ ํํด ๋ณดํตํ์ ์ฝ 10๋ถ์ 1 ์์ค์ ๋ฌผ๋ฆฌ๋ ฅ์ผ๋ก ์๋๋ฅผ ์ ์ํ ์ ์์ผ๋ฉฐ, ์ฑ๋ฅ ๊ฒ์ฌ์ ์์ ์ฑ ์ ํ๋ค์ ๋ชจ๋ ํต๊ณผ, 2026๋ ์ด๋ ๊ณต๊ธ์ ์๋ฃํ์์ผ๋ฉฐ ํ์๋ฌผ๋์ ๊ณต๊ธ์ ์๋๊ณ ์์ต๋๋ค. ๊ทธ๋ฆฌ๊ณ 2022๋ ์ฒ์ ๊ณต๊ฐ๋์๋ ๊ตฌ๊ฒฝ9mm STP9๊ถ์ด์ ํ๊ตญํ ํน์์์ ์ฉ ๊ถ์ด์ ๋ชฉํ๋ก ์ธ๊ณ์ ์ธ ๊ถ์ด๊ฒฉ๋ฐ๋ฐฉ์์ธ ํด๋จธ๋ฆฌ์ค(Hammerless)๋ฅผ ๋์ ํ๊ณ ํด๋ฆฌ๋จธ(Polymer) ์ฌ์ง๋ก ๋ ์ด๋ชธ์ ์ฑํํด ๊ธฐ์กด ๊ถ์ด(K5)๋๋น 10%์ด์ ๊ฐ๋ฒผ์ด ๋ฌด๊ฒ์ ์ฌ์ฉ์ ํธ์์ฑ์ ๋์ด๊ธฐ ์ํ ๋ชฉ ํ๋ก ๊ฐ๋ฐ๋๊ณ ์์ต๋๋ค. ๊ธฐ์กด์ ์ ๊ฒฉ์์ด(K14) ๋๋น ์ฌ๊ฑฐ๋ฆฌ๋ฅผ 2๋ฐฐ์ด์ ๋์ด๋ฉฐ ์ฅ๊ฐ์ด๋ ๊ฑด๋ฌผ ๋ค์ ์จ์ด์๋ ์ ์ ํ ๊ฒฉํ๊ธฐ ์ํด ๊ฐ๋ฐ๋๊ณ ์๋ ๊ตฌ๊ฒฝ 12.7mm ๋๋ฌผ(ไปฃ็ฉ)์ ๊ฒฉ์์ด์ ๋น์ฌ๊ฐ ๊ฐ๊ณ ์๋ ์ด์ด์ ์กฐ ๊ธฐ์ ์ ์ง์ฝํด์ ๋ณด๋ค ์ ํํ๋ฉฐ ๊ฒฉ๋ฐ์ด ์์ ์ ์ธ ์ด๊ธฐ๋ฅผ ๋ชฉํ๋ก ๊ฐ๋ฐ๋๊ณ ์์ต๋๋ค. ๋ ธํํ๋๊ณ ์๋ K4 ๊ณ ์์ ํ๊ธฐ๊ด์ด์ ๋์ฒดํ ๋ชฉ์ ์ผ๋ก ์ฌ๊ฒฉ์ถฉ๊ฒฉ์ ๊ฐ์ ์ํค๋ฉฐ ๊ฒฝ๋ํ๋ ์ ํ ๊ณ ์์ ํ๊ธฐ๊ด์ด์ ๊ฐ๋ฐํ๊ณ ์์ต๋๋ค. ์ด๋ ์ฃผ์ผ ์กฐ์ค์ฅ์น์ ํ๋๊ณ์ฐ๊ธฐ๋ฅผ ์ฅ์ฐฉํ ์ ์์ผ๋ฉฐ, ์ฐจ๋ ๋ฑ ๊ธฐ๋์ฅ๋น์๋ ์ฅ์ฐฉ๋๋๋ก ์ฐ๊ตฌ๊ฐ๋ฐํ๊ณ ์์ต๋๋ค. K1A 5.56mm ๊ธฐ๊ด๋จ์ด ๋์ฒด ์ฌ์ ์ผ๋ก ์งํ๋ ํน์์์ ์ฉ ๊ธฐ๊ด๋จ์ด์ K17๋ก ์ ์๋ช ์นญ์ ๋ถ ์ฌ๋ฐ๊ณ 26๋ ์ด๋ ๊ณต๊ธ์ ์ค๋นํ๊ณ ์์ต๋๋ค. ๊ธฐ์กด ์ ๋ ฅํ๋ K14 ๋๋น ํธ์์ฑ ๋ฐ ๋ด๊ตฌ์ฑ์ ํฅ์์ํค๊ณ ๋ฏธ๋ ๋์์ธ์ด ์ ์ฉ๋ 7.62mm ๋ฐ ์๋ ์ ๊ฒฉ์์ด ํ๊ธฐ๋ฅผ ๊ฐ๋ฐํ๊ณ ์์ต๋๋ค. DART dart.fss.or.kr Page 40
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2) ์ฐ๊ตฌ๊ฐ๋ฐ ๋ด๋น์กฐ์ง ๋น์ฌ ๋ฐ ์ฐ๊ฒฐ๋์์ข ์ํ์ฌ์ ์ฐจ๋๋ถํ ๋ฐ ๊ธฐํ์ฌ์ ์ ์ฐ๊ตฌ๊ฐ๋ฐ ์ ๋ฌด๋ฅผ ์ ๋ดํ๋ ๊ธฐ์ ์ฐ๊ตฌ์ ์์ ์๋์ฐจ๋ถํ ๋ฐ ๋ฐฉ์ฐํ์ ๋ํ ์ฐ๊ตฌ๊ฐ ์ด๋ฃจ์ด์ง๊ณ ์์ผ๋ฉฐ, ์ค์ ์ํ์ผํฐ์์๋ ๊ตญ๊ฐ๊ณต ์ธ๊ต์ ๊ธฐ๊ด์ผ๋ก์์ ์ญํ ๋ ์ํํ๊ณ ์์ต๋๋ค. 3) ์ฐ๊ตฌ๊ฐ๋ฐ๋น์ฉ ๋น์ฌ์ ์ฐ๊ฒฐ๊ธฐ์ค ์ฐ๊ตฌ๊ฐ๋ฐ๋น์ฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ๊ตฌ ๋ถ ํ ์ธ ์ ๋น ๊ณ ์ฐจ๋๋ถํ QM๋ด๋น 9 - ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ1ํ 11 ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ2ํ 6 ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ3ํ 8 ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ4ํ 16 ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ5ํ 8 ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ6ํ 12 ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ7ํ 9 ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ8ํ 9 ๊ธฐ ํ ํน์๊ฐ๋ฐ1,2ํ 24 ํฉ ๊ณ 112 - (๋จ์ : ๋ฐฑ๋ง์) ๊ณผ ๋ชฉ ์ 25๊ธฐ ๋ฐ๊ธฐ ์ 24๊ธฐ ์ 23๊ธฐ ๋น ๊ณ ์ ์ฌ ๋ฃ ๋น 3,283 4,522 3,034 - ์ธ ๊ฑด ๋น 4,326 9,001 8,794 - ๊ฐ ๊ฐ ์ ๊ฐ ๋น 565 1,004 1,023 - ์ ํ ์ฉ ์ญ ๋น 1,262 2,117 1,498 - ๊ธฐ ํ 2,542 9,176 6,633 - ์ฐ๊ตฌ๊ฐ๋ฐ๋น์ฉ ๊ณ 11,978 25,820 20,982 - (์ ๋ถ๋ณด์กฐ๊ธ) (270) (1,290) (1,079) ํ๊ณ์ฒ๋ฆฌ ํ๋งค๋น์ ๊ด๋ฆฌ๋น 11,708 24,530 19,903 - ์ ์กฐ๊ฒฝ๋น - - - - ๊ฐ๋ฐ๋น(๋ฌดํ์์ฐ) - - - - ์ฐ๊ตฌ๊ฐ๋ฐ๋น / ๋งค์ถ์ก ๋น์จ [์ฐ๊ตฌ๊ฐ๋ฐ๋น์ฉ๊ณรท๋น๊ธฐ ๋งค์ถ์กร100] 2.5% 2.6% 2.2% - DART dart.fss.or.kr Page 41
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4) ์ฐ๊ตฌ๊ฐ๋ฐ ์ค์ ๋น์ฌ์ ์ฐ๊ตฌ๊ฐ๋ฐ ์ค์ ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. โ ์ฐจ๋๋ถํ๋ถ๋ฌธ ์ฐ๊ตฌ๊ณผ์ ์ฐ๊ตฌ๊ธฐ๊ฐ ๊ธฐ๋ํจ๊ณผ ๋น ๊ณ MAGNA JL T-CASE ACTUATOR ๊ฐ๋ฐ 15.06 ~ 17.04 MAGNA ์ ๊ท๋งค์ถ ์ฐฝ์ถ MOTOR LTA ์ฐ์๊ฐ๋ณํ Oil Pump ๊ฐ๋ฐ 15.07 ~ 19.02 GM ์ฐจ์ธ๋ ์์ง O/Pump ๊ฐ๋ฐ, ๋งค์ถ ์ฐฝ์ถ O/Pump LT2 ๊ฐ๋ณํ Oil Pump ๊ฐ๋ฐ 15.07 ~ 19.10 GM ์ฝ๋ฒณ ์์ง O/Pump ๊ฐ๋ฐ, ๋งค์ถ ์ฐฝ์ถ O/Pump LT6/7 ์ฐ์๊ฐ๋ณํ Oil Pump ๊ฐ๋ฐ 15.08 ~ 24.05 GM ์ฝ๋ฒณ(๊ณ ์ถ๋ ฅ) ์์ง O/Pump ์ ๊ท๋งค์ถ ์ฐฝ์ถ O/Pump MOBIS TM ์ฐจ์ข MDPS ๋ชจํฐ๊ฐ๋ฐ 15.11 ~ 17.11 ํ๋๊ธฐ์์ฐจ์ข ์ฉ ๊ฐ๋ฐ, ๋งค์ถ์ฐฝ์ถ MOTOR T1XX/K2XX T-CASE ACTUATOR ๊ฐ๋ฐ 16.01 ~ 18.03 MAGNA์ฉ ๊ฐ๋ฐ, ๋งค์ถ์ฐฝ์ถ MOTOR FEFC EV TRATION ๋ชจํฐ๊ฐ๋ฐ 16.07 ~ 17.12 ํ๋๊ธฐ์์ฐจ์ข ์ฉ ๊ฐ๋ฐ, ๋งค์ถ์ฐฝ์ถ MOTOR DT EMTC๋ชจํฐ๊ฐ๋ฐ 16.08 ~ 17.11 BW์ฉ ๊ฐ๋ฐ, ๋งค์ถ์ฐฝ์ถ MOTOR OS EV TRATION ๋ชจํฐ๊ฐ๋ฐ 16.12 ~ 18.01 ํ๋๊ธฐ์์ฐจ์ข ์ฉ ๊ฐ๋ฐ, ๋งค์ถ์ฐฝ์ถ MOTOR Stellantis SVS BOX ๊ฐ๋ฐ 15.11 ~ 18.02 Stellantis Room mirror display ์ ๊ท๋งค์ถ SVS Box OS ๊ณ๊ธฐํ ๊ฐ๋ฐ 15.12 ~ 17.06 ํ๋์ฐจ์ฉ ๊ฐ๋ฐ/๋งค์ถ ์ฐฝ์ถ ๊ณ๊ธฐํ JS ๊ณ๊ธฐํ ๊ฐ๋ฐ 15.12 ~ 18.01 ํ๋์ฐจ์ฉ ๊ฐ๋ฐ/๋งค์ถ ์ฐฝ์ถ ๊ณ๊ธฐํ D20 ๊ฐ๋ณํ Oil Pump ๊ฐ๋ฐ 16.03 ~ 18.12 SAIC MAXUS O/Pump ๊ฐ๋ฐ, ๋งค์ถ ์ฐฝ์ถ O/Pump HFV6 ์ฐ์๊ฐ๋ณํ Oil Pump ๊ฐ๋ฐ 16.03 ~ 19.12 GM ์บ๋๋ฝ์ฉ ์์ง O/Pump ๊ฐ๋ฐ, ๋งค์ถ ์ฐฝ์ถ O/Pump CSS50V ์ฐ์๊ฐ๋ณํ Oil Pump ๊ฐ๋ฐ 16.07 ~ 19.11 Stellantis ์ฐจ์ธ๋ ๋์ ค์์ง O/Pump ๊ฐ๋ฐ, ๋งค์ถ ์ฐฝ์ถ O/Pump 9BUX SA๊ฐ๋ฐ 16.07 ~ 20.01 GM ์๋ณด๋ /๋ทฐ์ต SUV ์ ๊ท๋งค์ถ ์ฐฝ์ถ SA GM 9BUX ๊ณ๊ธฐํ ๊ฐ๋ฐ 16.10 ~ 19.04 GM 9BUX ์์ฃผ ๊ฐ๋ฐ ๋ฐ ์ ๊ท ๋งค์ถ ๊ณ๊ธฐํ OS Traction ๋ชจํฐ๊ฐ๋ฐ 17.08 ~ 18.06 HMC ์ฝ๋ ์ ๊ธฐ์ฐจ ๊ตฌ๋๋ชจํฐ ์์ฐ๊ฐ๋ฐ MOTOR BWPDS์ฉ ๋ชจํฐ๊ฐ๋ฐ(Toyota ์ฐจ๋์ฉ) 17.08 ~ 21.04 Toyota Pick-up Truck์ฉ ๊ฐ๋ฐ, ์ ๊ท ์ฐฝ์ถ MOTOR ๋์ฐ์ธํ๋ผ์ฝ์ด ๊ตด์ญ๊ธฐ ๊ฒ์ดํธ์จ์ด ๋ชจ๋ ๊ฐ๋ฐ 17.09 ~ 19.05 ๊ตด์ญ๊ธฐ ํ์ ๊ฒ์ดํธ์จ์ด ๊ฐ๋ฐ, ๋งค์ถ ์ฐฝ์ถ E-Module Shengrui 8AT Oil Pump ๊ฐ๋ฐ 17.11 ~ 19.06 Shengrui 8๋จ ๋ณ์๊ธฐ์ฉ O/Pump ์ ๊ท๋งค์ถ ์ฐฝ์ถ O/Pump HMC OS HEV ์ฐจ๋ ๊ณ๊ธฐํ ๊ฐ๋ฐ 18.04 ~ 19.06 ํ๋์๋์ฐจ ์ฝ๋ ์ฐจ์ข ์ ํ ๊ฐ๋ฐ, ๋งค์ถ ์ฐฝ์ถ ๊ณ๊ธฐํ MOBIS MQ4 ํ๋ซํผ C-MDPS ๊ฐ๋ฐ 18.03 ~ 19.10 ํ๋์๋์ฐจ ์๋ ํ ์ฐจ์ข MDPS ๋งค์ถ ์ฐฝ์ถ MOTOR ์์ฉ MR Damper ๊ฐ๋ฐ 18.05 ~ 21.06 ์์ฉ์ฐจ์ฉ ์์ํ ๊ฐ๋ฐ SA Duramax ์ธ์ ๊ธฐ์ด Oil Pump ๊ฐ๋ฐ 18.05 ~ 23.01 GM ํฝ์ ํธ๋ญ์ฉ ์์ง O/Pump ์ ๊ท๋งค์ถ ์ฐฝ์ถ O/Pump HMC JSN PE ์ฐจ๋ ๊ณ๊ธฐํ ๊ฐ๋ฐ 18.12 ~ 20.02 ํ๋์๋์ฐจ ๋ฐธ๋ก์คํฐ ์ฐจ์ข ์ ํ ๊ฐ๋ฐ, ๋งค์ถ ์ฐฝ์ถ ๊ณ๊ธฐํ CSS625T ๊ฐ๋ณํ Oil Pump ๊ฐ๋ฐ 18.12 ~ 23.08 GM Compact ์์ง O/Pump ๊ฐ๋ฐ, ๋งค์ถ ์ฐฝ์ถ O/Pump ์น์ฉ MR Damper ๊ฐ๋ฐ 19.01 ~ 23.04 ์น์ฉ์ฐจ์ฉ ์์ํ ๊ฐ๋ฐ SA GS61 ์ฐ์๊ฐ๋ณํ Oil Pump ๊ฐ๋ฐ 19.05 ~ 22.02 SAIC ์ ๊ท ์์ง์ฉ O/Pump ๊ฐ๋ฐ, ๋งค์ถ ์ฐฝ์ถ O/Pump MOBIS K3 ํ๋ซํผ C-MDPS ๊ฐ๋ฐ 19.11 ~ 20.12 ํ๋์๋์ฐจ ์์ด์ค๋ ์ฐจ์ข MDPS ๋งค์ถ์ฐฝ์ถ MOTOR 9BQX SA ๊ฐ๋ฐ 19.12 ~ 23.05 GM ์๋ณด๋ /๋ทฐ์ต CUV ์ ๊ท๋งค์ถ ์ฐฝ์ถ SA FSD (์ฃผํ์๊ฐ์ํDamper) ๊ฐ๋ฐ 20.03 ~ 21.12 ์น์ฉ์ฐจ์ฉ ์์ํ ๊ฐ๋ฐ SA ํ๋ํธ๋์์ค EOP ๊ฐ๋ฐ 20.08 ~ 23.06 Electric Oil Pump Motor ๊ฐ๋ฐ ์ถ์ง MOTOR Zongzhi 8์ATM Oil Pump ๊ฐ๋ฐ 20.09 ~ 22.01 Shengruiํฅ ์๋๋ณ์๊ธฐ O/Pump ์ ๊ท๋งค์ถ ์ฐฝ์ถ O/Pump LS6 ์ฐ์๊ฐ๋ณํOil Pump ๊ฐ๋ฐ 21.11 ~ 25.08 GM ์ฐจ์ธ๋ ์์งO/Pump ๊ฐ๋ฐ, ์ ๊ท๋งค์ถ ์ฐฝ์ถ O/Pump A8R50 8์ATM Oil Pump ๊ฐ๋ฐ 21.11 ~ 23.09 DAE ํฅ ์๋๋ณ์๊ธฐ O/Pump ์ ๊ท๋งค์ถ ์ฐฝ์ถ O/Pump PY ์์์ ๊ธฐ๋ฒ์คMR Damper ๊ฐ๋ฐ 21.12 ~ 22.08 ํ๋์์ฉ์ฐจ/ํ๋๋กํ S/A ๊ฐ๋ฐ, ์ ๊ท๋งค์ถ ์ฐฝ์ถ SA iMEB3 ๋ชจํฐ ๊ฐ๋ฐ 21.07 ~ 23.03 ํ๋๋ชจ๋น์ค 3์ธ๋ ์ ๋๋ชจํฐ ๊ฐ๋ฐ, ์ ๊ท๋งค์ถ ์ฐฝ์ถ MOTOR ํ๋์์ ์ ๋์ ์์ถ๊ธฐ(๋๋งค) ๊ฐ๋ฐ 22.01 ~ 23.12 ํ๋์์ e-COMP ๋ชจํฐ ๊ฐ๋ฐ, ์ ๊ท๋งค์ถ ์ฐฝ์ถ MOTOR ์ฐ์ ๊ธฐ๊ณ์ฉ Plug-In Hybrid ์์ง E-Motor ๊ฐ๋ฐ 22.05 ~ 25.12 ํ๋๋์ฐ์ธํ๋ผ์ฝ์ด ์นํ๊ฒฝ ํ์ด๋ธ๋ฆฌ๋์ฉ ๊ตฌ๋ ๋ชจํฐ ์์ํ ๊ฐ๋ฐ, ์ ๊ท๋งค์ถ ์ฐฝ์ถ MOTOR ๊ตํฉ Power Flow ํ ํด๋ก์ง ์ ์ด ๋ฐ ์ ์ด ๊ธฐ์ ์ ์ด ์ฉํ EMT์ฉ ๊ตฌ๋ ๋ฐ ์ธ๋ฒํฐ 22.02 ~ 25.12 ํํ์์ด๋ก์คํ์ด์ค๋ฅผ ํตํEMT(Electro-Mechanical Transmission)์์ํ ๊ฐ๋ฐ (๊ตฌ๋๋ชจํฐ/์ธ๋ฒํฐ, ์กฐํฅ๋ชจํฐ/์ธ๋ฒํฐ) MOTOR INVERTER ํ๋ํธ๋์์ค EDS Motor & Inverter ๊ฐ๋ฐ 24.10 ~ 28.12 ํ๋ํธ๋์์ค ๊ตฌ๋๋ชจํฐ ์์ฐ ๊ฐ๋ฐ, ๋งค์ถ์ฐฝ์ถ MOTOR DART dart.fss.or.kr Page 42
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โ ๊ธฐํ๋ถ๋ฌธ ํ๋์๋์ฐจ TMED2 R7 EOP ๊ฐ๋ฐ 24.10 ~ 26.02 ์ ๋ค์์ค ํ๋ฅHEV์ฉ ๊ณ ์ ์ ์ ์ด๊ธฐ ์ผ์ฒดํ EOP, ์ ๊ท๋งค์ถ ์ฐฝ์ถ O/Pump ๋ฌด์ ์ ๋ ฅ์ ์กWRSM ๊ตฌ๋๋ชจํฐ ๊ฐ๋ฐ 25.04 ~ 27.02 ์๊ตฌ์์ ๋ฏธ์ฌ์ฉ ๊ตฌ๋๋ชจํฐ ์ ํ๊ฐ๋ฐ MOTOR ํ๋๋ชจ๋น์ค ํ์ํฉ ์ด์ ๋ธ๋ฆฌ ๊ฐ๋ฐ 25.04 ~ 26.05 ํ๋๋ชจ๋น์ค ์ธ๋๋ฒ์ธ ํ์ํฉ ์ด์ ๋ธ๋ฆฌ(MDPS ๋ชจํฐ + ์ ์ด๊ธฐ ํตํฉํ) ๊ฐ๋ฐ MOTOR JLR Smart DSS Motor 25.04 ~ 27.03 Motor + ECU ํตํฉํ ๋์์ธ ๋ชจํฐ ๊ฐ๋ฐ MOTOR ์ด๊ณ ์ ๊ตฌ๋๋ชจํฐ ๊ฐ๋ฐ 26.04 ~ 29.12 ์ต๊ณ ์๋ 30,000RPM ๊ตฌ๋๋ชจํฐ ์ ํ๊ฐ๋ฐ MOTOR ์ฐ๊ตฌ๊ณผ์ ์ฐ๊ตฌ๊ธฐ๊ฐ ๊ธฐ๋ํจ๊ณผ ๋น ๊ณ 7.62mm ๊ธฐ๊ด์ด-II ๊ตฌ๋งค์ฌ์ (๊ธฐ๋ณธํ, ์น๋ฌด์ํ, ๊ณต์ถํ) 19.08 ~ 24.12 ์ ๋ ฅํ, ์ถ๊ฐ ๊ณ์ฝ ์ถ์ง ๊ธฐ๊ด์ด 5.56mm ๊ฒฝ๊ธฐ๊ด์ด-II ๊ฐ๋ฐ 16.03 ~ 18.12 ์ ๋ ฅํ ์งํ ๊ธฐ๊ด์ด ์ ์ ๋ฌผ๋ฆฌ๋ ฅ์ ๊ฐ์ถ ์ค๋งํธ ๋์ฒด์ฅ๋น ๊ฐ๋ฐ 16.07 ~ 20.07 ๋ฏผ์(๊ฒฝ์ฐฐ) ์์ ๊ณ์ฝ ์ถ์ง ๋น์ด์๊ถ์ด ํน์์์ ์ฉ ๊ธฐ๊ด๋จ์ด(IIํ) 21.07 ~ 24.02 ์ํํ๊ฐ ํ ๋ฉํ์๋ฃ / ์ ๊ท ์์ฃผ ๊ฐ๋ฐ ์งํ ๊ธฐ๊ด๋จ์ด ๊ฒฝ์ฐฐ์ํด์ฑ ์ฅ๋น ์์ ์ฑ ๋ฐ ์ํด์ฑ ๊ฒ์ฆ ์ฐ๊ตฌ 21.07 ~ 24.12 ์น์ํ์ฅ ๋ง์ถคํ ์ฐ๊ตฌ๊ฐ๋ฐ ์ฌ์ ๋น์ด์๊ถ์ด ์ ๊ธฐ๊ธฐ๋ฐ ์ํด์ฑ์ฅ๋น(3์ข ) ๋ฐ ์ ์ํ๊ถ์ด(1์ข ), ์ ์ํํ(1์ข ) ํ์ค๊ท๊ฒฉ ๊ฐ๋ฐ 22.04 ~ 25.12 ์ํด์ฑ ์ฅ๋น ๋ฐ ์ ์ํ๊ถ์ด, ์ ์ํํ์ ํ์ค๊ท๊ฒฉ ๊ฐ๋ฐ ๋ฐ ๊ด๋ จ์ฅ๋น์ ํ์ง/์ ๋ขฐ์ฑ/์์ ์ฑ ํ๋ณด ๋น์ด์๊ถ์ด K201 ์ ํ๋ฐ์ฌ๊ธฐ ์์ ์ฑ ํฅ์ ์ฌ์ 22.12 ~24.11 K2์์ด ์ฑ๋ฅ ๊ฐ์ ๋ฐ ์ ํฌ๋ฅ๋ ฅ ํฅ์์ ์ํ K201 ์ ํ๋ฐ์ฌ๊ธฐ๋ฅผ ๋ถ์ฐฉํ์ผ๋ก ๊ฐ๋ฐ/๋ฉํ ์ ํ๋ฐ์ฌ๊ธฐ K1A ๊ธฐ๊ด๋จ์ด ์์ ์ฑ ํฅ์ ์ฌ์ 22.12 ~ 24.11 K1A ๊ธฐ์กด ์์ด์ ์ฑ๋ฅ๊ฐ์ ๋ฐ ์ ํฌ๋ฅ๋ ฅ ํฅ์์ ์ํ ๊ฐ๋ํ ๊ฐ๋จธ๋ฆฌํ์ ๊ฐ๋ฐ/๋ฉํ ๊ธฐ๊ด๋จ์ด 12.7mm ๋๋ฌผ ์ ๊ฒฉ์ด 20.10 ~ 24.11 ๊ฐ๋ฐ ์๋ฃ ํ ์์ถ ์์ด 5.56mm ๊ฒฝ๊ธฐ๊ด์ด-II PARAํ ๊ฐ๋ฐ 24.04 ~ 25.06 K15 ๊ธฐ๋ฐ PARAํ ๊ฒฝ๊ธฐ๊ด์ด ๊ฐ๋ฐ ๊ธฐ๊ด์ด 9mm ๊ธฐ๊ด๋จ์ด 21.01 ~ 25.06 ๊ฐ๋ฐ ์๋ฃ ํ ์์ถ ๊ธฐ๊ด๋จ์ด ์ ํ ๊ณ ์์ ํ๊ธฐ๊ด์ด 24.01 ~ 26.12 ๊ฒฝ๋ ๊ณ ์ฑ๋ฅ ๊ณ ์์ ํ๋ฐ์ฌ๊ธฐ ์ฒด๊ณ๊ฐ๋ฐ ์ฌ์ ์์ ์ ํ์ฐ๊ตฌ ๊ณ ์์ ํ๊ธฐ๊ด์ด ์ ์ํํ 24.06 ~ 26.08 ์ ๊ท์ฌ์ ์์ ํ๋, ๋ฏผ์(๊ฒฝ์ฐฐ) ํ์ฝ ๋ฉํ ํ์ฝ ๋ฐ์๋ ์ ๊ฒฉ์์ด 25.01 ~ 26.12 ํด์ธ๊ณ ๊ฐ ์์ ๋์ ์์ด 12.7mm ๋๋ฌผ์ ๊ฒฉ์ด ์ฑ๋ฅ๊ฐ์ 25.10 ~ 26.12 ๋๋ฌผ์ ๊ฒฉ์ด ์ฑ๋ฅ๊ฐ์ ์ ํ ๊ฐ๋ฐ ์์ด ์ ํ ๋ฆฌ๋ณผ๋ฒ ๊ถ์ด 25.12 ~ 26.12 ๊ฒฝ์ฐฐ ๋ฐ ๋ฏผ์์ฉ ๊ถ์ด ๊ฐ๋ฐ ๊ถ์ด ์ด์ด์ฑ๋ฅํฅ์ ์ฐ๊ตฌ 25.12 ~ 26.12 ํ๊ตญํ์์ด-II ์ฌ์ ์ ํ์ํ ํต์ฌ๊ธฐ์ /์ญ๋ ํ๋ณด ์์ด ์ฐจ์ธ๋ ๊ถ์ด ๊ฐ๋ฐ 26.01 ~ 26.12 ํด์ธ ๊ณ ๊ฐ ์์ ๋์ / ํ๊ตญ๊ตฐ ์ฐจ์ธ๋ ๊ถ์ด ํ๋ ์ฌ์ ๋์ ๊ถ์ด 7.62mm NATO ํ์คํ์ฉ ๋๊ฒฉ์์ด 26.06 ~ 27.06 ํด์ธ ๊ณ ๊ฐ ์์ ๋์ ์์ด ํน์์์ ์ฉ๊ธฐ๊ด๋จ์ด(Iํ) 25.04 ~ 27.12 ๊ธฐ์กด K1A๊ธฐ๊ด๋จ์ด ์ฌ์ฉ๋ถ๋ ๊ต์ฒด ์ ๋ ฅ๊ทน๋ํ ๊ธฐ๊ด๋จ์ด DART dart.fss.or.kr Page 43
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7. Other details ๊ฐ. ์ฌ์ ๋ถ๋ฌธ๋ณ ํํฉ (1) ์ฐจ๋๋ถํ์ฌ์ โ ์ฌ์ ์ ํน์ฑ ์ ๋ฐฉ์ฐ์ ์ธ ์์ฑ์ฐจ ์ ์กฐ์ ๊ณผ ๋๋ถ์ด ์๋์ฐจ์ฐ์ ์ ๊ฒฝ์๋ ฅ์ ์ข์ฐํ๋ ์๋์ฐจ ๋ถํ์ฐ์ ์ ํ ๋ฐฉ์ฐ์ ์ธ ์์ฌ, ์ ๊ธฐยท์ ์, ๋น์ฒ ๊ธ์, ์ฒ ๊ฐ, ํํ, ์ฌ์ ์ฐ์ ๋ฑ ๋ค์ํ ์ฐ๊ด์ฐ์ ์ผ๋ก์ ํ๊ธํจ ๊ณผ๊ฐ ๋๋จํ ์ปค์ ์์ถ, ๊ฒฝ์์์ง, ๊ณ ์ฉ ๋ฑ์ ์ด๋ฅด๊ธฐ๊น์ง ๊ตญ๊ฐ๊ฒฝ์ ์์ ๋ง์คํ ์ญํ ์ ๋ด๋นํ ๊ณ ์๋ ์ฐ์ ์ ๋๋ค. ์๋์ฐจ๋ถํ์ฐ์ ์ ์์ ์ฑ๊ณผ ์ ๋ขฐ์ฑ์ด ๋งค์ฐ ์ค์ํ๊ณ , ๋ถํ๊ณต๊ธ ๊ตฌ์กฐ์ ํน์ฑ์ ๋ถํ์ ์ฒด๋ค๊ณผ ์์ฑ์ฐจ์ ์ฒด๋ค์ด ๊ฐ๋ฐ๋ถํฐ ์์ฐ๊น์ง ๊ฐ์ด ํ์ ์ ํด์ผ ํ๊ธฐ ๋๋ฌธ์ ๊ฒ์ฆ์ด ์ ๋ ์ ๊ท ์ ์ฒด์ ์ง์ ์ด ๋งค์ฐ ์ด๋ ค์ ์์ฑ์ฐจ์ ์ฒด์ ๋ถํ์ ์ฒด ๊ฐ, 1์ฐจ ๋ถํ์ ์ฒด์ 2์ฐจ ๋ถํ์ ์ฒด ๊ฐ ์์ง์ ์ด๊ณ ํ์์ ์ธ ๊ด๊ณ๋ฅผ ๊ฐ์ง๊ณ ์๊ณ , ์ค์ ๋ง์ ์๋์ฐจ ๋ถํ์ ์ฒด๋ค์ด ์์ฑ์ฐจ์ ์ฒด ์ค์ฌ์ ๊ธด๋ฐํ ํ ๋ ฅ ๊ด๊ณ๋ฅผ ์ฌ์ ํ ์ ์งํ๊ณ ์์ต๋๋ค. ์ด๋ฌํ ๋ถํ์ฐ์ ๊ตฌ์กฐ๋ ์๋์ฐจ ์์ฅ์ ๋ฐ์ ๊ณผ ๊ถค๋ฅผ ๋ง์ถฐ ๊ธด ์๊ฐ ๋์ ์ง์๋์ด ์์ง๋ง, ํ ํธ์ผ๋ก ์ต๊ทผ์ ๋น ๋ฅด๊ฒ ๋ฐ์ ํ๊ณ ์๋ ๋ฏธ๋์๋์ฐจ ๊ธฐ์ ์ ๊ธฐ์กด ์๋์ฐจ ๋ถํ์ฐ์ ๊ตฌ์กฐ๋ฅผ ๋ณํ ์ํฌ ์ค์ํ ์์ธ์ด ๋ ๊ฒ์ ๋๋ค. ํ์ฌ ๊ธ๋ก๋ฒ ์๋์ฐจ ์์ฅ์์๋ 100์ฌ๋ ์๋์ฐจ ์ฐ์ ์ ๊ทผ๊ฐ์ ๋คํ๋๋ ํ๊ดด์ ์ธ ๋ณํ๊ฐ ์งํ ์ค์ ๋๋ค. ์ฒซ์งธ, ํ์์ค๋ฆฝ์ ๊ธฐ์น ํ์ ๋ฏธ๊ตญยทEUยท์ค๊ตญ ๋ฑ ์ฃผ์๊ตญ์ด ๊ณต๊ฒฉ์ ์ผ๋ก ์นํ๊ฒฝ์ฐจ ๋ณด๊ธ์ ๊ฐ์ํ ํ๊ณ ์์ผ๋ฉฐ, 2030๋ ์นํ๊ฒฝ์ฐจ ํ๋งค ๋น์ค์ ๋ด์ฐ์ฐจ์ ๋น์ทํ ์์ค์ผ๋ก ํ๋๋ ๊ฒ์ผ๋ก ์์ ํ๊ณ ์์ต๋๋ค. ๋์งธ, ์ฝ๋ก๋19, ๋ฌ์์-์ฐํฌ๋ผ์ด๋ ์ฌํ ๋ฐ ์ต๊ทผ์ ๋ฏธ๊ตญ๋ฐ ๋ฌด์ญ๊ฐ๋ฑ, ๋ฏธ๊ตญ-์ด๋ ์ ์ ๋ฑ์ ๊ฑฐ์น๋ฉด์ ์ฐจ๋์ฉ ๋ฐ๋์ฒด, ์์์ฌ ๋ฑ์์ ๊ณต๊ธ๋ง ๋ถ์์ด ์ผ์ํ๋๊ณ ์๊ณ , ์ด๋ ์์ฐ๋ฌผ๋๊ณผ ์ ์กฐ์๊ฐ ๋ฑ์ ์ง์ ์ ์ธ ์ํฅ์ ๋ฏธ์น๊ณ ์์ต๋๋ค. ์ ์งธ, ๋ณดํธ๋ฌด์ญ์ฃผ์์ ์๊ตญ์ค์ฌ์ฃผ์ ๊ธฐ์กฐ๊ฐ ํ์ฐ๋๊ณ ์์ต๋๋ค. ๋ท์งธ, ์๋์ฐจ์ ํต์ฌ ๊ฒฝ์๋ ฅ์ ์ข์ฐํ๋ ์ค์ฌ์ถ์ด ํ์ํธ๋ ์ธ(์์งยท๋๋ ฅ)์์ ๋ฐฐํฐ๋ฆฌ์ ์ํ ํธ์จ์ดยท๋ฐ๋์ฒด ๋ฑ์ผ๋ก ์ด๋ํ๋ฉด์ ๋ฐฐํฐ๋ฆฌยทIT ๊ธฐ์ ๋ฑ๊ณผ์ ์ํ์ ๋ถ์ ๊ตฌ์กฐ๊ฐ ํ๋๋๊ณ ์๊ณ , ์ด์ ๋์ํ ์ฃผ์ ์์ฑ์ฐจ ๊ธฐ์ ์ ํต์ฌ ๊ณต๊ธ๋ง ๋ด์ฌํ ๋ ธ๋ ฅ๋ ์ ์ฐจ ๊ฐํ๋๊ณ ์์ต๋๋ค. ๋ง์ง๋ง์ผ๋ก, ์์จ์ฃผํยทํต์ ๊ธฐ์ ์ ๊ธฐ๋ฐ์ผ๋ก ์๋์ฐจ ์ฐ์ ์ ๊ฒฝ๊ณ๊ฐ ์๋น์ค ์ฐ์ ๊น์ง ํ์ฅ๋ ๊ณ ์๊ณ , ๋์ฌํญ๊ณต๊ตํต(UAM)์ ๋น๋กฏํ ์๋ก์ด ์ด๋์๋จ์ด ์ถํํ๋ '๋ชจ๋น๋ฆฌํฐ ํ๋ช '์ด ์ผ์ด ๋๊ณ ์์ต๋๋ค. ๊ธ๋ก๋ฒ ์๋์ฐจ ์ฐ์ ์ ํจ๋ฌ๋ค์ ๋ณํ๋ ๊ธฐ์ ์๊ฒ ์๊ธฐ ๋ฐ ๊ธฐํ์์ธ์ผ๋ก ์์ฉํ ๊ฒ์ผ๋ก ์์ ๋๋ฉฐ ๋น ๋ฅด๊ฒ ๋ณํํ๋ ์ธ๋ถํ๊ฒฝ์ ์ด๋ป๊ฒ ๋์ํ๋๋์ ๋ฐ๋ผ ์๋์ฐจ์ฐ์ ๊ด๋ จ ๊ธฐ์ ์ ์ด๋ช ์ด ์ข์ฐ๋ ๊ฒ์ ๋๋ค. โ ์ฐ์ ์ ์ฑ์ฅ์ฑ 2025๋ ๊ธ๋ก๋ฒ ์๋์ฐจ ํ๋งค๋ ์ ๋ ๋๋น 4.6% ์ฆ๊ฐํ 9,671๋ง๋๋ฅผ ๊ธฐ๋กํ์์ต๋๋ค. (Sources: Marklines) ๋ฏธ ๊ด์ธ ๋ถ๊ณผ์ ์ํ ๊ธ๋ก๋ฒ ๋ฌด์ญ ์์ถ ์ ๋ง์๋ ๋ถ๊ตฌ, ์์์ ์ง์ญ์ด ์ฑ์ฅ์ ์ฃผ๋ํ๋ฉฐ ์ฝ๋ก ๋19 ์ด์ (2019๋ )์ 9,364์ฒ๋ ์์ค์ ํ๋ณตํ์์ต๋๋ค. ๋ถ๋ฏธ์ง์ญ์ ๊ด์ธ ์ํฅ, ๋ฏธ๊ตญ ์์ฅ ์ ์์ ๋ฐ์ ์ดํ 4๋ถ๊ธฐ ์์ ์์ง, ์ ๊ธฐ์ฐจ ์์ฅํ๊ฒฝ ์ ํ ๋ฑ์๋ ๋ถ๊ตฌํ์ด๋ธ๋ฆฌ๋ ์ฐจ๋์ด ์ ์ฐจ ์์ฅ์ ์ฑ์ฅ์ ๊ฒฌ์ธํ๋ฉฐ ์ ๋ ๋๋น 1.6% ์ฆ๊ฐ, ์ ๋ฝ์ง์ญ์ ํ๋์ค, ์ดํ๋ฆฌ์, ๋ ์ผ ๋ฑ ์์ ๋ฝ ์ฃผ์๊ตญ์ ๊ฒฝ์ ๋ฐ ์ ์น์ ์ญํ, ๋์ ๊ธฐ์ค๊ธ๋ฆฌ๋ก ์ธํ ๋ฌ์์ ์์ฅ ๋ถ์ง ๋ฑ์ผ๋ก ์ ๋ ๋๋น 1.0% ๊ฐ์, ์์์์ง์ญ์ ์ค๊ตญ ์ ๋ถ์ ๋ ธํ์ฐจ ๊ต์ฒด ๋ณด์กฐ๊ธ ํ๋์ ๊ณต๊ฒฉ์ ์ธ ๊ฐ๊ฒฉ๊ฒฝ์, ์ผ๋ณธ DART dart.fss.or.kr Page 44
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์ ์ ๋ ๋ ํ์ง ์ธ์ฆ ์ด์๋ก ์ธํ ํ๋งค๋ถ์ง์์์ ํ๋ณต, ์ธ๋์ GST ์ธ์จ ์ธํ ๋ฑ์ผ๋ก ์ ๋ ๋๋น 7.6% ์ฆ๊ฐํ์์ต๋๋ค. 2025๋ ๊ธ๋ก๋ฒ ์ ๊ธฐ๋๋ ฅ์ฐจ(BEV+PHEV) ์์ฅ์ ์ ๋ ๋๋น 26% ์ฑ์ฅํ 2,266๋ง๋๋ก๊ธ๋ก๋ฒ ์ ์ฐจ ์์ฅ์ ์ฝ 23.4%๋ฅผ ์ฐจ์งํ์์ต๋๋ค.(Sources: Marklines) ์ค๊ตญ์ ์ ์ฒด ์ ๊ธฐ์ฐจ ํ๋งค์ 68%๋ฅผ ์ฐจ์งํ์์ผ๋ฉฐ, ์ ๋ฝ 18%, ๋ฏธ๊ตญ 7% ์์ค์ผ๋ก ์ง๊ณ๋์ต๋๋ค. ๋ฏธ๊ตญ์ ์ฐ๋น๊ท์ ์ํ, IRA 7500๋ฌ๋ฌ ์ธ์ก๊ณต์ ์ข ๋ฃ์ ๋ฐ๋ฅธ ๊ตฌ๋งค์ฌ๋ฆฌ ์์ถ ๋ฑ์ผ๋ก ์ ์ฒด๋์์ต๋๋ค. ์ด์ธ ์ค๊ตญ ์ ์กฐ ์ฌ์ ๊ฐ๋ฐฉ๋ ํธ์ฃผ, ํ๊ตญ, ๋ธ๋ผ์ง, ํ๋ฅดํค์ ๋ฑ ์ ํฅ์์ฅ๋ ์ค๊ตญ๊ณ ์ ๊ธฐ์ฐจ๊ฐ ๋ณด๊ธ๋๋ฉด์ ์ ๊ธฐ ์ฐจ ํ๋งค๋์ด ๋น ๋ฅด๊ฒ ์ฆ๊ฐํ๊ณ ์์ต๋๋ค. 2026๋ ๊ธ๋ก๋ฒ ์๋์ฐจ ์์๋ ์ ๋ ๊ณผ ์ ์ฌํ ์์ค์ 9,613๋ง๋๋ก ์ ๋ง๋ฉ๋๋ค.(Sources: Global Data) ์ค๋จ๋ฏธ, ์ค๋, ์ํ๋ฆฌ์นด ์ง์ญ์ ์ค์ฌ์ผ๋ก ๋์ ์ฑ์ฅ์ด ์์๋๋, ๋ฏธ๊ตญยท์ ๋ฝ์ ์ ์ฑ์ฅ์ธ๊ฐ ์ง์๋๊ณ , ์ค๊ตญ ๋ฑ ์์์ ์์ฅ ์ฑ์ฅ์ ๋ํํ ๊ฒ์ผ๋ก ์ ๋ง๋ฉ๋๋ค. ๋ถ๋ฏธ์ง์ญ์ ์ธ ์ผํฐ๋ธ ๊ฐ์ ๋ฐ ๊ฐ๊ฒฉ์ธ์ ์๋ฐ ๋ฑ ์ง์ฐ๋ ๊ด์ธ ํ๊ธ ํจ๊ณผ๊ฐ ์ฐ๋ ค๋๋ ๊ธ๋ฆฌ์ธํ ๊ธฐ๋์ 'OBBBA' ๊ฐ์ธ ์ ์ฑ ๋ฑ์ผ๋ก ์ ๋ ์ ์ฌ ์์ค์ผ๋ก ์์๋ฉ๋๋ค. ์ ๋ฝ์ง์ญ์ ๋ฌ-์ฐ ์ ์ ๋ฑ ์ง์ ํ์ ๊ธด์ฅ์ ์ํ์์ธ์ด ์ฌ์ ํ ์กด์ฌํ๋, ์์ ๋ฝ ๋ฐ ๋์ ๋ฝ ๋ชจ๋ ์ ์ง์ ํ๋ณต์ธ๊ฐ ์ ๋ง๋ฉ๋ ๋ค. ์์์์ง์ญ์ ์ธ๋ ์์ฅ์ด ๊ฒฌ์กฐํ ์ฑ์ฅ์ธ๋ฅผ ์ ์งํ๋ ๋ฐ๋ฉด, ์ค๊ตญ์ ๊ฐ๊ฒฉ๊ฒฝ์ ์ํ ๋ฑ์ผ๋ก ์ฑ์ฅ์ธ ๋ํ, ์ผ๋ณธ์ ๊ณ ๋ นํ ๋ฑ ์ธ๊ตฌํต๊ณํ์ ๋ฌธ์ ๋ก ์ ํ์ ์ฑ์ฅ์ ๊ทธ์น ๊ฒ์ผ๋ก ์ ๋ง๋ฉ๋๋ค. (์ถ์ฒ : KAMA "2025๋ ์๋์ฐจ์ฐ์ ํ๊ฐ ๋ฐ 2026๋ ์ ๋ง") โ ๊ฒฝ๊ธฐ๋ณ๋์ ํน์ฑ 2026๋ 1~6์ ๊ตญ๋ด ์์ฑ์ฐจ ์์ฐ์ ์ค๋์ ์ ์ํฅ์ ๋ฐ๋ฅธ ์์ถ ๋ฌผ๋ ๊ฐ์์ ์์ ๊ณต์ ํ์ฌ ์ ๋ฐ๋ฅธ ๋ถํ ์๊ธ ์ฐจ์ง ์ํฅ์๋ ๋ถ๊ตฌํ๊ณ ๊ฐ๋ณ์๋น์ธ ์ธํ ์ข ๋ฃ๋ฅผ ์๋ ๋ด์ ์ถ๊ณ ํ๋์ ์นํ๊ฒฝ์ฐจ ์ค์ฌ์ ์์ถ ํ๋ณต์ด ๋ง๋ฌผ๋ฆฌ๋ฉฐ ์ ๋ ๋๊ธฐ ์์ค์ ์ ์งํ 211๋ง1์ฒ๋๋ฅผ ๊ธฐ๋กํ์์ต ๋๋ค. 1์ ์์ฐ์ ์ค์ฐํด ์ด๋์ ๋ฐ๋ฅธ ์กฐ์ ์ผ์ ์ฆ๊ฐ์ ์ผ๋ถ ์ ์ฒด์ ์ ๋ ๋ ๊ณต์ฅ๊ฐ๋ ์ค๋จ์ ๋ฐ๋ฅธ ๊ธฐ์ ํจ๊ณผ ๋ฑ์ด ๋์์ ์์ฉํ๋ฉฐ ์ ๋ ๋์๋๋น 24.1% ์ฆ๊ฐํ 360,504๋๋ฅผ ๊ธฐ๋กํ์์ต๋๋ค. ํ๋๋ ์กฐ์ ์ผ์ ์ฆ๊ฐ๋ก ๋๋ถ๋ถ์ ์ฐจ์ข ์์ ์์ฐ์ด ํ๋๋์๊ณ , ์ ๊ธฐ์ฐจ ๋ด์ ํ๋งค ์ฆ๊ฐ๋ก ์ ๊ธฐ์ฐจ ์์ฐ๋ ํ๋ณตํ๋ฉฐ ์ ๋ ๋์๋๋น 16.3% ์ฆ๊ฐํ์๊ณ , ๊ธฐ์๋ ์ ๊ธฐ์ฐจ ๋ด์ยท์์ถ ํ๋๋ก ๊ด ๋ช ยทํ์ฑ ์ ๊ธฐ์ฐจ ์ ์ฉ EVO ํ๋ํธ(EV4, EV5, PV5 ๋ฑ) ๊ฐ๋๋ฅ ์ด ์์นํ์๊ณ , ์กฐ์ ์ผ์ ์ฆ๊ฐ ํจ๊ณผ๊ฐ ๋ํด์ง๋ฉฐ ์ ๋ ๋์๋๋น 22.6% ์ฆ๊ฐํ์๊ณ , ํ๊ตญ์ง์ ์ ๋ด์ํ๋งค ๋ถ์ง ์ง์์๋ ๋ถ๊ตฌ , ์ค ์ฐํด ์กฐ์ ์ผ์ ์ฆ๊ฐ๋ก ์ ๋ต ์ฐจ์ข ๋ถ๋ฏธ ์์ถ ๋ฌผ๋ ์์ฐ์ด ์ฆ๊ฐํ๋ฉด์ ์ ๋ ๋์๋๋น 41.8% ์ฆ๊ฐํ์์ต๋๋ค. 2์ ์์ฐ์ ์ค์ฐํด ์ด๋์ ๋ฐ๋ฅธ ์กฐ์ ์ผ์ ๊ฐ์ ์ํฅ์ผ๋ก ์ ์ ์กฐ์ฌ์์ ์์ฐ์ด ์ค์ด๋ค๋ฉฐ ์ ๋ ๋์๋๋น 21.0% ๊ฐ์ํ 278,250๋๋ฅผ ๊ธฐ๋กํ์์ต๋๋ค. ํ๋๋ ์์ด์ค๋5ยท์์ด์ค๋9, GV60 ๋ฑ ์ ๊ธฐ์ฐจ์ ํฐ๋ฆฌ์ธ์ด๋ ๋ฑ ํ์ด๋ธ๋ฆฌ๋ ์ผ๋ถ ๋ชจ๋ธ์์ ์์ฐ์ด ์ฆ๊ฐํ์์ผ๋, ์กฐ์ ์ผ์ ๊ฐ์ ์ํฅ์ผ๋ก ์ ์ฒด ์์ฐ์ ์ ๋ ๋์๋๋น 24.8% ๊ฐ์ํ์๊ณ , ๊ธฐ์๋ EV4, EV5, PV5 ๋ฑ ์ ๊ธฐ์ฐจ ์ ๋ชจ๋ธ์ ์ค์ฌ์ผ๋ก ์์ฐ ๋ฌผ๋์์ฆ ํจ๊ณผ๊ฐ ์์์ผ๋ ์ด์ธ ๋๋ถ๋ถ์ ๋ชจ๋ธ๋ค์ ์์ฐ์ด ์ค์ด๋ค์ด ์ ๋ ๋์๋๋น 22.1% ๊ฐ์ํ์๊ณ , ํ๊ตญ์ง์ ์ ๋ด์ ๋ถ์ง ์ง์๊ณผ ์กฐ์ ์ผ์ ๊ฐ์ ์ํฅ์๋ ๋ถ๋ฏธ ์์ถ ์ ๋ต์ฐจ์ข ์ ์์ฐ ๋ฌผ๋์ ์ ์ง๋๋ฉด์ ์ ๋ ๋์๋ ๋น 3.1% ๊ฐ์ํ์์ต๋๋ค. 3์ ์์ฐ์ ๋ด์์ ์์ถ์ ๋๋ฐ ์ฆ๊ฐ์ ๋ฐ๋ฅธ ์ฃผ์ ์์ฑ์ฐจ ์ ์ฒด์ ์กฐ์ ํ๋ ์ํฅ์ผ๋ก์ ๋ ๋ ์๋๋น 4.2% ์ฆ๊ฐํ 386,363๋๋ฅผ ๊ธฐ๋กํ์์ต๋๋ค. ํ๋๋ ์์ด์ค๋5ยท์์ด์ค๋9 ๋ฑ ์ ๊ธฐ์ฐจ์ ํฐ๋ฆฌ์ธ์ด๋ยท์๋ฐ๋ผ ๋ฑ ํ์ด๋ธ๋ฆฌ๋, ๋ฅ์(์์์ฐจ) ๋ฑ ์ ๋ํ ๋ชจ๋ธ์ ์ค์ฌ์ผ๋ก ๋ด์์ ์์ถ ์์๊ฐ ํ๋๋๋ฉฐ ์ ๋ ๋์๋๋น 0.9% ์ฆ๊ฐํ์๊ณ , ๊ธฐ์๋ EV4, EV5, PV5 ๋ฑ ์ ๊ธฐ์ฐจ ์ ๋ชจ๋ธ๊ณผ ๋๋ก, ์นด๋๋ฐ, ์คํฌํฐ์ง ๋ฑ HEV ์ฐจ์ข ์์ฐ ๋ฌผ๋ ์ด ๋์ด๋๋ฉด์ ์ ๋ ๋์๋๋น 6.8% ์ฆ๊ฐํ์๊ณ , ํ๊ตญ์ง์ ์ ํธ๋์ค, ํธ๋ ์ผ๋ธ๋ ์ด์ ๋ฑ ์ ๋ต DART dart.fss.or.kr Page 45
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์ฐจ์ข ์ ๋ถ๋ฏธ ์์ถ ๋ฌผ๋ ์ฆ๊ฐ๋ก ์ ๋ ๋์๋๋น 21.4% ์ฆ๊ฐํ์์ต๋๋ค. 4์ ์์ฐ์ ์ค๋ ์ ์ ์ํฅ์ ๋ฐ๋ฅธ ์ผ๋ถ ์์ถ ๋ฌผ๋ ๊ฐ์์ ํ๋ยท๊ธฐ์ ํ๋ ฅ์ฌ ํ์ฌ์๋ฐ๋ฅธ ๋ถ ํ ์๊ธ ์ฐจ์ง์ด ๋ด์ ๋ฌผ๋์๋ ์ํฅ์ ๋ฏธ์น๋ฉฐ ์ ๋ ๋์๋๋น 6.1% ๊ฐ์ํ 361,923๋๋ฅผ ๊ธฐ๋ก ํ์์ต๋๋ค. ํ๋๋ ํ๋ ฅ์ฌ ํ์ฌ(์์ ๊ณต์ )๋ก ์ธํ G80, ํฐ๋ฆฌ์ธ์ด๋ ๋ฑ ์ผ๋ถ ์ฃผ๋ ฅ ๋ชจ๋ธ์ ์์ฐ ๊ฐ์์ ๊ทธ ๋์ F/L, ํฌ์ผ, ์๋ฐ๋ผ ๋ฑ ์ ์ฐจ ๋๊ธฐ์์ ์ฆ๊ฐ์ ์ํฅ์ผ๋ก ์ ๋ ๋์๋๋น 16.2% ๊ฐ์ํ์๊ณ , ๊ธฐ์๋ ์ค๋๋ฆฌ์คํฌ์ ๋ฐ๋ฅธ ์ผ๋ถ ์์ถ ๊ฐ์์๋ ๋ถ๊ตฌํ๊ณ , EV4, EV5, PV5 ๋ฑ ์ ๊ธฐ์ฐจ์ ํ์ด ๋ธ๋ฆฌ๋ ์ค์ฌ์ ๋ด์ ๋ฌผ๋ ์์ฐ์ด ํ๋๋๋ฉฐ ์ ๋ ๋์๋๋น 0.5% ์ํญ ์ฆ๊ฐํ์๊ณ , ํ๊ตญ์ง์ ์ ํธ๋์ค, ํธ๋ ์ผ๋ธ๋ ์ด์ ์ ๋ต ์ฐจ์ข 2์ข ์ ๋ถ๋ฏธ ์์ถ ๋ฌผ๋ ์์ฐ์ด ์์ ์ ์ธ ์ฆ๊ฐ์ธ๋ฅผ ์ด์ด๊ฐ ๋ฉฐ ์ ๋ ๋์๋๋น 15.4% ์ฆ๊ฐํ์์ต๋๋ค. 5์ ์์ฐ์ ์์ ๊ณต์ ํ์ฌ์ ๋ฐ๋ฅธ ๋ถํ ์๊ธ ์ฐจ์ง ์ํฅ์ด ๋ฐ์๋ ๊ฐ์ด๋ฐ, ์ค๋์ ์ ์ฅ๊ธฐํ์ ๋ฐ๋ฅธ ์์ถ ๊ฐ์์ ๊ตญ์ฐ์ฐจ ๋ด์ ๋ถ์ง๊น์ง ๊ฒน์น๋ฉฐ ์ ๋ ๋์๋๋น 8.2% ๊ฐ์ํ329,533๋๋ฅผ ๊ธฐ ๋กํ์์ต๋๋ค. ํ๋๋ ๋ถํ์ฌ ํ์ฌ ์ํฅ์ผ๋ก ํฐ๋ฆฌ์ธ์ด๋ ๋ฐ ์ ๋ค์์ค ๋ฑ ์ฃผ์ ์ฐจ์ข ์์ฐ์ด ๊ฐ์ํ ๊ฐ์ด๋ฐ, ์ ํ ํฌ์ผยท์๋ฐ๋ผยท๊ทธ๋์ F/L ๋ฑ์ ์๋ ๋๊ธฐ์์ ํ๋์ ๋ฐ๋ฅธ ์์ฐ์กฐ์ ๊น์ง ๋ํด์ง๋ฉฐ ์ ๋ ๋์๋๋น 12.0% ๊ฐ์ํ์๊ณ , ๊ธฐ์๋ EV5ยทPV5 ๋ฑ ์ ๋ํ ์ ๋ชจ๋ธ ์์ฐ ํ๋์๋ ๋ถ๊ตฌํ๊ณ , ์ค๋์ง์ญ ์์ถ ๋ํ์ ๋ถํ์ฌ ํ์ฌ ์ํฅ์ผ๋ก ์ฃผ๋ ฅ RV ์ฐจ์ข ์์ฐ์ด ๊ฐ์ํ๋ฉฐ ์ ๋ ๋์๋๋น 2.0% ๊ฐ์ํ์๊ณ , ํ๊ตญ์ง์ ์ ํธ๋์ค ํฌ๋ก์ค์ค๋ฒ์ ํธ๋ ์ผ๋ธ๋ ์ด์ ์์ฐ์ด ๋์ ์์ค์ ์ ์งํ์์ผ๋, ์ ๋ ๋์ ํน๋ณ์ฐ์ฅ๊ทผ๋ก ํ๋ ์ํฅ์ ๋ฐ๋ฅธ ๋์๋ ์์ฐ ์ค์ ๊ธฐ์ ํจ๊ณผ๋ก ์ ๋ ๋ ์๋๋น 6.6% ๊ฐ์ํ์์ต๋๋ค. 6์ ์์ฐ์ ๋ถํ์ฌ ํ์ฌ์ ๋ฐ๋ฅธ ๋ถํ ์๊ธ ์ฐจ์ง์ด ๋๋ถ๋ถ ํด์๋๊ณ , ๊ฐ๋ณ์๋น์ธ ์ธํ์ข ๋ฃ๋ฅผ ์๋ ๋ด์ ์ถ๊ณ ํ๋์ ์นํ๊ฒฝ์ฐจ ์ค์ฌ์ ์์ถ ํ๋ณต์ด ๋ง๋ฌผ๋ฆฌ๋ฉฐ ์ ๋ ๋์๋๋น 11.6% ์ฆ๊ฐํ 394,210๋๋ฅผ ๊ธฐ๋กํ์์ต๋๋ค. ํ๋๋ ๊ณต๊ธ์ฐจ์ง ์ํฅ์์ ๋ฒ์ด๋ ์์ฐ์ด ์ ์ํ๋๋ ๊ฐ์ด๋ฐ, ๊ทธ๋์ F/L ์ ์ฐจํจ๊ณผ, ๋ฏธ๊ตญ ์ ์ถ ํธ์กฐ์ ๋ฐ๋ฅธ ํฐ๋ฆฌ์ธ์ด๋ HEV ๋ฌผ๋ ํ๋, ์์ด์ค๋5ยท์์ด์ค๋9 ๋ฑ ์ ๋ํ ๋ชจ๋ธ ์์ฐ ์ฆ๊ฐ ๊ฐ ์ด์ด์ง๋ฉฐ ์ ๋ ๋์๋๋น 10.9% ์ฆ๊ฐํ์๊ณ , ๊ธฐ์๋ EV5ยทPV5 ๋ฑ ์ ๋ํ ์ ๋ชจ๋ธ๊ณผ ์ ํ ์ค ์์ฐ ํ๋์ ๋ํด, ๊ฐ๋ณ์๋น์ธ ์ธํ์ข ๋ฃ ์ ๋ด์ ์ถ๊ณ ์ฆ๊ฐ์ ๋ถ๋ฏธยท์ ๋ฝ ์ค์ฌ ์์ถ ํธ์กฐ๊ฐ ์ ์ฐ ์ฆ๊ฐ๋ฅผ ๊ฒฌ์ธํ๋ฉฐ ์ ๋ ๋์๋๋น 16.2% ์ฆ๊ฐํ์๊ณ , ํ๊ตญ์ง์ ์ ๋ด์๋ ๋ถ์งํ์์ผ๋, ๋ถ ๋ฏธ ์ ๋ต์ฐจ์ข ํธ๋์ค ํฌ๋ก์ค์ค๋ฒ์ ํธ๋ ์ผ๋ธ๋ ์ด์ ์ ์์ถ์ฉ ์์ฐ์ด ๊ฒฌ์กฐํ ํ๋ฆ์ ์ ์งํ๋ฉฐ ์ ๋ ๋์๋๋น 3.4% ์ฆ๊ฐํ์์ต๋๋ค. DART dart.fss.or.kr Page 46
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๊ตญ๋ด ์์ฑ์ฐจ์ ์ฒด๋ณ 2026๋ 1~6์ ์์ฐ ์ค์ ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์ : ๋) [์ถ์ฒ : ํ๊ตญ์๋์ฐจ๋ชจ๋น๋ฆฌํฐ์ฐ์ ํํ] ๊ตฌ๋ถ 2025๋ 1~6์ 2026๋ 1~6์ ์ฆ๊ฐ ๋์ ์ฆ๊ฐ์จ ํ๋ 941,890 896,593 (45,297) (4.8%) ๊ธฐ์ 817,941 842,584 24,643 3.0% ํ๊ตญ์ง์ 250,937 277,598 26,661 10.6% ๋ฅด๋ ธ์ฝ๋ฆฌ์ 44,782 35,761 (9,021) (20.1%) KG๋ชจ๋น๋ฆฌํฐ 51,683 55,280 3,597 7.0% ํํ๋์ฐ 3,868 2,967 (901) (23.3%) ํฉ๊ณ 2,111,101 2,110,783 (318) 0.0% ์น์ฉ์ฐจ 1,974,599 1,992,018 17,419 0.9% ์์ฉ์ฐจ 136,502 118,765 (17,737) (13.0%) DART dart.fss.or.kr Page 47
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2026๋ 1~6์ ๊ตญ๋ด ์์ฑ์ฐจ ์ ์ฒด์ ๋ด์ํ๋งค๋ ๋ถํ์ฌ ํ์ฌ(์์ ๊ณต์ , 3.20)์ ๋ฐ๋ฅธ ๊ณต๊ธ ์ฐจ ์ง ๋ฌธ์ ์ ๊ณ ์ ๊ฐ์ ๋ฐ๋ฅธ ์๋น์ฌ๋ฆฌ ์์ถ, ์ ์ฐจ์ถ์๋ฅผ ์๋ ์ผ๋ถ ์ฃผ๋ ฅ ์ฐจ์ข ์ ํ๋งค ๋ํ ์ํฅ ์ผ๋ก ์ ๋ ๋๊ธฐ๋๋น 3.6% ๊ฐ์ํ 663,734๋๋ฅผ ๊ธฐ๋กํ์์ต๋๋ค. ๋ด์ ์นํ๊ฒฝ์ฐจ๋ ํ์ด๋ธ๋ฆฌ๋์ฐจ(HEV)์ ํ๋งค ๋ํ(+0.2%)์๋ ๋ถ๊ตฌํ๊ณ ์ค๋ ์ฌํ ์ดํ ์ด ์ด์ง ๊ณ ์ ๊ฐ๊ฐ ์ฐ๋ฃ๋น ๋ถ๋ด์ ์๊ทน, ์ ๊ธฐ์ฐจ ์ ํธ๊ฐ ๋์ฑ ๊ฐํ๋๋ฉด์ ์ ๊ธฐ์ฐจ(EV)์ ํ๋งค ์ฆ๊ฐ (+118.0%)๋ก ์ ๋ ๋๊ธฐ๋๋น 28.6% ์ฆ๊ฐํ 494,502๋(์์ ์ฐจ ํฌํจ)๋ฅผํ๋งคํ์์ต๋๋ค. ๊ตญ๋ด ์์ฑ์ฐจ์ ์ฒด์ ์์ฅ์ ์ ์จ์ ํ๋ 47.7%, ๊ธฐ์ 44.7%, KG๋ชจ๋น๋ฆฌํฐ 3.3%, ๋ฅด๋ ธ์ฝ๋ฆฌ์ 3.2%, ํ๊ตญ์ง์ 0.8% ์์ผ๋ก ๋ํ๋ฌ์ต๋๋ค. ๊ตญ๋ด ์์ฑ์ฐจ ์ ์ฒด๋ณ 2026๋ 1~6์ ๋ด์ํ๋งค ์ค์ ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์ : ๋) [์ถ์ฒ : ํ๊ตญ์๋์ฐจ๋ชจ๋น๋ฆฌํฐ์ฐ์ ํํ] ๊ตฌ๋ถ 2025๋ 1~6์ 2026๋ 1~6์ ์ฆ๊ฐ ๋์ ์ฆ๊ฐ์จ ์์ฅ์ ์ ์จ ํ๋ 354,905 316,706 (38,199) (10.8%) 47.7% ๊ธฐ์ 277,098 296,479 19,381 7.0% 44.7% ํ๊ตญ์ง์ 8,114 5,271 (2,843) (35.0%) 0.8% ๋ฅด๋ ธ์ฝ๋ฆฌ์ 28,065 21,187 (6,878) (24.5%) 3.2% KG๋ชจ๋น๋ฆฌํฐ 18,321 21,806 3,485 19.0% 3.3% ํํ๋์ฐ 2,328 2,285 (43) (1.8%) 0.3% ํฉ๊ณ 688,831 663,734 (25,097) (3.6%) 100.0% ์น์ฉ์ฐจ 604,298 590,651 (13,647) (2.3%) - ์์ฉ์ฐจ 84,533 73,083 (11,450) (13.5%) - DART dart.fss.or.kr Page 48
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2026๋ 1~6์ ์๋์ฐจ ์์ถํ๋งค๋ ์ ๊ฐ, ๊ธ๋ฆฌ ๋ฑ ๋์ธ ๋ณ๋์ฑ์ด ํ๋๋์์์๋ ๋ถ๊ตฌํ๊ณ , ๋ถํ์ฌ ํ์ฌ์ ๋ฐ๋ฅธ ์์ฐ ์ฐจ์ง์ด ์ ์ฐจ ํด์๋๊ณ ๋ฏธ๊ตญ ๋ฐ ์ ๋ฝํฅ ์นํ๊ฒฝ์ฐจ ์์ถ์ด ํ๋๋๋ฉด์ ์ ๋ ๋๊ธฐ๋๋น 2.1% ์ฆ๊ฐํ 1,441,108๋๋ฅผ ๊ธฐ๋กํ์์ต๋๋ค. ํ๋(+0.5%), ๊ธฐ์(+1.1%), ํ๊ตญ์ง์ (+12.0%)์ ์ฆ๊ฐํ ๋ฐ๋ฉด ๋ฅด๋ ธ์ฝ๋ฆฌ์(-35.7%), KG๋ชจ ๋น๋ฆฌํฐ(-0.9%)๋ ๊ฐ์ํ์์ต๋๋ค. ๊ตญ๋ด ์์ฑ์ฐจ์ ์ฒด๋ณ 2026๋ 1~6์ ์์ถํ๋งค ์ค์ ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์ : ๋) [์ถ์ฒ : ํ๊ตญ์๋์ฐจ๋ชจ๋น๋ฆฌํฐ์ฐ์ ํํ] ๊ตฌ๋ถ 2025๋ 1~6์ 2026๋ 1~6์ ์ฆ๊ฐ ๋์ ์ฆ๊ฐ์จ ํ๋ 582,274 585,107 2,833 0.5% ๊ธฐ์ 533,419 539,055 5,636 1.1% ํ๊ตญ์ง์ 241,294 270,293 28,999 12.0% ๋ฅด๋ ธ์ฝ๋ฆฌ์ 18,962 12,197 (6,765) (35.7%) KG๋ชจ๋น๋ฆฌํฐ 33,881 33,586 (295) (0.9%) ํํ๋์ฐ 1,672 870 (802) (48.0%) ํฉ๊ณ 1,411,502 1,441,108 29,606 2.1% ์น์ฉ์ฐจ 1,365,448 1,396,149 30,701 2.2% ์์ฉ์ฐจ 46,054 44,959 (1,095) (2.4%) DART dart.fss.or.kr Page 49
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โ ๊ฒฝ์์์ ๊ธ์ต์๊ธฐ ์ดํ ์๋์ฐจ์ฐ์ ์ ํจ๋ฌ๋ค์์ ๋น ๋ฅด๊ฒ ๋ณํํ์ฌ ์์ ์ฑ์ฅ์์ ์ง์ ์ฑ์ฅ์ผ๋ก, ๊ณต ๊ธ์ ์ค์ฌ์์ ์๋น์ ์ค์ฌ์ผ๋ก ๋ฐ๋์์ต๋๋ค. ์ด๋ฌํ ๊ฐ์ด๋ฐ ์ฌํ ์ ๋ฐ์ ๊ฑธ์ณ ํ๊ฒฝ๊ณผ ์์ ๋ฐ ์์ ๋กญ๊ณ ํธ๋ฆฌํ ์ด๋์ฑ(Mobility)์ด๊ฐ์กฐ๋ ์ ์๋์ฐจ์ฐ์ ์ด ๋ด์ฐ๊ธฐ๊ด ๊ฐ์ธ์ด์ ์๋์์ ์ ๊ธฐ๋๋ ฅยท์์จ์ฃผํ ์๋๋ก ๋น ๋ฅด๊ฒ ์ ํํ๊ณ , ๆฅญ์ ์ค์ฌ๋ ์ ์กฐ์ ์์ ์๋น์ค์ ์ผ๋ก ์ ํํ๊ณ ์์ต๋๋ค. ํ์ฌ ์๋์ฐจ์ ๊ณ๋ ๋ด์ฐ๊ธฐ๊ด์ฐจ์ ํจ์จ์ฑ ์ ๊ณ ์ ์ ๊ธฐ๋๋ ฅยท์์จ์ฃผํ์ฐจ์ ๊ฐ๋ฐ๊ณผ ์์ฉํ๋ผ๋ ๊ณผ์ ์ ์ง๋ฉดํด ์์ต๋๋ค. ์ด์ ๋ฐ๋ผ ์๋์ฐจ์ ์ฒด์ ์ ๊ธฐ์ ๊ฐ๋ฐ๊ณผ ์๊ธ๋ถ๋ด์ ๊ฒฝ๊ฐํ๊ธฐ ์ํ ๊ธฐ์ ๊ฐ ํฉ์ข ์ฐํก์ด ์ฆ๊ฐํ๊ณ ์์ผ๋ฉฐ, ๊ธฐ์กด ์ธ๋ ฅ์ ์ฌ๊ต์ก ํ๋ จ๊ณผ ์ ๋ณดํต์ ๊ธฐ์ ๋ถ์ผ์ ์ ๋ฌธ ์ธ๋ ฅ ํ๋ณด ๊ฒฝ์์ด ์น์ดํด์ง๊ณ ์์ต๋๋ค. ์๋์ฐจ์ฐ์ ์ ํจ๋ฌ๋ค์ ๋ณํ ์์ ํ๊ฒฝ๊ณผ ์์ ๊ท์ ๊ฐํ, ์๊ตญ์ด์ต ์ฐ์ ์ฃผ์์ ๋ฐ๋ฅธ ๋ฌด์ญ๊ณผ ๊ธฐ์ ๋ณดํธ์ฃผ์ ํ์ฐ, ์ ์น์ ์ธ ์ด์ ์์์ ๊ณต๊ธ๋ง ๊ต๋, ์ฌํด์ ์ง๋ณ์ ์ํ ๊ณต๊ธ๋ง ๋จ์ , ๋ ์งํธ์ธ ๋ถ๊ณผ, ์ดํด๊ด๊ณ์ ๊ฒฝ์ ํ์ฐ์ ๋ฐ๋ฅธ ๊ฒฝ์์ ๋ต ์กฐ์ ๋ฑ ์๋์ฐจ์ฐ์ ์ ๋๋ฌ์ผ ๊ฒฝ์ํ๊ฒฝ ๊ณผ ๊ฒฝ์ํ๊ฒฝ์ ์์๊ฐ๊ฐ ๋ณํ๊ณ ์์ต๋๋ค. ์ ๊ธฐ์ฐจ์ ์์จ์ฃผํ์ฐจ๋ก ๋ํ๋๋ ๋ฏธ๋ ์๋์ฐจ ๊ธฐ์ ์ด ๋ฑ์ฅํ๋ฉด์ ์๋์ฐจ์ฐ์ ์ ๋ณํ์๋๊ฐ ๋นจ๋ผ์ง๊ณ ์์ต๋๋ค. ํ ์ฌ๋ผ(Tesla)์ ๊ฐ์ ์ ์ ๊ธฐ์ ์ด ๊ธฐ์กด ์๋์ฐจ์ ์ฒด๋ค์ ์ ์น๊ณ ์ ๊ธฐ์ฐจ ์์ฅ์ ์ด๋์ด๊ฐ๊ณ , ๊ตฌ๊ธ(Google)๊ณผ ๊ฐ์ IT ๊ธฐ์ ์ด ์์จ์ฃผํ์ฐจ ๊ธฐ์ ๊ฐ๋ฐ์ ์ ๋ํ๋ ๋ฑ ์ ์ ์๋ ์์ํ ์ ์๋ ์ผ๋ค์ด ์ผ์ด๋๊ณ ์์ต๋๋ค. ์์ฑ์ฐจ๋ฟ๋ง ์๋๋ผ ์๋์ฐจ ๋ถํ์ฐ์ ๋ ๋ง์ฐฌ๊ฐ์ง๋ก ๋ณํ์ ์๋๋ฅผ ๋ง์ดํ๊ณ ์์ต๋๋ค. ์๋ ์ฐจ ๋ถํ์ ์ฒด๋ค๋ ์ ๊ธฐ์ฐจ์ ์์จ์ฃผํ์ฐจ์ ๋ค์ด๊ฐ๋ ๋ถํ์ ๊ธฐ์ ๊ฐ๋ฐ์ ์ ๊ทน์ ์ผ๋ก ๋์๊ณ ์์ต๋๋ค. ์๋์ฐจ ๋ถํ์ฐ์ ์ ๋น ๋ฅธ ๋ณํ๋ ๊ธฐ์กด ๊ธฐ์ ์๋ ์์กด์ ์ํ์ด๋ ์๋ ์์ง๋ง, ์ค๋น ๋ ๊ธฐ์ ์๋ ๋ถ๋ช ํ ๊ธฐํ๊ฐ ๋ ๊ฒ์ ๋๋ค. ์ ๊ธฐ์ฐจ์์๋ ์์ง์ผ๋ก ๋ํ๋์๋ ์๋์ฐจ ๋๋ ฅ๊ธฐ๊ด์ด ๋ฐฐํฐ๋ฆฌ๋ก ๋์ฒด๋๋ ๋ฑ ์์ง์๋น๋กฏํด ๋ณ์๊ธฐ, ํก๋ฐฐ๊ธฐ ์ฅ์น ๋ฑ ์ฃผ์ ๋ด์ฐ๊ธฐ๊ด ๋ถํ๋ค์ ์ ๊ธฐ์ฐจ์์๋ ๋ ์ด์ ํ์ ์๋ ๋ถํ๋ค์ ๋๋ค. ๋ด์ฐ๊ธฐ๊ด ์ค์ฌ์ ์ฐ์ ๊ตฌ์กฐ๊ฐ ๋จ๊ธฐ๊ฐ์ ๋ณํ๋์ง๋ ์๊ฒ ์ง๋ง, ์ ๊ธฐ์ฐจ ๋น์ค์ด ํ๋๋ ์ ๋ก ๊ธฐ์กด ๋ด์ฐ๊ธฐ๊ด์ฉ ๋ถํ์ ์์ฐํ๋ ์ ์ฒด๋ค์ ์ฌ์ ๊ธฐ๋ฐ์ด ์ฝํ๋ ๊ฐ๋ฅ์ฑ์ด ์์ต๋๋ค. ๋ณํ ์์ง์์ด ๊ฐ์ํ๋๊ณ ์๋ ์นํ๊ฒฝ์ฐจ๋ฟ๋ง ์๋๋ผ ์ค์ฅ๊ธฐ์ ์ผ๋ก ๊ณต์ ์๋น์ค, ์์จ์ฃผํ ๋ฑ ๋ฏธ ๋ ์๋์ฐจ์์ฅ์ผ๋ก ์ฐ์ ํจ๋ฌ๋ค์์ด ๋ณํํ๋ ๊ณผ์ ์์ ์ ์ฒด๋ณ ๋์ ๋ฅ๋ ฅ์ด ์ด๋ ๋๋ณด๋ค ์ค ์ํ ์๊ธฐ์ ๋๋ค. DART dart.fss.or.kr Page 50
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์ด์ ๋น์ฌ๋ ์นํ๊ฒฝ ์ฐจ๋์ ์ฅ์ฐฉ๋๋ ๋ชจํฐ ๋ฐ ํ์ํธ๋ ์ธ ์ ํ ๋ฑ ํต์ฌ ๋ถํ์ ์ค์ฌ์ผ๋ก ๋งค ์ถ ๋น์ค์ด ์ฆ๊ฐํ๊ณ ์์ต๋๋ค. ํ๋๋ชจ๋น์ค๋ฅผ ํตํด ํ๋ยท๊ธฐ์์ฐจ ํ์ด๋ธ๋ฆฌ๋์ ์๋๋ชจํฐ๋ฅผ, ์ ๊ธฐ์ฐจ ๋ฐ ์์์ ๊ธฐ์ฐจ์๊ตฌ๋๋ชจํฐ ํต์ฌ๋ถํ ๋ฑ์ ์ค๋ ์ ๋ถํฐ ๋ฉํ ์ค์ ์์ผ๋ฉฐ ์ด์ ๋๋ถ์ด ํ๋ํธ๋์์ค ์ ๊ธฐ์ฐจ๋ถํ ๊ณต๊ธ์ ์ฒด๋ก ์ ์ ๋์ด ์ ๊ธฐ์ฐจ์ฉ ํค์ดํ ๊ตฌ๋๋ชจ๋ ๋ถํ ๊ณต๊ธ์ด ์์ ๋์ด ์์ต๋๋ค. ์ ๊ธฐ์ฐจ์ ์ฅ์ฐฉ๋๋ ๋๋ผ์ด๋ธ ์ ๋์ ์์ฐ ์์ ์ดํ ๋ฏธ๊ตญ GM์ผ๋ก๋ถํฐ ํ์ง๊ด๋ฆฌ์ ์์ ์ ๊ณต๊ธ์ ๋ํ ์ฐ์ํ ํ๊ฐ๋ฅผ ๋ฐ์์ต๋๋ค. ํ์ํธ๋ ์ธ ์ค์ผํํ ์ฌ์ ์ ์นํ๊ฒฝ ์๋์ฐจ ์ ํ์ ์๋ ํ๋ฆ์ ๋ฐ๋ง์ถฐ ๊ณ ๋ถ๊ฐ๊ฐ์น ์ ํ๊ฐ ๋ฐ๊ณผ ์ ๊ท ๊ณ ๊ฐ์ฌ ์ ์น๋ฅผ ์ํ ํ๋ฐํ ์์ ํ๋์ ํตํด GM ์ธ์ ํ๋ํธ๋์์ค๋ก ์ ๋์ ์ค ์ผํํ๋ฅผ ๊ณต๊ธํ๊ณ ์์ผ๋ฉฐ, ์ด์ด์ ํ๋์๋์ฐจ๋ก๋ถํฐ ํ์ด๋ธ๋ฆฌ๋ ์ฐจ๋์ฉ ์ ๋์ ์ค์ผํํ๋ฅผ ์ ๊ท๋ก ์์ฃผํ๋ ๋ฑ ๋ณํํ๋ ์๋์ฐจ์ฐ์ ์ ๋ฐ๋น ๋ฅด๊ฒ ๋์ํ๊ณ ์์ต๋๋ค. DART dart.fss.or.kr Page 51
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(2) ๊ธฐํ์ฌ์ โ ์ฌ์ ์ ํน์ฑ ๋ฐ ์ฐ์ ์ ์ฑ์ฅ์ฑ ๋์ธ์ ์ผ๋ก ๋ฌ์์-์ฐํฌ๋ผ์ด๋ ์ ์์ ์ฅ๊ธฐํ, ๋ฏธ๊ตญ-์ด๋ ์ ์, ๋๋ง-์ค๊ตญ ๊ฐ ๊ฐ๋ฑ ๋ฑ์ผ๋ก ๊ตญ์ ๋ฐฉ์ฐ ์ ์ธ๋ ๊ตฐ์ฌ์ ๊ธด์ฅ ๊ณ ์กฐ์ ๊ฒฝ์ ยท์๋ณด ํ๋ ฅ, ์์ถ ํ๋๊ฐ ๋ณตํฉ์ ์ผ๋ก ์์ฉํ๊ณ ์ ์ต๋๋ค. ์ด์ ๋ฐ๋ผ ๊ฐ๊ตญ์ ๋ฐฉ์์ฐ์ ๊ฒฝ์๋ ฅ ๊ฐํ๋ฅผ ์ถ์งํ๊ณ ์์ผ๋ฉฐ, ์์ฅ ๋ณ๋์ฑ ๋ํ ํ๋ ๋๊ณ ์์ต๋๋ค. ์ด๋ฌํ ํ๊ฒฝ ์์์ ๋น์ฌ๋ ์ ์ ํ์ ๊ตญ์ฐํ ๋น์จ์ ๋์ด๊ณ , ์ ์ ๋ฉ๊ธฐ ์ญ๋์ ๊ธฐ๋ฐ์ผ๋ก ๊ธฐ ์กด ์์ถ์์ฅ ํ๋์ ์ ๊ท ์์ฅ ๊ฐ์ฒ์ ๋ณํํ๋ฉฐ K-์๋ฆฌ์ฆ ์ด๊ธฐ์ ์์ถ ๋ง์ผํ ์ ์ ๊ทน ์ถ์ง ํ๊ณ ์์ต๋๋ค. ํํธ, ๋ฐ๋์ฒด ์ฅ๋น ๋ถ์ผ๋ ์์ ๋ฐ๋ฑ์ ๋ฐ๋ผ ๊ธฐ์กด ๊ณ ๊ฐ๊ณผ์ ์ฅ๊ธฐ ๊ณต๊ธ๊ณ์ฝ์ ๊ธฐ๋ฐ์ผ๋ก ๋ฌผ๋ ์ฆ๋ ๋ฐ ์ ๊ท ์์ฃผ ํ์๋ฅผ ์งํ ์ค์ด๋ฉฐ, ์ค๋น ํฌ์์ ์์ ํ๋์ ๋ณํํ์ฌ ์์ฅ ์ ์ ์จ ํ๋ ๋ฅผ ์ถ์งํ๊ณ ์์ต๋๋ค. โ ๊ฒฝ๊ธฐ๋ณ๋์ ํน์ฑ ๋ฐ ๊ฒฝ์์์ ๋ฌ๋ฌ ๊ฐ์ธ ๋ฐ ์ธ์ ๊ตญ๊ฐ๋ค์ ๋ถ์์ ํ ๊ตญ์ ์ ์ธ๋ ๋ฌด๊ธฐ ์์ ํ๋ ์์ธ์ผ๋ก ์์ฉํ๊ณ ์์ผ ๋ฉฐ, ์ด๋ K-๋ฐฉ์ฐ ์์ถ์ ๊ธ์ ์ ์ธ ์ํฅ์ ๋ฏธ์น๊ณ ์์ต๋๋ค. ๋น์ฌ๋ ์์์ ๋ฐ์ค๋ ์ง์ญ ๋ค์ ๊ตญ๊ฐ์ ๋ค๋ ๊ณ์ฝ์ ์ฒด๊ฒฐํ์ฌ ์์ฑ ์ด๊ธฐ๋ฅ ๋ฐ ํต์ฌ ๋ถํ์ ๊ณต๊ธํ๊ณ ์์ผ๋ฉฐ, ํ์ ์ ์ข ํฉ๊ตฐ ์์ง์์ฒด๊ณ(ILS)๊น์ง ์ ๊ณตํ๋ ์ฌ์ ์ ์ํํ๊ณ ์์ต๋๋ค. ๊ตญ๋ด ์์ฅ์์๋ ๋ณต์ ์ ์ฒด ์ง์ ์ ๋ฐ๋ฅธ ๊ฒฝ์์ ์ฐฐ ์ฒด์ ๊ฐ ๋์ ๋์์ผ๋, ๋น์ฌ๋ ํ๋ถํ ์ฌ์ ๋ ธํ์ฐ์ ์๋ํ ๊ธฐ๋ฐ ์ ์กฐ ๊ฒฝ์๋ ฅ(๊ฐ๊ณต ์๋ํ, ์ ๊ท ์ด์ด ๊ฐ๊ณต ์ฅ๋น ๋์ ๋ฑ)์ ํตํด ์์ ์ ์ธ ๋ฉ๊ธฐ์ ํ์ง์ ์ ์งํ๊ณ ์์ต๋๋ค. ๋ํ, ๊ตญ๋ด ๋ํ ๋ฐฉ์ฐ๊ธฐ์ ์ ์์ถ ๋ฌด์ฅ ๊ณต๊ธ ์ฌ์ ์ ์ฐธ์ฌํจ์ผ๋ก์จ ์ ๊ท ์์ฅ ํ๋ณด์ ๊ธฐ์ฌํ ๊ณ ์์ผ๋ฉฐ, ํ์ฝ ์ ์กฐ ์ฌ์ ์๋ ์ง์ถํ์ฌ ์ฌ์ ํฌํธํด๋ฆฌ์ค๋ฅผ ๋ค๊ฐํํ๊ณ ์์ต๋๋ค. DART dart.fss.or.kr Page 52
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๋. ์ ๊ท์ฌ์ ๋ฑ์ ๋ด์ฉ (1) ์ฐจ๋๋ถํ์ฌ์ ๋น์ฌ์ ์๋์ฐจ๋ถํ์ฌ์ ์ ๊ธ๋ก๋ฒ ์์ฅ์์ ์ค๋ ๊ธฐ๊ฐ ์์์จ ๊ธฐ์ ๋ ฅ์ ๋ฐํ์ผ๋ก ์นํ๊ฒฝ ์ ๋์ฐจ์ฉ ๋ชจํฐ, ๋๋ผ์ด๋ธ ์ ๋์ ๋น๋กฏํด ์์ง ๋ฐ ๋ณ์๊ธฐ ๋ถํ, ํ๊ฐ์ฅ์น, ๊ณ๊ธฐํ๋ฑ์ ๊ฐ๋ฐ, ์์ฐ ํ๊ณ ์์ต๋๋ค. ๊ทธ๋์ ์๋์ฐจ์ฉ ์ฒจ๋จ ํต์ฌ๋ถํ ๊ฐ๋ฐํ๋์ ์ฌํ์ ๊ธฐ์ธ์์ผ๋ก์จ ์ ํ์ ๊ณ ๋ถ๊ฐ๊ฐ์นํ, ๊ณ ๊ธฐ๋ฅํ, ์ง๋ฅํ, ์ ๋ฌธํ์ ๊ธฐ๋ฐ์ ๊ณต๊ณ ํ ๋ค์ ธ์์ผ๋ฉฐ ๊ทธ ๊ฒฐ๊ณผ Global Project ์์ฃผ๋ฅผ ํตํด ๊ธ ๋ก๋ฒ Tier-1 ๊ณต๊ธ์ ์ฒด๋ก ์๋ฆฌ์ก์์ต๋๋ค. ํนํ 2006๋ SNT๋ชจํฐ๋ธ ์ถ๋ฒ ์ดํ ๊ธ๋ก๋ฒGM(General Motors)์ ๋น๋กฏํด ํ๋ยท๊ธฐ์์ฐจ, Stellantis, ๋ค์๋ฌ, ํฌ๋ ๋ฑ ๋ค์ํ ๊ธ๋ก๋ฒ ์์ฑ์ฐจ์ ์ฒด๋ค์๊ฒ ๊ธฐ์ ๋ ฅ ๋ฐ ํ์ง์์ธ์ ๋ฐ์ผ๋ฉฐ ๋ช ์ค๊ณตํ ์ธ๊ณ์ ์ธ ์๋์ฐจ๋ถํ ํ์ฌ๋ก ์ฑ์ฅํ๊ณ ์์ต๋๋ค. ๋น์ฌ์ ์ต๊ทผ ์ฃผ์ ์ ๊ท์ฌ์ ์ ๋ด์ฉ ๋ฐ ์ ๋ง์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. - ํ๋๋ชจ๋น์ค๋ฅผ ํตํ ํ๋๊ธฐ์์ฐจ ์ ๊ธฐ์ฐจ ๋ฐ ์์์ ๊ธฐ์ฐจ์ฉ Traction Motor(๊ตฌ๋๋ชจํฐ) ํต์ฌ ๋ถํ ๋ฐ Ass'y ๊ณต๊ธ - ํ๋๋ชจ๋น์ค๋ฅผ ํตํ ํ๋๊ธฐ์์ฐจ์ ํ์ด๋ธ๋ฆฌ๋์ฐจ๋์ฉ HSG Motor(์๋&๋ฐ์ ๋ชจํฐ) ๊ณต๊ธ - GM์ 6๋จ ์๋๋ณ์๊ธฐ์ฉ ์ค์ผ ํํ ๊ณต๊ธ - ์ํ์ดGM์ ์์ง์ฉ ๊ฐ๋ณํ ์ค์ผํํ ๊ณต๊ธ - GM์ ์ฐจ์ธ๋ CVT ์ค์ผํํ ๊ณต๊ธ - GMNA G2xx BEV ์ ๊ธฐ์ฐจ์ฉ ํ๊ฐ์ฅ์น(Shock Absorber) ๊ณต๊ธ - GMNA/SGM G2xx BEV ์ ๊ธฐ์ฐจ์ฉ ๋๋ผ์ด๋ธ์ ๋(Drive Unit) ๊ณต๊ธ - GM T300 MCM, SUV MCM ์ฉ ๊ณ๊ธฐํ ๊ณต๊ธ - ํ๋๋ชจ๋น์ค์ ํ๋์ฐจ OS/JS ์ฐจ์ข CLUSTER ๊ณต๊ธ - GM 9BUx ๊ณ๊ธฐํ, ํ๊ฐ์ฅ์น(Shock Absorber) ๊ณต๊ธ - BW DMS๋ฅผ ํตํ Ford ๋ฐ Stellantis์ Transfer Case Motor ๊ณต๊ธ - Stellantis์ ์ฐจ์ธ๋ ๋์ ค์์ง์ฉ ์ค์ผํํ ๊ณต๊ธ - Magna Powertrain์ ํตํ GM ๋ฐ Stellantis์ Transfer Case Motor ๊ณต๊ธ - ๋ถ๋ฏธGM์ ์ฐจ์ธ๋์์ง ์ค์ผํํ ๊ณต๊ธ - Magna(Mytox)๋ฅผ ํตํ GM/ Ford/ Stellantis/ Toyota๋ก Deployable Running Board Motor ๊ณต๊ธ - ํ๋๋กํ ์ ์์ฉ์ฐจ์ฉ MR Damper๊ณต๊ธ - ๋ถ๋ฏธGM์ ํฝ์ ํธ๋ญ์ฉ ์ค์ผํํ ๊ณต๊ธ - GMK์ ์ํ CUV์ฐจ๋ ํ๊ฐ์ฅ์น(Shock Absorber) ๊ณต๊ธ - GMK์ ์ํ CUV์ฐจ๋ FRT / RR Chassis Module(VAA) ๊ณต๊ธ - ํ๋ํธ๋์์ค์ ์ ๋์ ์ค์ผํํ(Electric Oil Pump) ๊ณต๊ธ - ๋ฅด๋ ธ์๋์ฐจ ๊ทธ๋์ฝ๋ ์ค์ค ์ฐจ๋ ๋ฐ ์ ๊ธฐ์ฐจ๋ ํด์คํ4์ Front Strut Module ๊ณต๊ธ - ํ๋์๋์ฐจ์ ์ ๋์ ์ํํ(Electric Hydraulic Pump) ๊ณต๊ธ - ํ๋๋ชจ๋น์ค์ ์ ๋๋ชจํฐ ๊ณต๊ธ - ํ๋๋ชจ๋น์ค ์ธ๋๋ฒ์ธ ํ์ํฉ ์ด์ ๋ธ๋ฆฌ ๊ณต๊ธ - ํ๋ํธ๋์์ค์ ์ ๊ธฐ์ฐจ์ฉ ํค์ดํ๊ตฌ๋๋ชจ๋(๋ชจํฐ, ์ธ๋ฒํฐ) ๊ณต๊ธ์์ - DeeZee/ Essenway๋ฅผ ํตํ JLR๋ก Smart DSS Running Board Motor(๋ชจํฐ+ ECU) ๊ณต ๊ธ์์ - ํ๋์๋์ฐจ ํ๋ฅ ํ์ด๋ธ๋ฆฌ๋์ฉ ๊ณ ์ ์ ์ ์ด๊ธฐ ์ผ์ฒดํ EOP ๊ณต๊ธ ์์ - JLR์ DSS(Deployable Side Step) Smart Motor ๊ณต๊ธ์์ DART dart.fss.or.kr Page 53
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(2) ๊ธฐํ์ฌ์ K1A 5.56mm ๊ธฐ๊ด๋จ์ด ๋์ฒด ์ฌ์ ์ธ ํน์์์ ์ฉ ๊ธฐ๊ด๋จ์ด ์ฌ์ ์ ๋น์ฌ์ ํต์ฌ ๊ธฐ์ ๊ณผ ์ถ์ ๋ ๊ฒฝํ์ ์ง์ฝํ์ฌ ๊ตญ๋ดยท์ธ ์์๋ฅผ ๊ฒจ๋ฅํ ๊ณ ์ฑ๋ฅยท๊ณ ์ ๋ขฐ์ฑ ๋ฌด๊ธฐ๋ฅผ ๊ณต๊ธํ๋ ๊ฒ์ ๋ชฉํ๋ก ํ๊ณ ์์ต๋๋ค. 26๋ 4์ ๊ณ์ฝ, ์ ์๋ช ์ด K17๋ก ํ์ ๋๊ณ 7์์ ์ ๋ ฅํ ์์ ์ ๋๋ค. K13 5.56mm ๊ธฐ๊ด๋จ์ด์ ์์๊ตฐ์ ์๊ตฌ์ฌํญ์ ์ ์ฉ, '25๋ ๋ง ์ฌ๊ณต๊ธ์ ์๋ฃํ์์ผ๋ฉฐ, ์ฑ๋ฅ ๊ฐ๋ํ์ธ K13A1 5.56mm ์์ด์ ๊ธฐ์กด ์ด๊ธฐ์์ ์๋ณ๋ ๊ฐ์ ์ฌํญ์ ๋ฐ์,๊ฐ๊ฒฉ๊ฒฝ์๋ ฅ๊ณผ ๋ ๋ถ์ด ํ์ง ๋ฐ ์ฑ๋ฅ์ด ํฅ์๋์์ต๋๋ค. ์ด์ ๋ฐ๋ผ ์ด๋ ์์ถ ๊ณ์ฝ ์ฒด๊ฒฐ ๋ฐ ์ธ๋๊น์ง ์๋ฃํ์ ์ต๋๋ค. K1A ์์ ์ฑ ํฅ์ ์ฌ์ ์ K1AC1 ๊ธฐ๊ด๋จ์ด์ผ๋ก 2025๋ ๊ณ์ฝ์ ์ฒด๊ฒฐํ์ฌ 2026๋ ๋ด ์ ๋ ฅํ ์์ ์ด๋ฉฐ, K201 ์ ํ๋ฐ์ฌ๊ธฐ ์์ ์ฑ ํฅ์ ์ฌ์ ๋ํ K201C1 ์ ํ๋ฐ์ฌ๊ธฐ๋ฅผ 2026๋ ๋ด ์์ฑ ํ ์ด๊ธฐ๋ก ๊ณต๊ธํ ๊ณํ์ ๋๋ค. ๋ ธํํ๋ ๊ฒฝ์ฐฐ์ฒญ K1A ์์ด์ ๋ํ ํ์ฉ๋ ๊ทน๋ํ๋ฅผ ์ํ ํ๋ํ ๋ถํ์ ๊ณต๊ธํ๋ K1A ์์ด ๊ฐ์ ๋ถํ์ธํธ ์ฌ์ ์ ์์ฃผํ์ฌ 2026๋ 5์ ๊ณ์ฝ์ ์ฒด๊ฒฐํ์์ผ๋ฉฐ 2026๋ ๋ด๊ณต๊ธํ ๊ณํ์ ๋๋ค. K15 5.56mm ๊ธฐ๊ด์ด๊ณผ K16 7.62mm ๊ธฐ๊ด์ด์ ํด์ธ ํ๊ธฐ ์์๋ฟ๋ง ์๋๋ผ RCWS(Remote Controlled Weapon Stations), ๋๋ก , UGV(Unmanned Ground Vehicle) ๋ฑ ๋ค์ํ ํ๋ซํผ ๊ณผ์ ์ฐ๊ณ๋ฅผ ํ๋ํ๊ณ ์์ต๋๋ค. K4 40mm ๊ณ ์์ ํ๊ธฐ๊ด์ด์ ๋ค์ํ ์ฐจ๋์ฉ ๋ง์ดํธ ์ ์ฉ์ ํตํด ํด์ธ ์์ฅ์์ ์ฐํธ์ ์ธ ๋ฐ ์์ ์ป๊ณ ์์ผ๋ฉฐ, ๊ฒฝ๋ํ ๋ฐ ํด๋์ฑ์ ๊ฐํํ ์ ํ ๊ณ ์์ ํ๊ธฐ๊ด์ด์ ์ ์ ์ ์ผ๋ก ์ ๋ณด์ฌ ๊ตญ ๋ด ๊ด๋ จ ์ฌ์ ๋์์ ํ์ฐ๊ณ ์์ต๋๋ค. ๊ฒฝ์ฐฐ์ฉ ์ ์ํ ๊ถ์ด(STRV9)์ 2023๋ ๋ถํฐ 2025๋ ๊น์ง ๊ฒฝ์ฐฐ์ ๊ณต๊ธํ์๊ณ 2028๋ ๊น์ง ๋ ๋ ๊ณต๊ธ ๊ณํ์ ์ง์ํ๊ณ ์์ผ๋ฉฐ, ์ ์ํ ํ์ฝ(9mm) ๊ณต๊ธ ์ฌ์ ์๋ ์ง์ถํ์ฌ2026๋ ์ด๋ ๊ณต๊ธ์ ์๋ฃํ์์ผ๋ฉฐ ํ์๋ฌผ๋์ ๊ณต๊ธ์ ์๋๊ณ ์์ต๋๋ค. DART dart.fss.or.kr Page 54
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STSR20 12.7mm ์ ๊ฒฉ์์ด์ ์ ํจ ์ฌ๊ฑฐ๋ฆฌ์์ ์ธ์ฒด ํฌ๊ธฐ ํ์ ์ ์กฐ์คํ ์ ์๋ ์ฑ๋ฅ์ ํ ๋ณดํ์ฌ ์์ฒด ๊ฐ๋ฐ ๋ฐ ๋ฉํ์ ์๋ฃํ์์ผ๋ฉฐ, ์ด๋ฅผ ํตํด ๋๋ฌผยท์ด์ฅ๊ฑฐ๋ฆฌ ์์ฅ ์ง์ถ ๊ฐ๋ฅ์ฑ์ ํ ๋ํ๊ณ ์์ต๋๋ค. ์์ธ๋ฌ, ๋ฏธ๊ตญ ์ํ์ฌ(SNT Defense)๋ฅผ ํตํ ๋ฏผ์ ์์ฅ ์ง์ถ์ ์ถ์งํ์ฌ, 2026๋ ๋ถํฐ K2S ์์ด ๋ฐ DP51 ๊ถ์ด์ ํ์ง ํ๋งค๋ฅผ ๊ณํํ๊ณ ์์ต๋๋ค. DART dart.fss.or.kr Page 55
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๋ค. ์กฐ์ง๋ โ ์ฐจ๋๋ถํ ๋ฐ ๊ธฐํ์ฌ์ (SNT๋ชจํฐ๋ธ(์ฃผ)) ๋ผ. ํ์ฌ์ ์ํ, ๊ณ ๊ฐ๊ด๋ฆฌ ์ ์ฑ โ ์ฐจ๋๋ถํ๋ถ๋ฌธ GM์ ์๋์ฐจ ๋ถํ๊ณต๊ธ์ ์ฒด๋ก์์ ์ค๋ ์ญ์ฌ๋ฅผ ํตํด ์ทจ๋ํ ๋ ธํ์ฐ์ SNT๊ทธ๋ฃน ํธ์ ์ดํ ๋ฌ ๋ผ์ง ๊ณ ์์ต ์๊ฐ๊ตฌ์กฐ๋ฅผ ๊ธฐ๋ฐ์ผ๋ก GM, Stellantis, ํญ์ค๋ฐ๊ฒ์ ํด์ธ์์ฅ๊ณผ ํ๋๋ชจ๋น์ค, ํ๋ ํธ๋์์ค, ๋ฅด๋ ธ์ฝ๋ฆฌ์ ๋ฑ ๊ตญ๋ด์์ฅ ๊ฐ์ฒ์ ์์ฅ์ ์์ต๋๋ค. ์ฐจ๋๋ถํ๋ถ๋ฌธ์ ๊ฑฐ๋์ฒ ๋ค๋ณํ์ ๋งค์งํ๋ ํํธ ๊ธ๋ก๋ฒ ์ข ํฉ๋ถํํ์ฌ๋ก ๋์ฝํ๊ธฐ ์ํ์ฌ ํ ์ฌ์ ์ฐ์ํ ๊ธฐ์ ๋ ฅ, ์ ๋ฌธ์ฑ ๋ฑ์ ์ง์์ ์ผ๋ก ํ๋ณดํ๊ณ ํด์ธ์์์ ๋ธ๋๋ ๋ง์ผํ ๋ ์งํํ ๊ณ ์์ต๋๋ค. DART dart.fss.or.kr Page 56
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๋ง. ์ง์ ์ฌ์ฐ๊ถ ๋ณด์ ํํฉ ๋น์ฌ๋ ์์ํ๋ ์ฌ์ ๊ณผ ๊ด๋ จํ์ฌ ํนํ๊ถ์ ์ทจ๋ํ์ฌ ๋ณด์ ํ๊ณ ์์ผ๋ฉฐ ์ฌ์ ๋ถ๋ฌธ๋ณ ๋ณด์ ํํฉ ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ๋ฐ. ๋ฒ๋ฅ /๊ท์ ๋ฑ์ ์ํ ๊ท์ ์ฌํญ ํ์ฌ์ ์ํฅ์ ๋ฏธ์น๋ ์ฃผ์ ๋ฒ๋ฅ ๋๋ ์ ๊ท์ ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (1) ํ๋๊ธ๊ฑฐ๋๊ณต์ ํ์ ๊ดํ ๋ฒ๋ฅ ํ๋๊ธ(ํ์ฒญ)์ ๊ฑฐ๋์ง์๋ฅผ ๊ณต์ ํ๊ฒ ํ๋ฆฝํ์ฌ ์์ฌ์ ์์ ์๊ธ์ฌ์ ์๊ฐ ๋๋ฑํ ์ง์์์ ์ํธ๋ณด์์ ์ผ๋ก ๊ท ํ์๊ฒ ๋ฐ์ ํ ์ ์๋๋ก ํ๊ธฐ ์ํด ์ ์ ํ ๋ฒ์ผ๋ก ๋น์ฌ๊ฐ ๋ถํ์ ํ๋๊ธ ํ๋ ๊ฒฝ์ฐ ์ํฅ์ ๋ฐ์ต๋๋ค. (2) ๋๊ธฐํ๊ฒฝ๋ณด์ ๋ฒ ๋๊ธฐํ๊ฒฝ์ ์ ์ ํ๊ฒ ๋ณด์ ํ์ฌ ๊ตญ๋ฏผ์ด ๊ฑด๊ฐํ ์ํ์ ํ ์ ์๋๋ก ํ๊ธฐ ์ํด ์ ์ ํ๋ฒ๋ฅ ๋ก ๋น์ฌ์ ์์ฐ์์ค ์ด์๊ณผ ๊ด๋ จํ์ฌ ์ํฅ์ ๋ฐ์ต๋๋ค. (3) ํ์๋๋ฒ ํ์๋์ ์ค์น, ๊ด๋ฆฌ์ ๊ดํ ์ฌํญ์ ๊ท์ ํ๊ธฐ ์ํด ์ ์ ํ ๋ฒ๋ฅ ๋ก ๋น์ฌ์ ์์ฐ์์ค ์ด์๊ณผ ๊ด๋ จํ์ฌ ์ํฅ์ ๋ฐ์ต๋๋ค. (4) ์์์์ ์ฝ๊ณผ ์ฌํ์ฉ์ด์ง์ ๊ดํ ๋ฒ๋ฅ ์์์ ํจ์จ์ ์ธ ์ด์ฉ๊ณผ ํ๊ธฐ๋ฌผ์ ๋ฐ์์ต์ , ์์์ ์ ์ฝ ๋ฐ ์ฌํ์ฉ์ด์ง์ ์ํด ์ ์ ๋ ๋ฒ๋ฅ ๋ก ๋น์ฌ์ ์์ฐ์์ค ์ด์๊ณผ ๊ด๋ จํ์ฌ ์ํฅ์ ๋ฐ์ต๋๋ค. (5) ํ๊ธฐ๋ฌผ๊ด๋ฆฌ๋ฒ ํ๊ธฐ๋ฌผ์ ์ ์ ํ๊ฒ ์ฒ๋ฆฌํ์ฌ ์์ฐํ๊ฒฝ ๋ฐ ์ํํ๊ฒฝ์ ์ฒญ๊ฒฐํ ํจ์ ๋ชฉ์ ์ผ๋ก ์ ์ ๋ ๋ฒ๋ฅ ๋ก ๋น์ฌ์ ์์ฐ์์ค ์ด์๊ณผ ๊ด๋ จํ์ฌ ์ํฅ์ ๋ฐ์ต๋๋ค. (6) ํ๊ฒฝ์นํ์ ์๋์ฐจ์ ๊ฐ๋ฐ ๋ฐ ๋ณด๊ธ์ด์ง์ ๊ดํ ๋ฒ๋ฅ ํ๊ฒฝ์นํ์ ์๋์ฐจ์ ๊ฐ๋ฐ ๋ฐ ๋ณด๊ธ์ ์ด์งํ๊ธฐ ์ํ ์ข ํฉ์ ์ธ ๊ณํ ๋ฐ ์์ฑ ์ ์๋ฆฝํ์ฌ ์ถ์ง ํ๋๋ก ํจ์ผ๋ก์จ ์๋์ฐจ์ฐ์ ์ ์ง์์ ๋ฐ์ ๊ณผ ๊ตญ๋ฏผ์ํํ๊ฒฝ์ ํฅ์์ ๋๋ชจํ๋ฉฐ ๊ตญ๊ฐ๊ฒฝ์ ์ ๊ธฐ์ฌํจ์ ๋ชฉ์ ์ผ๋ก ํ ๋ฒ๋ฅ ๋ก ๋น์ฌ๋ ํฅํ ๊ฐ๋ฐ, ์์ฐ๊ณผ ๊ด๋ จํ์ฌ ๊ฐ์ ์ ์ธ ์ํฅ์ ๋ฐ์ ์ ์์ต๋๋ค. (7) ์ ํ์๋ น์์ฑ์ฅ๊ธฐ๋ณธ๋ฒ ๊ฒฝ์ ์ ํ๊ฒฝ์ ์กฐํ๋ก์ด ๋ฐ์ ์ ์ํ์ฌ ๋ น์์ฑ์ฅ์ ํ์ํ ๊ธฐ๋ฐ์ ์กฐ์ฑํ๊ณ ๋ น์๊ธฐ์ ๊ณผ ๋ น ์์ฐ์ ์ ์๋ก์ด ์ฑ์ฅ๋๋ ฅ์ผ๋ก ํ์ฉํจ์ผ๋ก์จ ๊ตญ๋ฏผ๊ฒฝ์ ์ ๋ฐ์ ์ ๋๋ชจํ๋ฉฐ ์ ํ์ ์ฌํ ๊ตฌํ ์ ํตํ์ฌ ๊ตญ๋ฏผ์ ์ถ์ ์ง์ ๋์ด๊ณ ๊ตญ์ ์ฌํ์์ ์ฑ ์์ ๋คํ๋ ์ฑ์ํ ์ ์ง ์ผ๋ฅ ๊ตญ๊ฐ๋ก ๋์ฝํ๋๋ฐ ์ด๋ฐ์งํจ์ ๋ชฉ์ ์ผ๋ก ํ ๋ฒ๋ฅ ๋ก ๋น์ฌ๋ ํ์๋ฐฐ์ถ ์ ๊ฐ์ ๋ํ ์ํฅ์ ๋ฐ์ต๋๋ค. (8) ๊ธฐํ ๊ธฐํ ๋ค์๊ณผ ๊ฐ์ด ๊ณต์ฅ ์ด์์ ํ์ํ ์ ๋ฐ ๋ฒ๋ฅ ๋ค์ ์ ์ฉ์ ๋ฐ์ต๋๋ค. (๊ฐ) ์์ ๊ด๋ จ ์ค๋์ฌํด์ฒ๋ฒ๋ฒ, ์ฐ์ ์์ ๋ณด๊ฑด๋ฒ, ์ฐ์ ์ฌํด๋ณด์๋ณดํ๋ฒ, ์๋ฐฉ๊ธฐ๋ณธ๋ฒ, ์๋ฐฉ์์ค๊ณต์ฌ์ ๋ฒ, ์๋ฐฉ ์ฌ์ ๋ถ๋ฌธ ํนํ๊ถ(์) ์ฐจ๋๋ถํ 76 ๊ธฐํ 12 ํฉ๊ณ 88 โ Move to detailed table DART dart.fss.or.kr Page 57
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์์ค์ค์น์ ์ง๋ฐ์์ ๊ด๋ฆฌ์๊ดํ๋ฒ, ๊ณ ์ฉ๋ณดํ๋ฐ์ฐ์ ์ฌํด๋ณด์๋ณดํ์๋ณดํ๋ฃ์ง์๋ฑ์๊ดํ๋ฒ๋ฅ , ์ํ๋ฌผ์์ ๊ด๋ฆฌ๋ฒ, ๋ค์ค์ด์ฉ์ ์์์์ ๊ด๋ฆฌ์๊ดํ๋ฒ๋ฅ , ๊ณ ์๊ฐ์ค์์ ๊ด๋ฆฌ๋ฒ, ์กํ์์ ๊ฐ์ค ์์์ ๊ด๋ฆฌ๋ฐ์ฌ์ ๋ฒ, ๋์๊ฐ์ค์ฌ์ ๋ฒ, ์น๊ฐ๊ธฐ์์ค์์ ๊ด๋ฆฌ๋ฒ, ์ํ์์๋ฒ, ์ ์ผ๋ณ์๋ฐฉ๋ฒ (๋) ๊ณต๋ฌด ๊ด๋ จ ์ ๊ธฐ์ฌ์ ๋ฒ, ์๋์ง์ด์ฉํฉ๋ฆฌํ๋ฒ, ๊ฑด์ถ๋ฒ (๋ค) ํ๊ฒฝ ๊ด๋ จ ์์ง๋ฐ์์ํ๊ณ๋ณด์ ์๊ดํ๋ฒ๋ฅ , ์์์ง๋๊ท์ ๋ฒ, ์ ํดํํ๋ฌผ์ง๊ด๋ฆฌ๋ฒ, ํ ์ํ๊ฒฝ๋ณด์ ๋ฒ, ์ง ํ์๋ฒ, ์๋๋ฒ, ์ ์ทจ๋ฐฉ์ง๋ฒ, ์ค์กด์ธต๋ณดํธ๋ฅผ์ํํน์ ๋ฌผ์ง์์ ์กฐ๊ท์ ์๊ดํ๋ฒ๋ฅ DART dart.fss.or.kr Page 58
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III. Financial Matters 1. Summary of financial information ๊ฐ. ์์ฝ์ฐ๊ฒฐ์ฌ๋ฌด์ ๋ณด (๋จ์ : ๋ฐฑ๋ง์) ๊ตฌ ๋ถ ์ 25 ๊ธฐ ๋ฐ๊ธฐ (2026๋ 6์๋ง) ์ 24 ๊ธฐ (2025๋ 12์๋ง) ์ 23 ๊ธฐ (2024๋ 12์๋ง) [์ ๋์์ฐ] 786,373 828,762 846,409 ใํ๊ธ๋ฐํ๊ธ์ฑ์์ฐ 165,571 233,365 223,156 ใ๋จ๊ธฐ๊ธ์ต์ํ 192,968 221,380 259,400 ใ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ 200,834 197,036 201,885 ใ์ฌ๊ณ ์์ฐ 217,181 167,574 157,819 ใ๊ธฐํ์ ๋์์ฐ 9,819 9,407 4,149 [๋น์ ๋์์ฐ] 530,666 450,602 395,417 ใ์ฅ๊ธฐ๊ธ์ต์์ฐ 42,291 4,823 6,809 ใ์ฅ๊ธฐ๊ธ์ต์ํ 3 3 3 ใ์ฅ๊ธฐ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ 596 666 428 ใ์ ํ์์ฐ 460,464 437,495 381,573 ใ๋ฌดํ์์ฐ 4,716 4,578 5,761 ใ์ฌ์ฉ๊ถ์์ฐ 985 794 843 ใํฌ์๋ถ๋์ฐ 21,611 2,212 - ใ๊ธฐํ๋น์ ๋์์ฐ - 31 - ์์ฐ์ด๊ณ 1,317,039 1,279,364 1,241,826 [์ ๋๋ถ์ฑ] 245,442 218,432 216,497 [๋น์ ๋๋ถ์ฑ] 33,662 41,542 40,534 ๋ถ์ฑ์ด๊ณ 279,104 259,974 257,031 [์ง๋ฐฐ๊ธฐ์ ์์ ์ง๋ถ] 1,031,919 1,013,771 984,795 ใ์๋ณธ๊ธ 132,701 132,701 73,116 ใ์๋ณธ์์ฌ๊ธ 13,453 13,453 73,386 ใ๊ธฐํ์๋ณธํญ๋ชฉ (91,592) (91,592) (91,592) ใ๊ธฐํํฌ๊ด์์ต๋๊ณ์ก (3,259) 8,214 6,670 ใ์ด์ต์์ฌ๊ธ 980,616 950,995 923,215 [๋น์ง๋ฐฐ๊ธฐ์ ์์ ์ง๋ถ] 6,016 5,619 - ์๋ณธ์ด๊ณ 1,037,935 1,019,390 984,795 (2026.01.01 ~ 2026.06.30) (2025.01.01 ~ 2025.12.31) (2024.01.01 ~ 2024.12.31) ๋งค์ถ์ก 473,621 1,006,374 968,898 DART dart.fss.or.kr Page 59
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โป ์๊ธฐ ์ 23๊ธฐ ์ฃผ๋น์์ด์ต์ ๋ฌด์์ฆ์๋ก ์ฆ๊ฐ๋ ์ฃผ์์๋ฅผ ๊ธฐ์ค์ผ๋ก ์๊ธ์ ์ฉ ๊ณ์ฐ๋ ์์น ์ ๋๋ค. ์์ ์ด์ต 47,384 102,553 98,128 ๋ฒ์ธ์ธ๋น์ฉ์ฐจ๊ฐ์ ์์ด์ต 64,672 93,614 131,651 ์ฐ๊ฒฐ์ด๋น๊ธฐ์์ด์ต(์์ค) 48,669 69,508 104,346 ใ์ง๋ฐฐ์ฃผ์ฃผ์ง๋ถ์์ด์ต(์์ค) 48,688 69,627 104,346 ใ๋น์ง๋ฐฐ์ฃผ์ฃผ์ง๋ถ์์ด์ต(์์ค) (19) (119) - ๊ธฐํํฌ๊ด์์ต (11,056) 4,081 11,525 ์ดํฌ๊ด์์ต 37,613 73,589 115,871 ใ์ง๋ฐฐ์ฃผ์ฃผ์ง๋ถ์ดํฌ๊ด์์ต 37,216 73,417 115,871 ใ๋น์ง๋ฐฐ์ฃผ์ฃผ์ง๋ถ์ดํฌ๊ด์์ต 397 172 - ์ฃผ๋น์์ด์ต(์์ค)(์) 2,043 2,921 4,299 ์ฐ๊ฒฐ์ํฌํจ๋ ํ์ฌ์ 10 10 8 DART dart.fss.or.kr Page 60
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๋. ์ฐ๊ฒฐ๋์ ์ข ์๊ธฐ์ ๋ณ๋ํํฉ ์ฌ์ ์ฐ๋ ๋น๊ธฐ์ ์ฐ๊ฒฐ์ ํฌํจ๋ ํ์ฌ ์ ๊ธฐ๋๋น ์ฐ๊ฒฐ์ ์ถ๊ฐ๋ ํ์ฌ ์ ๊ธฐ๋๋น ์ฐ๊ฒฐ์์ ์ ์ธ๋ ํ์ฌ ์ 25๊ธฐ SNT๋ชจํฐ๋ธ(์ฃผ) SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ SNT America Ltd SNT Daewoo India Private Ltd SNT USA Ltd SNT Defense LLC SNT Property LLC SNT Motiv India Private LTD SNT Global INC (์ฃผ)SNT๋ก๋ณดํฑ์ค - - ์ 24๊ธฐ SNT๋ชจํฐ๋ธ(์ฃผ) SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ SNT America Ltd SNT Daewoo India Private Ltd SNT USA Ltd SNT Defense LLC SNT Property LLC SNT Motiv India Private LTD SNT Global INC (์ฃผ)SNT๋ก๋ณดํฑ์ค SNT Global INC (์ฃผ)SNT๋ก๋ณดํฑ์ค - ์ 23๊ธฐ SNT๋ชจํฐ๋ธ(์ฃผ) SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ SNT America Ltd SNT Daewoo India Private Ltd SNT USA Ltd SNT Defense LLC SNT Property LLC SNT Motiv India Private LTD SNT USA Ltd SNT Defense LLC SNT Property LLC SNT Motiv India Private LTD - DART dart.fss.or.kr Page 61
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๋ค. ์์ฝ๋ณ๋์ฌ๋ฌด์ ๋ณด (๋จ์ : ๋ฐฑ๋ง์) ๊ตฌ ๋ถ ์ 25 ๊ธฐ ๋ฐ๊ธฐ (2026๋ 6์๋ง) ์ 24 ๊ธฐ (2025๋ 12์๋ง) ์ 23 ๊ธฐ (2024๋ 12์๋ง) [์ ๋์์ฐ] 721,202 783,811 818,807 ใํ๊ธ๋ฐํ๊ธ์ฑ์์ฐ 143,072 205,538 211,435 ใ๋จ๊ธฐ๊ธ์ต์ํ 177,968 221,380 259,400 ใ๋งค์ถ์ฑ๊ถ ๋ฐ ๊ธฐํ์ฑ๊ถ 185,585 192,486 193,245 ใ์ฌ๊ณ ์์ฐ 208,107 157,729 150,768 ใ๊ธฐํ์ ๋์์ฐ 6,470 6,678 3,959 [๋น์ ๋์์ฐ] 575,012 484,369 411,998 ใ์ฅ๊ธฐ๊ธ์ต์์ฐ 42,291 4,823 6,809 ใ์ฅ๊ธฐ๊ธ์ต์ํ 3 3 3 ใ์ฅ๊ธฐ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ 545 611 426 ใ์ข ์๊ธฐ์ ํฌ์ 117,713 86,351 35,541 ใ์ ํ์์ฐ 386,196 385,717 363,431 ใ๋ฌดํ์์ฐ 4,246 4,578 5,761 ใ์ฌ์ฉ๊ถ์์ฐ 35 43 27 ใํฌ์๋ถ๋์ฐ 23,983 2,212 - ใ๊ธฐํ๋น์ ๋์์ฐ - 31 - ์์ฐ์ด๊ณ 1,296,214 1,268,180 1,230,805 [์ ๋๋ถ์ฑ] 234,326 212,127 209,963 [๋น์ ๋๋ถ์ฑ] 33,567 41,542 40,524 ๋ถ์ฑ์ด๊ณ 267,893 253,669 250,487 ใ์๋ณธ๊ธ 132,701 132,701 73,116 ใ์๋ณธ์์ฌ๊ธ 478 478 60,411 ใ๊ธฐํ์๋ณธํญ๋ชฉ (114,719) (114,719) (114,719) ใ๊ธฐํํฌ๊ด์์ต๋๊ณ์ก (18,382) (833) (1,180) ใ์ด์ต์์ฌ๊ธ 1,028,243 996,884 962,690 ์๋ณธ์ด๊ณ 1,028,321 1,014,511 980,318 ์ข ์ใ๊ด๊ณใ๊ณต๋๊ธฐ์ ํฌ์์ฃผ์์ ํ๊ฐ๋ฐฉ๋ฒ ์๊ฐ๋ฒ ์๊ฐ๋ฒ ์๊ฐ๋ฒ (2026.01.01 ~ 2026.06.30) (2025.01.01 ~ 2025.12.31) (2024.01.01 ~ 2024.12.31) ๋งค์ถ์ก 450,540 998,739 947,330 ์์ ์ด์ต 49,982 109,161 99,150 ๋ถ๊ธฐ์์ด์ต 50,426 76,040 105,183 ์ดํฌ๊ด์์ต 32,878 78,633 112,642 ์ฃผ๋น์์ด์ต(์) 2,116 3,190 4,333 DART dart.fss.or.kr Page 62
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โป ์๊ธฐ ์ 23๊ธฐ ์ฃผ๋น์์ด์ต์ ๋ฌด์์ฆ์๋ก ์ฆ๊ฐ๋ ์ฃผ์์๋ฅผ ๊ธฐ์ค์ผ๋ก ์๊ธ์ ์ฉ ๊ณ์ฐ๋ ์์น ์ ๋๋ค. DART dart.fss.or.kr Page 63
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๋ผ. ๊ฐ์ฌ๋ณด๊ณ ์์ ํน๊ธฐ์ฌํญ ์์ฝ ์ฌ ์ ์ฐ ๋ ํน ๊ธฐ ์ฌ ํญ ์ 24 ๊ธฐ - ํน๊ธฐ์ฌํญ ์์ ์ 23 ๊ธฐ - ํน๊ธฐ์ฌํญ ์์ ์ 22 ๊ธฐ - ํน๊ธฐ์ฌํญ ์์ DART dart.fss.or.kr Page 64
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2. Consolidated financial statements 2-1. Consolidated Statement Of FinancialPosition Consolidated Statement Of FinancialPosition FY 2026 06/30/2026 Current FY 2025 12/31/2025 Current (Unit : KRW) ใ FY 2026 FY 2025 Assets ใCurrent assets 786,373,727,094 828,761,610,628 ใใCash and cash equivalents (Note5,32,33) 165,571,372,117 233,364,727,179 ใใShort-term deposits, not classified as cash equivalents (Note5,32,33) 192,968,350,000 221,380,010,000 ใใTrade and other current receivables (Note7,23,32,33,35) 200,834,124,710 197,035,551,849 ใใInventories (Note8) 217,181,374,991 167,574,509,462 ใใOther current assets (Note9) 9,818,505,276 9,406,812,138 ใNon-current assets 530,666,044,174 450,602,208,449 ใใLong-term deposits not classified as cash equivalents (Note5,32,33) 3,000,000 3,000,000 ใใLong-term financial assets (Note6,14,32,33,35) 42,290,698,104 4,823,174,915 ใใLong-term Trade and other receivables (Note7,32,33,35) 595,998,551 665,864,865 ใใProperty, plant and equipment (Note10,14,36) 460,463,794,638 437,494,973,276 ใใIntangible assets and goodwill (Note11) 4,716,593,416 4,577,677,097 ใใInvestment property (Note12) 21,611,224,561 2,212,166,000 ใใRight-of-use assets (Note13) 984,734,904 794,418,362 ใใOther non-current assets ใ 30,933,934 ใTotal assets 1,317,039,771,268 1,279,363,819,077 Liabilities ใCurrent liabilities 245,441,996,634 218,431,516,010 ใใTrade and other current payables (Note13,15,17,32,33,35) 222,067,418,622 187,580,308,618 ใใCurrent tax liabilities 12,457,146,010 13,565,488,230 ใใCurrent provision (Note18) 2,992,097,399 3,403,659,015 ใใOther current liabilities (Note16,23) 7,925,334,603 13,882,060,147 ใNon-current liabilities 33,662,007,272 41,542,245,167 ใใLong-term trade and other non-current payables (Note13,15,17,32,33,35) 3,770,579,155 3,481,763,269 ใใDefined benefit liabilities (Note17) 10,006,344,038 15,330,464,654 DART dart.fss.or.kr Page 65
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2-2. Consolidated Statement Of ComprehensiveIncome ใใDeferred tax liabilities 19,348,581,486 22,425,919,300 ใใNon-current provisions (Note18) 130,681,246 71,012,090 ใใOther non-current liabilities (Note16,23) 405,821,347 233,085,854 ใTotal liabilities 279,104,003,906 259,973,761,177 Equity ใEquity attributable to owner of parent 1,031,919,347,439 1,013,770,948,783 ใใIssued capital (Note1,19) 132,701,360,000 132,701,360,000 ใใCapital surplus (Note19) 13,453,059,285 13,453,059,285 ใใOther capital items (Note20) (91,592,189,476) (91,592,189,476) ใใOther Comprehensive income/loss accumulated amount (Note21) (3,259,122,167) 8,213,409,927 ใใRetained earnings (Note22) 980,616,239,797 950,995,309,047 ใNon-controlling interests 6,016,419,923 5,619,109,117 ใTotal equity 1,037,935,767,362 1,019,390,057,900 Total liabilities and equity 1,317,039,771,268 1,279,363,819,077 Consolidated Statement Of ComprehensiveIncome FY 2026 2 Quarterly From 01/01/2026 To 06/30/2026 FY 2025 2 Quarterly From 01/01/2025 To 06/30/2025 (Unit : KRW) CFHY PFHY THREE MONTH Cumulative THREE MONTH Cumulative Revenue (Note4,12,23,35) 258,025,087,411 473,621,263,014 257,539,576,696 483,724,150,621 Cost of sales (Note23,24,35) 215,585,579,274 392,140,154,053 210,004,706,977 397,761,568,269 Gross profit 42,439,508,137 81,481,108,961 47,534,869,719 85,962,582,352 Selling general administrative expenses (Note7,23,24,32) 16,597,921,088 34,097,253,014 20,889,194,608 36,298,921,594 ใAdministrative expense 4,552,147,848 9,593,855,760 3,576,311,035 7,151,771,288 ใSelling expense 6,019,283,252 12,500,832,449 12,425,166,309 19,380,141,871 ใBad debt expenses 61,222,786 294,376,155 (63,937,410) (529,855,956) ใResearch and development expenses 5,965,267,202 11,708,188,650 4,951,654,674 10,296,864,391 Operating income 25,841,587,049 47,383,855,947 26,645,675,111 49,663,660,758 Other gains (Note25) 18,203,349 466,485,100 111,778,469 1,555,397,700 Other expenses (Note26) 27,468,063 55,741,062 461,311,698 999,356,214 Net financial profit and loss (Note27,32) 5,687,121,905 16,877,658,151 (7,472,508,016) (3,554,277,523) ใFinance income (Note27,32) 6,940,186,855 19,931,399,643 4,845,873,844 10,891,845,343 ใFinance expenses (Note27,32) 1,253,064,950 3,053,741,492 12,318,381,860 14,446,122,866 Profit (loss) before tax 31,519,444,240 64,672,258,136 18,823,633,866 46,665,424,721 Tax expense (Note28) 7,705,070,960 16,003,294,478 4,657,147,236 11,220,412,521 Profit (loss) 23,814,373,280 48,668,963,658 14,166,486,630 35,445,012,200 Other comprehensive income (Note6,21,32) (15,376,185,530) (11,055,836,596) (374,679,324) (459,386,159) DART dart.fss.or.kr Page 66
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2-3. Consolidated Statement Of ChangesInEquity ใOther comprehensive income that will not be reclassified to profit or loss (17,503,866,414) (17,548,673,992) 2,921,838,524 2,811,242,341 ใใOther comprehensive income - fair value measurement of equity securities gains (losses) (17,503,866,414) (17,548,673,992) 2,921,838,524 2,811,242,341 ใOther comprehensive income that will be reclassified to profit or loss 2,127,680,884 6,492,837,396 (3,296,517,848) (3,270,628,500) ใใExchange differences on translation of foreign operations 2,127,680,884 6,492,837,396 (3,296,517,848) (3,270,628,500) Total comprehensive income 8,438,187,750 37,613,127,062 13,791,807,306 34,985,626,041 Profit (loss), attributable to ใOwner's share 23,833,353,925 48,688,348,350 14,171,038,313 35,449,563,883 ใNon-controlling interest (18,980,645) (19,384,692) (4,551,683) (4,551,683) Comprehensive income attributable to ใOwner's share 8,347,867,822 37,215,816,256 13,817,330,949 35,011,149,684 ใNon-controlling interest 90,319,928 397,310,806 (25,523,643) (25,523,643) Earnings per share (Note29) ใBasic earnings per share (Unit : KRW) 1,000 2,043 595 1,487 Consolidated Statement Of ChangesInEquity FY 2026 2 Quarterly From 01/01/2026 To 06/30/2026 FY 2025 2 Quarterly From 01/01/2025 To 06/30/2025 (Unit : KRW) Components of equity Equity attributable to owners of parent Non-controlling interests Total of Components of equityIssued capital Capital surplus Elements of other stockholders equity Other Comprehensive income/loss accumulated amount Retained earnings Total of Equity attributable to owners of parent 2025.01.01 (Equity at beginning of period) 73,115,680,000 73,386,106,515 (91,592,189,476) 6,670,771,201 923,214,972,942 984,795,341,182 0 984,795,341,182 Profit (loss) 0 0 0 0 35,449,563,883 35,449,563,883 (4,551,683) 35,445,012,200 Other comprehensive income - fair value measurement of equity securities 0 0 0 2,811,242,341 0 2,811,242,341 0 2,811,242,341 Transfer of investments in equity instruments measured at fair value through other comprehensive income 0 0 0 (2,190,031,494) 2,190,031,494 0 0 0 DART dart.fss.or.kr Page 67
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2-4. Consolidated Statement Of CashFlows Exchange differences on translation of foreign operations 0 0 0 (3,249,656,540) 0 (3,249,656,540) (20,971,960) (3,270,628,500) Common stock dividend 0 0 0 0 (20,259,131,200) (20,259,131,200) 0 (20,259,131,200) Increase (decrease) through acquisition of subsidiary, equity 0 0 0 0 0 0 5,446,800,000 5,446,800,000 Bonus issue 59,585,680,000 (59,933,047,230) 0 0 0 (347,367,230) 0 (347,367,230) 2025.06.30 (Equity at end of period) 132,701,360,000 13,453,059,285 (91,592,189,476) 4,042,325,508 940,595,437,119 999,199,992,436 5,421,276,357 1,004,621,268,793 2026.01.01 (Equity at beginning of period) 132,701,360,000 13,453,059,285 (91,592,189,476) 8,213,409,927 950,995,309,047 1,013,770,948,783 5,619,109,117 1,019,390,057,900 Profit (loss) 0 0 0 0 48,688,348,350 48,688,348,350 (19,384,692) 48,668,963,658 Other comprehensive income - fair value measurement of equity securities 0 0 0 (17,548,673,992) 0 (17,548,673,992) 0 (17,548,673,992) Transfer of investments in equity instruments measured at fair value through other comprehensive income 0 0 0 0 0 0 0 0 Exchange differences on translation of foreign operations 0 0 0 6,076,141,898 0 6,076,141,898 416,695,498 6,492,837,396 Common stock dividend 0 0 0 0 (19,067,417,600) (19,067,417,600) 0 (19,067,417,600) Increase (decrease) through acquisition of subsidiary, equity 0 0 0 0 0 0 0 0 Bonus issue 0 0 0 0 0 0 0 0 2026.06.30 (Equity at end of period) 132,701,360,000 13,453,059,285 (91,592,189,476) (3,259,122,167) 980,616,239,797 1,031,919,347,439 6,016,419,923 1,037,935,767,362 Consolidated Statement Of CashFlows FY 2026 2 Quarterly From 01/01/2026 To 06/30/2026 FY 2025 2 Quarterly From 01/01/2025 To 06/30/2025 (Unit : KRW) ใ FY 2026 FY 2025 Cash flows from (used in) operating activities 39,145,803,726 52,754,088,027 ใCash flows from (used in) operations (Note31) 46,696,846,823 65,017,869,985 ใInterest received 7,048,596,858 6,897,980,960 ใDividends received, classified as operating activities 84,447,000 418,649,400 DART dart.fss.or.kr Page 68
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3. Notes to the consolidated financial statements 1. Overview of consolidated entities (Consolidated) ใIncome taxes refund (14,684,086,955) (19,580,412,318) Cash flows from (used in) investing activities (92,299,906,106) (16,098,215,238) ใDecrease of financial instruments 71,380,010,000 56,423,000,000 ใProceeds from sales of fair value equity instruments 0 68,692,284,838 ใProceed from sales of equity instruments at fair value through other comprehensive income 0 48,489,213,200 ใDecrease in loans 70,415,500 23,484,990 ใSales of property, plant and equipment 403,028,053 39,690,909 ใDecrease in guarantee deposits 44,651,524 0 ใIncrease of financial instruments (31,781,090,000) (66,338,000,000) ใPurchase of financial assets measured at fair value through profit or loss, classified as investing activities 0 (54,627,550,000) ใ Acquisition of fair value through other comprehensive income equity securities (60,606,017,230) (42,706,030,243) ใIncrease in loans (30,000,000) 0 ใPurchase of property, plant and equipment (34,303,531,589) (30,644,987,082) ใPurchase of intangible assets (1,409,867,000) (826,998,500) ใPurchase of investment property (19,520,952,040) 0 ใIncrease in guarantee deposits (17,889,200) (69,123,350) ใChanges in consolidated companies (16,528,664,124) 5,446,800,000 Cash flows from (used in) financing activities (19,098,804,662) (20,642,018,556) ใPayments of finance lease liabilities (31,786,302) (35,944,326) ใBonus issue 0 (347,367,230) ใDividends paid, classified as financing activities (19,067,018,360) (20,258,707,000) Increase (decrease) in cash and cash equivalents after effect of exchange rate changes (72,252,907,042) 16,013,854,233 Cash and cash equivalents at beginning of period 233,364,727,179 223,156,398,575 Effect of exchange rate changes on cash and cash equivalents 4,459,551,980 (3,536,759,910) Cash and cash equivalents at end of period 165,571,372,117 235,633,492,898 (1) ์ง๋ฐฐ๊ธฐ์ ์ ๊ฐ์ SNT๋ชจํฐ๋ธ ์ฃผ์ํ์ฌ(์ดํ "์ง๋ฐฐ๊ธฐ์ ")๋ ์๋์ฐจ ๋ถํ ๋ฑ์ ์ ์กฐ ๋ฐ ํ๋งค๋ฅผ ์ฃผ๋ ์ฌ์ ๋ชฉ์ ์ผ๋ก ํ๊ณ ์์ผ๋ฉฐ, ๋ถ ์ฐ์ ๋ณธ์ฌ๋ก ํ์ฌ ์ ๊ด, ์ธ์ฒ, ์์ฐ, ๋ณด๋ น, ์ฐฝ์๊ณต์ฅ ๋ฐ ์์ธ์ฌ๋ฌด์๋ฅผ ๋ณด์ ํ๊ณ ์์ต๋๋ค. 2026๋ 6์ 30์ผ๋ก ์ข ๋ฃํ๋ 3๊ฐ์ ๋ฐ 6๊ฐ์ ๋ณด๊ณ ๊ธฐ๊ฐ์ ๋ํ ๋ฐ๊ธฐ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ๋ ์ง๋ฐฐ๊ธฐ์ ๊ณผ ์ง๋ฐฐ๊ธฐ์ ์ ์ข ์๊ธฐ์ (์ดํ "์ฐ๊ฒฐ ์ค์ฒด"), ์ฐ๊ฒฐ์ค์ฒด์ ๊ด๊ณ๊ธฐ์ ์ ๋ํ ์ง๋ถ์ผ๋ก ๊ตฌ์ฑ๋์ด ์์ต๋๋ค. ์ง๋ฐฐ๊ธฐ์ ์ ๊ธฐ์ ๊ตฌ์กฐ์กฐ์ ์ด์ง๋ฒ ์ 24์กฐ์ ์ํด ๊ตฌ์ฑ๋ ์ฑ๊ถ๊ธ์ต๊ธฐ๊ดํ์ํ์ ํ์ฌ๋ถํ ์น์ธ๊ฒฐ์์ 2002๋ 1์ 4์ผ ๋์ฐํต์ ์ฃผ์ํ์ฌ ์์์ฃผ์ฃผ์ดํ์์์ ์ง๋ฐฐ๊ธฐ์ ๋ถํ ๊ณํ์ ์น์ธ๊ฒฐ์์ ๋ฐ๋ผ 2002๋ 2์ 6์ผ์๋ก ๋์ฐํต์ ์ฃผ์ํ์ฌ๋ก๋ถํฐ ์๋ฒ์ ์ธ์ ๋ถํ ๋ฐฉ์์ ์ํด ๋ถํ ๋์ด ์ค๋ฆฝ๋์์ผ๋ฉฐ, 2006๋ 9์์ ์ํธ๋ฅผ S&T๋ DART dart.fss.or.kr Page 69
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์ฐ ์ฃผ์ํ์ฌ๋ก, 2012๋ 3์์ ์ํธ๋ฅผ S&T๋ชจํฐ๋ธ ์ฃผ์ํ์ฌ๋ก, ๊ทธ๋ฆฌ๊ณ 2021๋ 2์ ์ ๊ธฐ์ฃผ์ฃผ์ดํ์ ๊ฒฐ์์ ๋ฐ ๋ผ ์ํธ๋ฅผ SNT๋ชจํฐ๋ธ ์ฃผ์ํ์ฌ๋ก ๊ฐ๊ฐ ๋ณ๊ฒฝํ์์ต๋๋ค. ์ง๋ฐฐ๊ธฐ์ ์ 2002๋ 3์ 11์ผ์๋ก ํ๊ตญ์ฆ๊ถ๊ฑฐ๋์์ ์ฃผ์์ ์ฌ์์ฅํ์์ผ๋ฉฐ, ๊ทธ ๋์ ์์ฐจ๋ก์ ์ ์์ฆ์ ๋ฑ์ ํตํ์ฌ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์๋ณธ๊ธ์ 132,701๋ฐฑ๋ง์์ด๋ฉฐ, ์ง๋ฐฐ๊ธฐ์ ์ ์ฃผ์ ์ฃผ์ฃผ ํํฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ์ฃผ์ฃผ๋ช ์์ ์ฃผ์์(์ฃผ) ์ง๋ถ์จ(%) ใSNTํ๋ฉ์ค 11,975,536 45.12 (์ฌ)์ดํด์ฅํ์ฌ๋จ 311,042 1.17 ๊ตญ๋ฏผ์ฐ๊ธ๊ณต๋จ 2,135,287 8.05 ๊ธฐํ 12,118,407 45.66 ํฉ ๊ณ 26,540,272 100.00 (2) ์ฐ๊ฒฐ๋์ ์ข ์๊ธฐ์ ๊ฐ์ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ์ฐ๊ฒฐ๋์์ข ์๊ธฐ์ ์ ํํฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ์ข ์๊ธฐ์ ๋ช ์์ฌ์ง ์ฌ์ฉ ์ฌ๋ฌด์ ํ ์ผ ์ฃผ์ ์์ ํ๋ ์์ ์ง๋ถ์จ ๋น๊ธฐ ๋ฐ๊ธฐ ๋ง ์ ๊ธฐ๋ง ใSNT๋ก๋ณดํฑ์ค(*1) ๋ํ๋ฏผ ๊ตญ 6์ 30์ผ ์ฐ์ ์ฉ๋ก๋ด ์ ์กฐ 100.00% - SNT Global INC. ๋ฏธ๊ตญ 6์ 30์ผ ์ฐจ๋๋ถํ ๋ฑ ์ ์กฐ 86.67% 86.67% SNT USA Ltd. ๋ฏธ๊ตญ 6์ 30์ผ ๋ถ๋ฏธ์ง์ญ ์ฌ์ ์ด๊ด 100.00% 100.00% SNT Defense LLC ๋ฏธ๊ตญ 6์ 30์ผ ์ด๊ธฐ ๋ฐ ๋ถํ ํ๋งค 100.00% 100.00% SNT Property LLC ๋ฏธ๊ตญ 6์ 30์ผ ๋ถ๋ฏธ์ง์ญ ์์ฐ ๊ด๋ฆฌ 100.00% 100.00% SNT America Ltd. ๋ฏธ๊ตญ 6์ 30์ผ ๋ถ๋ฏธ์ง์ญ ๊ณ ๊ฐ ๊ด๋ฆฌ 100.00% 100.00% SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ ์ค๊ตญ 6์ 30์ผ ์ฐจ๋๋ถํ ์ ์กฐ 100.00% 100.00% SNT Motiv India Private Ltd. ์ธ๋ 6์ 30์ผ ์ฐจ๋๋ถํ ์ ์กฐ 100.00% 100.00% SNT Daewoo India Private Ltd. ์ธ๋ 6์ 30์ผ ์ฐจ๋๋ถํ ์ ์กฐ 100.00% 100.00% (*1) ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ใSNTํ๋ฉ์ค๋ก๋ถํฐ ์ทจ๋ํ์์ต๋๋ค. (3) ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ์ข ์๊ธฐ์ ์ ์์ฝ ์ฌ๋ฌด์ ๋ณด๋ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. โ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง (๋จ์:๋ฐฑ๋ง์) ์ข ์๊ธฐ์ ๋ช ์์ฐ ๋ถ์ฑ ์๋ณธ ๋งค์ถ์ก ๋น๊ธฐ์์ ์ต ์ดํฌ๊ด์ ์ต ใSNT๋ก๋ณดํฑ์ค 29,615 202 29,413 24 (1,075) (1,075) SNT Global INC 45,223 100 45,123 - (145) 2,980 SNT USA Ltd. 11,069 231 10,838 - (899) (525) DART dart.fss.or.kr Page 70
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2. Basis of Preparation (Consolidated) SNT Defense LLC 2,614 1,555 1,059 231 (801) (1,046) SNT Property LLC 8,637 - 8,637 - (91) 466 SNT America Ltd. 1,308 154 1,154 518 14 94 SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ 30,143 8,275 21,868 23,154 (236) 1,916 SNT Motiv India Private Ltd. 25,288 6,888 18,400 5,338 (960) (605) SNT Daewoo India Private Ltd. 58 8 50 - (2) - โก ์ ๊ธฐ๋ง (๋จ์:๋ฐฑ๋ง์) ์ข ์๊ธฐ์ ๋ช ์์ฐ ๋ถ์ฑ ์๋ณธ ๋งค์ถ์ก ๋น๊ธฐ์์ ์ต ์ดํฌ๊ด์ ์ต SNT Global INC. 42,143 - 42,143 - (896) 1,292 SNT USA Ltd. 11,363 - 11,363 - (1,639) (2,077) SNT Defense LLC 2,262 157 2,105 3 (1,201) 1,017 SNT Property LLC 8,171 - 8,171 - (200) (39) SNT America Ltd. 1,073 13 1,060 888 41 17 SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ 28,250 8,298 19,952 35,148 (738) (411) SNT Motiv India Private Ltd. 20,067 2,376 17,691 81 (2,903) (3,570) SNT Daewoo India Private Ltd. 59 9 50 - (9) (14) (1) ํ๊ณ๊ธฐ์ค์ ์ ์ฉ ์ง๋ฐฐ๊ธฐ์ ๊ณผ ์ง๋ฐฐ๊ธฐ์ ์ ์ข ์๊ธฐ์ (์ดํ "์ฐ๊ฒฐ์ค์ฒด")์ ๋ฐ๊ธฐ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ๋ ํ๊ตญ์ฑํ๊ตญ์ ํ๊ณ๊ธฐ์ค์ ๋ฐ๋ผ ์์ฑ๋๋ ์์ฝ์ฐ๊ฒฐ์ค๊ฐ์ฌ๋ฌด์ ํ์ ๋๋ค. ๋ ์ฌ๋ฌด์ ํ๋ ๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1034ํธ (์ค๊ฐ์ฌ๋ฌด๋ณด ๊ณ )์ ๋ฐ๋ผ ์์ฑ๋์์ผ๋ฉฐ, ์ฐ์ฐจ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ์์ ์๊ตฌ๋๋ ์ ๋ณด์ ๋นํ์ฌ ์ ์ ์ ๋ณด๋ฅผ ํฌํจํ๊ณ ์ ์ต๋๋ค. ์ ๋ณ์ ์ฃผ์์ ์ง์ ์ฐ์ฐจ๋ณด๊ณ ๊ธฐ๊ฐ๋ง ํ ๋ฐ์ํ ์ฐ๊ฒฐ์ค์ฒด์ ์ฌ๋ฌด์ํ์ ๊ฒฝ์์ฑ๊ณผ์ ๋ณ๋์ ์ดํดํ๋๋ฐ ์ ์์ ์ธ ๊ฑฐ๋๋ ์ฌ๊ฑด์ ๋ํ ์ค๋ช ์ ํฌํจํ๊ณ ์์ต๋๋ค. (2) ์ถ์ ๊ณผ ํ๋จ ํ๊ตญ์ฑํ๊ตญ์ ํ๊ณ๊ธฐ์ค์์๋ ์ฌ๋ฌด์ ํ๋ฅผ ์์ฑํจ์ ์์ด์ ํ๊ณ์ ์ฑ ์ ์ ์ฉ์ด๋, ๋ณด๊ณ ๊ธฐ๊ฐ๋ง ํ์ฌ ์์ฐ, ๋ถ์ฑ ๋ฐ ์์ต, ๋น์ฉ์ ๋ณด๊ณ ๊ธ์ก์ ์ํฅ์ ๋ฏธ์น๋ ์ฌํญ์ ๋ํ์ฌ ๊ฒฝ์์ง์ ์ต์ ์ ํ๋จ์ ๊ธฐ์ค ์ผ๋ก ํ ์ถ์ ์น์ ๊ฐ์ ์ ์ฌ์ฉ์ ์๊ตฌํ๊ณ ์์ต๋๋ค. ์ค๊ฐ๋ณด๊ณ ๊ธฐ๊ฐ๋ง ํ์ฌ ๊ฒฝ์์ง์ ์ต์ ์ ํ๋จ์ ๊ธฐ์ค์ผ๋ก ํ ์ถ์ ์น์ ๊ฐ์ ์ด ์ค์ ํ๊ฒฝ๊ณผ ๋ค๋ฅผ ๊ฒฝ์ฐ ์ด๋ฌํ ์ถ์ ์น์ ์ค์ ๊ฒฐ๊ณผ๋ ๋ค๋ฅผ ์ ์์ต๋ ๋ค. ์ถ์ ์น์ ์ถ์ ์ ๋ํ ๊ธฐ๋ณธ ๊ฐ์ ์ ์ง์์ ์ผ๋ก ๊ฒํ ๋๊ณ ์์ผ๋ฉฐ, ํ๊ณ์ถ์ ์ ๋ณ๊ฒฝ์ ์ถ์ ์ด ๋ณ๊ฒฝ๋ ๊ธฐ๊ฐ๊ณผ ๋ฏธ๋ ์ํฅ์ ๋ฐ์ ๊ธฐ๊ฐ ๋์ ์ธ์๋๊ณ ์์ต๋๋ค. DART dart.fss.or.kr Page 71
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3. Changes in accounting policies (Consolidated) 4. Operating segments (Consolidated) (1) ๋น๋ฐ๊ธฐ๋ถํฐ ์๋ก ๋์ ๋ ์ฃผ์ ๊ธฐ์ค์ ๋ฐ ํด์์์ ๊ทธ์ ๋ฐ๋ฅธ ํ๊ณ์ ์ฑ ์ ๋ณ๊ฒฝ ๋ด์ฉ์ ๋ค์๊ณผ ๊ฐ ์ต๋๋ค. - ๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1107ํธ ๊ธ์ต์ํ: ๊ณต์ ๋ฐ ์ 1109ํธ ๊ธ์ต์ํ (๊ฐ์ ) ๋ ๊ฐ์ ์ฌํญ์ ๊ณ์ฝ์ ํ๊ธํ๋ฆ ํน์ฑ์ ํ๊ฐํ ๋, ์๋ฆฌ๊ธ ์ง๊ธ๋ง์ผ๋ก ๊ตฌ์ฑ๋์ด ์๋ํ๊ธํ๋ฆ์ ๋ ํ ํ๋จ ๊ธฐ์ค์ ๋ช ํํ ํ๊ณ , ๊ธฐํํฌ๊ด์์ต-๊ณต์ ๊ฐ์น(FVOCI) ์ธก์ ์ง๋ถ์ํ์ ํฌ์ ์ข ๋ฅ๋ณ ๊ณต์ ๊ฐ ์น ๋ณ๋ ๋ฐ ์คํ์์ต ์ ๋ณด์ ๋ํ ๊ณต์ ์๊ตฌ์ฌํญ์ ์ถ๊ฐํ ๊ฒ์ ๋๋ค. ๋ํ, ์ ์์ง๊ธ์์คํ ์ ์ฌ์ฉ ํ์ฌ ํ๊ธ์ผ๋ก ๊ธ์ต๋ถ์ฑ๋ฅผ ๊ฒฐ์ ํ๋ ๊ฒฝ์ฐ, ๊ฒฐ์ ์ผ ์ด์ ์ ๊ธ์ต๋ถ์ฑ๋ฅผ ์ ๊ฑฐํ ์ ์๋ ์กฐ๊ฑด์ด ์ถ๊ฐ๋ ์์ต๋๋ค. ํํธ, ๋ ๊ฐ์ ์ฌํญ์ ์ ์ฉ์ด ์ฐ๊ฒฐ์ค์ฒด์ ์ฌ๋ฌด์ํ๋ ๊ฒฝ์์ฑ๊ณผ์ ๋ฏธ์น๋ ์ค์ํ ์ํฅ์ ์ ์ต๋๋ค. - K-IFRS ์ฐ์ฐจ๊ฐ์ ์ฌํญ ๋ณธ ์ฐ์ฐจ๊ฐ์ ์ฌํญ์ ์๋์ ๊ธฐ์ค์์ ๋ํ ์ผ๋ถ ์กฐ๋ฌธ์ ๊ฐ์ ํ ๊ฒ์ผ๋ก, ์ฌ๋ฌด๋ณด๊ณ ์ ๋ช ํ์ฑ๊ณผ ์ผ๊ด์ฑ ํฅ์์ ๋ชฉ์ ์ผ๋ก ํ๊ณ ์์ต๋๋ค. โ K-IFRS ์ 1007ํธ ํ๊ธํ๋ฆํ โก K-IFRS ์ 1101ํธ ํ๊ตญ์ฑํ๊ตญ์ ํ๊ณ๊ธฐ์ค์ ์ต์ด์ฑํ โข K-IFRS ์ 1107ํธ ๊ธ์ต์ํ: ๊ณต์ โฃ K-IFRS ์ 1109ํธ ๊ธ์ต์ํ โค K-IFRS ์ 1110ํธ ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ ํํธ, ๋ ๊ฐ์ ์ฌํญ์ ์ ์ฉ์ด ์ฐ๊ฒฐ์ค์ฒด์ ์ฌ๋ฌด์ํ๋ ๊ฒฝ์์ฑ๊ณผ์ ๋ฏธ์น๋ ์ค์ํ ์ํฅ์ ์์ต๋๋ค. (2) ๋น๋ฐ๊ธฐ๋ง ํ์ฌ ์ ์ ใ๊ณตํ๋์์ผ๋ ์์ง ์ํ์ผ์ด ๋๋ํ์ง ์์ ์กฐ๊ธฐ ์ ์ฉํ์ง ์๋ํ ์ ๊ฐ์ ๊ธฐ์ค์ ๋ฐ ํด์์์ ๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. - ๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1118ํธ ใ์ฌ๋ฌด์ ํ ํ์์ ๊ณต์ใ ์ ์ K-IFRS ์ 1118ํธ '์ฌ๋ฌด์ ํ ํ์์ ๊ณต์'๋ K-IFRS ์ 1001ํธ '์ฌ๋ฌด์ ํ ํ์'๋ฅผ ๋์ฒดํฉ๋๋ค. ์ด ๊ธฐ ์ค์๋ 2027๋ 1์ 1์ผ ์ดํ ์ต์ด๋ก ์์ํ๋ ํ๊ณ์ฐ๋๋ถํฐ ์ ์ฉํ๋ฉฐ ์กฐ๊ธฐ ์ ์ฉ์ ํ์ฉํ๋, ์ฐ๊ฒฐ ์ค์ฒด๋ ์์ฝ๋ฐ๊ธฐ์ฌ๋ฌด์ ํ ์์ฑ ์ ์๋ก์ด ๊ธฐ์ค์๋ฅผ ์กฐ๊ธฐ์ ์ฉํ์ง ์์์ต๋๋ค. K-IFRS ์ 1118ํธ๋ ๋ณด๋ค ๊ตฌ์กฐํ๋ ์์ต๊ณ์ฐ์์ ์ ๋ณด์ ์ธ๋ถํ๋ฅผ ์๊ตฌํฉ๋๋ค. ์ฐ๊ฒฐ์ค์ฒด๋ K-IFRS ์ 1118ํธ์ ๋์ ์ด ์ฌ๋ฌด์ ํ์ ๋ฏธ์น ๊ฒ์ผ๋ก ์์๋๋ ์ํฅ์ ๋ถ์ ์ค์ ์์ต๋๋ค. ์๊ธฐ์ ๊ธฐ์ฌ๋ ์ฌํญ์ ์ ์ธํ๊ณ ๋ฐ๊ธฐ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ์ ์ ์ฉ๋ ํ๊ณ์ ์ฑ ์ ์ง์ ์ฐ์ฐจ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ์ ์ ์ฉํ ํ๊ณ์ ์ฑ ๊ณผ ๋์ผํฉ๋๋ค. Description of factors used to identify entity's reportable segments ์ฐ๊ฒฐ์ค์ฒด๋ ์ ๋ต์ ์ธ ์์ ๋จ์์ธ 2๊ฐ์ ๋ณด๊ณ ๋ถ๋ฌธ์ ๊ฐ์ง๊ณ ์์ต๋๋ค. ์ ๋ต์ ์์ ๋จ์๋ค์ ์๋ก ๋ค ๋ฅธ ์์ฐํ๊ณผ ์ฉ์ญ์ ์ ๊ณตํ๋ฉฐ ๊ฐ ์์ ๋จ์๋ณ๋ก ์๊ตฌ๋๋ ๊ธฐ์ ๊ณผ ๋ง์ผํ ์ ๋ต์ด ๋ค๋ฅด๋ฏ๋ก ๋ถ๋ฆฌ๋์ด ์ด์๋๊ณ ์์ต๋๋ค. ์ต๊ณ ์์ ์์ฌ๊ฒฐ์ ์๋ ๊ฐ ์ ๋ต์ ์ธ ์์ ๋จ์๋ค์ ๋ํ ๋ด๋ถ ๋ณด๊ณ ์๋ฃ๋ฅผ ์ต์ ํ ๋ถ๊ธฐ ๋จ์๋ก ๊ฒํ ํ๊ณ ์์ต๋๋ค. Disclosure of operating segments Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Segment consolidation items [domain] Total of Segment consolidation items [domain] ใ Operating segments Material reconciling items DART dart.fss.or.kr Page 72
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Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Automotive components segments All other segments Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Goods ์ฐจ๋๋ถํ์ ๊ตฌ ๋งค, ์ ์กฐ ๋ฐ ํ ๋งค ์ฐจ๋๋ถํ์ ๊ตฌ ๋งค, ์ ์กฐ ๋ฐ ํ ๋งค ๋ฐฉ์ฐ, SCMC ๋ฑ ๋ฐฉ์ฐ, SCMC ๋ฑ Major customers ์์ฑ์ฐจ์ ์ฒด ๋ฑ ์์ฑ์ฐจ์ ์ฒด ๋ฑ ๋ฐฉ์ฐ์ ์ฒด ๋ฑ ๋ฐฉ์ฐ์ ์ฒด ๋ฑ Revenue 212,177,509 398,368,040 49,488,097 81,436,856 261,665,606 479,804,896 0 0 0 0 (3,640,519) (6,183,633) 258,025,087 473,621,263 Operating income(loss) 17,171,881 33,204,475 7,901,261 13,073,275 25,073,142 46,277,750 0 0 0 0 768,445 1,106,106 25,841,587 47,383,856 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Segment consolidation items [domain] Total of Segment consolidation items [domain] ใ Operating segments Material reconciling items ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Automotive components segments All other segments Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Goods ์ฐจ๋๋ถํ์ ๊ตฌ ๋งค, ์ ์กฐ ๋ฐ ํ ๋งค ์ฐจ๋๋ถํ์ ๊ตฌ ๋งค, ์ ์กฐ ๋ฐ ํ ๋งค ๋ฐฉ์ฐ, SCMC ๋ฑ ๋ฐฉ์ฐ, SCMC ๋ฑ Major customers ์์ฑ์ฐจ์ ์ฒด ๋ฑ ์์ฑ์ฐจ์ ์ฒด ๋ฑ ๋ฐฉ์ฐ์ ์ฒด ๋ฑ ๋ฐฉ์ฐ์ ์ฒด ๋ฑ Revenue 203,573,763 402,755,112 68,451,636 101,226,869 272,025,399 503,981,981 0 0 0 0 (14,485,823) (20,257,831) 257,539,577 483,724,151 Operating income(loss) 20,767,220 41,570,910 6,088,661 8,252,777 26,855,881 49,823,687 0 0 0 0 (210,206) (160,026) 26,645,675 49,663,661 Disclosure of assets and liabilities of reportable segments Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) Automotive components segments All other segments Shared services segments Total of Segments [domain] Assets 444,689,871 237,307,242 635,042,658 1,317,039,771 Liabilities 0 0 279,104,004 279,104,004 Ending of Last Fiscal Year (Unit : thousand, KRW) Automotive components segments All other segments Shared services segments Total of Segments [domain] Assets 425,437,491 183,845,019 670,081,309 1,279,363,819 Liabilities 0 0 259,973,761 259,973,761 Description of asset and liability allocation by reportable segment ๋ถ๋ฌธ๋ณ ์์ฐ์ ์ฃผ๋ก ์ฌ๊ณ ์์ฐ ๋ฐ ์ ใ๋ฌดํ์์ฐ์ผ๋ก ๊ตฌ์ฑ๋๋ฉฐ ํ๊ธ ๋ฐ ํ๊ธ์ฑ์์ฐ, ๊ธ์ต์์ฐ ๋ฑ์ ๋ฐฐ ๋ถ๋์ง ์๋ํ์์ต๋๋ค. ๋ํ, ๋ถ๋ฌธ๋ณ ๋ถ์ฑ๋ ๋ฐฐ๋ถ๋์ง ์๋ํ์์ต๋๋ค. DART dart.fss.or.kr Page 73
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5. Cash and cash equivalents and long-term and short-term financial instruments (Consolidated) Disclosure of geographical areas Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Geographical areas [domain] Total of Geographical areas [domain]ใ Domestic Local export Asia Europe Americas Other countries ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Revenue 47,497,358 86,067,456 92,545,869 164,123,409 61,242,304 105,436,992 2,878,351 4,535,208 51,486,563 108,652,906 2,374,642 4,805,292 258,025,087 473,621,263 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Geographical areas [domain] Total of Geographical areas [domain]ใ Domestic Local export Asia Europe Americas Other countries ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Revenue 57,169,797 103,177,426 81,811,354 162,346,139 58,307,983 97,040,618 1,813,387 3,891,407 57,205,304 114,743,665 1,231,751 2,524,895 257,539,577 483,724,151 Disclosure of major customers Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Major customers [domain] ใ Customer A Customer B Customer C ใ Three months Cumulative Three months Cumulative Three months Cumulative Information about major customers ๋จ์ผ ์ธ๋ถ ๊ณ ๊ฐ์ผ๋ก๋ถํฐ ์ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก ์ 10%์ด์์ ์ฐจ์งํ๋ ๊ณ ๊ฐ ๋จ์ผ ์ธ๋ถ ๊ณ ๊ฐ์ผ๋ก๋ถํฐ ์ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก ์ 10%์ด์์ ์ฐจ์งํ๋ ๊ณ ๊ฐ ๋จ์ผ ์ธ๋ถ ๊ณ ๊ฐ์ผ๋ก๋ถํฐ ์ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก ์ 10%์ด์์ ์ฐจ์งํ๋ ๊ณ ๊ฐ ๋จ์ผ ์ธ๋ถ ๊ณ ๊ฐ์ผ๋ก๋ถํฐ ์ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก ์ 10%์ด์์ ์ฐจ์งํ๋ ๊ณ ๊ฐ ๋จ์ผ ์ธ๋ถ ๊ณ ๊ฐ์ผ๋ก๋ถํฐ ์ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก ์ 10%์ด์์ ์ฐจ์งํ๋ ๊ณ ๊ฐ ๋จ์ผ ์ธ๋ถ ๊ณ ๊ฐ์ผ๋ก๋ถํฐ ์ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก ์ 10%์ด์์ ์ฐจ์งํ๋ ๊ณ ๊ฐ Revenue 75,309,225 131,130,306 40,552,476 78,647,752 31,515,949 52,282,953 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Major customers [domain] ใ Customer A Customer B Customer C ใ Three months Cumulative Three months Cumulative Three months Cumulative Information about major customers ๋จ์ผ ์ธ๋ถ ๊ณ ๊ฐ์ผ๋ก๋ถํฐ ์ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก ์ 10%์ด์์ ์ฐจ์งํ๋ ๊ณ ๊ฐ ๋จ์ผ ์ธ๋ถ ๊ณ ๊ฐ์ผ๋ก๋ถํฐ ์ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก ์ 10%์ด์์ ์ฐจ์งํ๋ ๊ณ ๊ฐ ๋จ์ผ ์ธ๋ถ ๊ณ ๊ฐ์ผ๋ก๋ถํฐ ์ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก ์ 10%์ด์์ ์ฐจ์งํ๋ ๊ณ ๊ฐ ๋จ์ผ ์ธ๋ถ ๊ณ ๊ฐ์ผ๋ก๋ถํฐ ์ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก ์ 10%์ด์์ ์ฐจ์งํ๋ ๊ณ ๊ฐ ์ ๊ธฐ์๋ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก์ 10% ๋ฏธ๋ง์ด์ ์ผ๋ฏ๋ก ์ ๊ธฐ ๋งค์ถ์ก์ ๊ณต ์ํ์ง ์๋ํ์์ต๋๋ค. ์ ๊ธฐ์๋ ๋งค์ถ์ก์ด ์ ์ฒด ๋งค์ถ์ก์ 10% ๋ฏธ๋ง์ด์ ์ผ๋ฏ๋ก ์ ๊ธฐ ๋งค์ถ์ก์ ๊ณต ์ํ์ง ์๋ํ์์ต๋๋ค. Revenue 71,778,101 142,389,504 39,798,296 77,604,269 Details Of Cash And Cash Equivalents Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Cash on hand 119,885 Time deposits 165,451,487 Total 165,571,372 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Cash on hand 90,847 Time deposits 233,273,880 Total 233,364,727 DART dart.fss.or.kr Page 74
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6. Financial assets at fair value through other comprehensive income and profit or loss (Consolidated) Disclosure of financial instruments Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Short-term fixed deposits 192,968,350 Short-term deposits, not classified as cash equivalents 192,968,350 Long-term special deposits 3,000 Long-term deposits not classified as cash equivalents 3,000 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Short-term fixed deposits 221,380,010 Short-term deposits, not classified as cash equivalents 221,380,010 Long-term special deposits 3,000 Long-term deposits not classified as cash equivalents 3,000 Restricted financial assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Restricted financial assets [domain] ใ Long-term financial instruments ใ Counterparties [domain] ใ Woori Bank Restricted financial assets 3,000 Reasons for use restrictions ๋น์ข๊ฐ์ค๋ณด์ฆ๊ธ Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Restricted financial assets [domain] ใ Long-term financial instruments ใ Counterparties [domain] ใ Woori Bank Restricted financial assets 3,000 Reasons for use restrictions ๋น์ข๊ฐ์ค๋ณด์ฆ๊ธ DART dart.fss.or.kr Page 75
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Details of financial assets measured at fair value through other comprehensive income and financial assets at fair value through profit or loss Ending of Current Fiscal Year (Half- Year) (Unit : thousand, KRW) ใ Categories of financial assets [domain] Total of Categories of financial assets [domain] Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Equity instruments at fair value through other comprehensive income Debt securities at fair value through profit or loss, category ใ Listed equity securities Defense Expo Korea Other non-current financial assets 40,765,055 1,525,643 42,290,698 Description of valuation techniques used in fair value measurement, assets ์ฐ๊ฒฐ์ค์ฒด๋ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ (์ฃผ)์ค๋งฅ์ ์๊ฒฐ๊ถ ์๋ ์ฃผ์์ 20% ์ด์ ๋ณด์ ํ๊ณ ์์ผ๋, ํผํฌ์์์ ๋ํ ์์ ์ ์ฑ ๋ฐ ์ฌ ๋ฌด์ ์ฑ ์ ๋ํ ์ฐธ์ฌ ์ ํ์ผ๋ก ์ ์์ ์ธ ์ ํฅ๋ ฅ์ ๋ณด์ ํ๊ณ ์์ง ์๋ค๊ณ ํ๋จํ์ฌ ์ด ๋ฅผ ๊ธฐํํฌ๊ด์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ง๋ถ์ฆ๊ถ ์ผ๋ก ๋ถ๋ฅํ์์ต๋๋ค. ๋น๊ธฐ์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ฑ๋ฌด์ฆ๊ถ์ ๊ณต์ ๊ฐ์น๋ฅผ ๊ฒฐ์ ํ๊ธฐ ์ํด ์ด์ฉํ ์ ์๋ ์ ๋ณด๊ฐ ๋ถ์ถฉ๋ถํ๊ณ ๊ฐ๋ฅํ ๊ณต์ ๊ฐ์น ์ธก์ ์น ์ ๋ฒ์๊ฐ ๋์ผ๋ฏ๋ก, ๊ทธ ๋ฒ์ ๋ด์์ ์ทจ๋ ์๊ฐ์ ์๋ณธ์ ์ ์ ๋ ๋ฐฐ๋น์์ต์ ๊ฐ์ฐํ ๋์ ๊ธ์ก์ ๊ณต์ ๊ฐ์น์ ์ต์ ์ ์ถ์ ์น๋ก ๊ฐ์ฃผํ์ฌ ์๊ฐ๋ฅผ ๊ณต์ ๊ฐ์น๋ก ํ์์ต๋๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of financial assets [domain] Total of Categories of financial assets [domain] Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Equity instruments at fair value through other comprehensive income Debt securities at fair value through profit or loss, category ใ Listed equity securities Defense Expo Korea Other non-current financial assets 3,310,322 1,512,853 4,823,175 Description of valuation techniques used in fair value measurement, assets ๋น๊ธฐ์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ฑ๋ฌด์ฆ๊ถ์ ๊ณต์ ๊ฐ์น๋ฅผ ๊ฒฐ์ ํ๊ธฐ ์ํด ์ด์ฉํ ์ ์๋ ์ ๋ณด๊ฐ ๋ถ์ถฉ๋ถํ๊ณ ๊ฐ๋ฅํ ๊ณต์ ๊ฐ์น ์ธก์ ์น ์ ๋ฒ์๊ฐ ๋์ผ๋ฏ๋ก, ๊ทธ ๋ฒ์ ๋ด์์ ์ทจ๋ ์๊ฐ์ ์๋ณธ์ ์ ์ ๋ ๋ฐฐ๋น์์ต์ ๊ฐ์ฐํ ๋์ ๊ธ์ก์ ๊ณต์ ๊ฐ์น์ ์ต์ ์ ์ถ์ ์น๋ก ๊ฐ์ฃผํ์ฌ ์๊ฐ๋ฅผ ๊ณต์ ๊ฐ์น๋ก ํ์์ต๋๋ค. Changes in Equity Securities and Debt Securities Measured at Fair Value through Profit or Loss Ending of Current Fiscal Year (Half- Year) (Unit : thousand, KRW) ใ Categories of financial assets [domain] ใ Financial assets at fair value through profit or loss, category DART dart.fss.or.kr Page 76
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Equity securities at fair value through profit or loss, category Debt securities at fair value through profit or loss, category Assets at beginning of period 0 1,512,853 Purchases 0 0 Sales 0 0 Gains(losses) on disposals of fair value financial asset 0 0 Net Gain (Loss) on Financial Assets at Fair Value through Profit or Loss 0 12,790 Assets at beginning of period 0 1,525,643 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of financial assets [domain] ใ Financial assets at fair value through profit or loss, category Equity securities at fair value through profit or loss, category Debt securities at fair value through profit or loss, category Assets at beginning of period 0 1,498,821 Purchases 54,627,550 0 Sales (54,970,228) 0 Gains(losses) on disposals of fair value financial asset 342,678 0 Net Gain (Loss) on Financial Assets at Fair Value through Profit or Loss 0 14,032 Assets at beginning of period 0 1,512,853 Explanation for Acquisition of Equity and Debt Securities Measured at FVTPL ๊ธ์ต์์ฐ ์ทจ๋์ผ๋ก ์ธํ ํ๊ธ์ ์ถ์ก๊ณผ ๋ฏธ์ง๊ธ๊ธ ์ฆ๊ฐ์ก์ ๋ชจ๋ ํฌํจํ์์ต๋๋ค. Explanation for Disposal of Equity and Debt Securities Measured at FVTPL ๊ธ์ต์์ฐ ์ฒ๋ถ์ผ๋ก ์ธํ ํ๊ธ์ ์ ์ก๊ณผ ๋ฏธ์๊ธ ์ฆ๊ฐ์ก์ ๋ชจ๋ ํฌํจํ์์ต๋๋ค. DisclosureOfChangesInEquitySecuritiesAtFVTOCI Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Categories of financial assets [domain] Financial assets at fair value through other comprehensive income, category Investments in equity instruments designated at fair value through other comprehensive income Assets at beginning of period 3,310,322 Purchases 60,606,017 Sales 0 Gains (losses) recognised in other comprehensive income including exchange differences, fair value measurement, assets (23,151,284) Assets at beginning of period 40,765,055 Ending of Last Fiscal Year (Unit : thousand, KRW) DART dart.fss.or.kr Page 77
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Categories of financial assets [domain] Financial assets at fair value through other comprehensive income, category Investments in equity instruments designated at fair value through other comprehensive income Assets at beginning of period 5,310,091 Purchases 43,205,747 Sales (48,489,213) Gains (losses) recognised in other comprehensive income including exchange differences, fair value measurement, assets 3,283,697 Assets at beginning of period 3,310,322 Explanation for Acquisition of Equity Securities Measured at FVOCI ๊ธ์ต์์ฐ ์ทจ๋์ผ๋ก ์ธํ ํ๊ธ์ ์ถ์ก๊ณผ ๋ฏธ์ง๊ธ๊ธ ์ฆ๊ฐ์ก์ ๋ชจ๋ ํฌํจํ์์ต๋๋ค. Explanation for Disposal of Equity Securities Measured at FVOCI ๊ธ์ต์์ฐ ์ฒ๋ถ์ผ๋ก ์ธํ ํ๊ธ์ ์ ์ก๊ณผ ๋ฏธ์๊ธ ์ฆ๊ฐ์ก์ ๋ชจ๋ ํฌํจํ์์ต๋๋ค. Disclosures for equity instruments measured at fair value through other comprehensive income Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Categories of financial assets [domain] ใ Financial assets at fair value through other comprehensive income, category ใ Investments in equity instruments designated at fair value through other comprehensive income Dividends recognised for investments in equity instruments designated at fair value through other comprehensive income, held at end of reporting period 84,447 Dividends recognised for investments in equity instruments designated at fair value through other comprehensive income, derecognised during period 0 Fair value of investments in equity instruments designated at fair value through other comprehensive income at date of derecognition 0 Cumulative gain (loss) on disposal of investments in equity instruments designated at fair value through other comprehensive income 22,071,010 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of financial assets [domain] DART dart.fss.or.kr Page 78
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7. Trade and other receivables (Consolidated) ใ Financial assets at fair value through other comprehensive income, category ใ Investments in equity instruments designated at fair value through other comprehensive income Dividends recognised for investments in equity instruments designated at fair value through other comprehensive income, held at end of reporting period 83,460 Dividends recognised for investments in equity instruments designated at fair value through other comprehensive income, derecognised during period 242,080 Fair value of investments in equity instruments designated at fair value through other comprehensive income at date of derecognition (48,489,213) Cumulative gain (loss) on disposal of investments in equity instruments designated at fair value through other comprehensive income 22,071,010 Trade And Other Receivables Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Gross carrying amount Allowance for credit losses Total of Carrying amount Current trade receivables 185,815,515 (2,929,443) 182,886,072 Short-term other receivables, net 14,626,975 0 14,626,975 Short-term accrued income, net 3,287,077 0 3,287,077 Short-term loans, net 34,001 0 34,001 Subtotal of trade and other current receivables 203,763,568 (2,929,443) 200,834,125 Long-term deposits provided, net 208,813 0 208,813 Long-term loans, net 387,186 0 387,186 Subtotal of trade and other non-current receivables 595,999 0 595,999 Total 204,359,567 (2,929,443) 201,430,124 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Gross carrying Allowance for credit Total of Carrying DART dart.fss.or.kr Page 79
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amount losses amount Current trade receivables 187,830,453 (2,505,791) 185,324,662 Short-term other receivables, net 6,995,057 0 6,995,057 Short-term accrued income, net 4,687,002 0 4,687,002 Short-term loans, net 28,832 0 28,832 Subtotal of trade and other current receivables 199,541,344 (2,505,791) 197,035,552 Long-term deposits provided, net 233,094 0 233,094 Long-term loans, net 432,770 0 432,770 Subtotal of trade and other non-current receivables 665,864 0 665,865 Total 200,207,208 (2,505,791) 197,701,417 Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for receivables Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial instruments [domain] ใ Trade receivables ใ Carrying amount ใ Accumulated impairment Beginning balance 2,505,791 Bad debt expenses(Reversal) 294,376 Others 129,276 Ending balance 2,929,443 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial instruments [domain] ใ Trade receivables ใ Carrying amount ใ Accumulated impairment Beginning balance 3,169,814 Bad debt expenses(Reversal) (619,404) Others (44,619) Ending balance 2,505,791 Disclosure of receivables that are either past due or impaired Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired DART dart.fss.or.kr Page 80
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Past due status [domain] ใ Not later than six months Later than six months and not later than one year Later than one year and not later than three years Not later than six months Later than six months and not later than one year Later than one year and not later than three years ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 33,204,746 (161,571) ใ 7,339 (6,267) ใ 279,445 (236,708) ใ 0 0 ใ 0 0 ใ 0 0 Expected credit loss rate ใ ใ 0.0049 ใ ใ 0.8539 ใ ใ 0.8471 ใ 0.0000 0.0000 ใ 0.0000 0.0000 ใ 0.0000 0.0000 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired ใ Past due status [domain] ใ Not later than six months Later than six months and not later than one year Later than one year and not later than three years Not later than six months Later than six months and not later than one year Later than one year and not later than three years ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 17,320,983 (43,070) ใ 158,031 (9,150) ใ 204,147 (65,534) ใ 0 0 ใ 0 0 ใ 0 0 Expected credit loss rate ใ ใ 0.0025 ใ ใ 0.0579 ใ ใ 0.3210 ใ 0.0000 0.0000 ใ 0.0000 0.0000 ใ 0.0000 0.0000 Disclosure of receivables that are either past due or impaired, not past due and past due Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired ใ Past due status [domain] ใ Current Overdue Current Overdue ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 149,953,505 (154,417) ใ 33,491,530 (404,546) ใ 18,544,052 0 ใ 0 0 Expected credit loss rate ใ ใ 0.0010 ใ ใ 0.0121 ใ ใ 0.0000 ใ ใ 0.0000 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired ใ Past due status [domain] ใ Current Overdue Current Overdue ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 167,939,497 (180,242) ใ 17,683,161 (117,754) ใ 12,376,755 0 ใ 0 0 DART dart.fss.or.kr Page 81
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Expected credit loss rate ใ ใ 0.0011 ใ ใ 0.0067 ใ ใ 0.0000 ใ ใ 0.0000 Disclosure of receivables that are either past due or impaired, individually impaired Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets individually assessed for credit losses ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 2,370,480 (2,370,480) ใ 0 0 Expected credit loss rate ใ ใ 1.00 ใ ใ 0.00 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets individually assessed for credit losses ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 2,207,795 (2,207,795) ใ 0 0 Expected credit loss rate ใ ใ 1.00 ใ ใ 0.00 Disclosure of receivables that are either past due or impaired, total Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 185,815,515 (2,929,443) ใ 18,544,052 0 Expected credit loss rate ใ ใ 0.0158 ใ ใ 0.0000 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired DART dart.fss.or.kr Page 82
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8. Inventories (Consolidated) ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 187,830,453 (2,505,791) ใ 12,376,755 0 Expected credit loss rate ใ ใ 0.0133 ใ ใ 0.0000 Details of inventories Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Gross carrying amount Allowance For Inventory Valuation Total of Carrying amount Merchandise 26,233,285 (912,155) 25,321,130 Finished goods 64,414,613 (1,884,875) 62,529,738 Semi-finished goods 46,580,296 (7,230,491) 39,349,805 Work in progress 31,660,386 (5,306,372) 26,354,014 Raw materials 62,367,818 (7,248,992) 55,118,826 Production supplies 2,332,081 0 2,332,081 Inventories in transit 6,175,781 0 6,175,781 Total 239,764,260 (22,582,885) 217,181,375 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Gross carrying amount Allowance For Inventory Valuation Total of Carrying amount Merchandise 3,268,177 (2,082,306) 1,185,871 Finished goods 52,026,637 (1,884,536) 50,142,101 Semi-finished goods 41,799,849 (6,870,851) 34,928,998 Work in progress 23,221,286 (7,835,593) 15,385,693 Raw materials 58,335,829 (5,941,968) 52,393,861 Production supplies 1,892,519 0 1,892,519 Inventories in transit 11,645,466 0 11,645,466 Total 192,189,763 (24,615,254) 167,574,509 Explanation for insurance contracts ์ฐ๊ฒฐ์ค์ฒด์ ์ฌ๊ณ ์์ฐ ์ผ๋ถ์ ๋ํด ํ์ฌ๋ณดํ ๋ฐ ์์ฐ๋ฌผ๋ฐฐ์์ฑ ์๋ณดํ์ ๊ฐ์ ๋์ด ์์ต๋๋ค. Amount of inventories recognised as expenses Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Gross carrying amount ใ Three months Cumulative DART dart.fss.or.kr Page 83
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9. Other assets (Consolidated) Cost of inventories recognised as expense during period 215,698,661 392,280,245 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Gross carrying amount ใ Three months Cumulative Cost of inventories recognised as expense during period 210,229,064 398,286,037 Explanation regarding the amount of cost of inventories recognized as expense 2 ๋งค์ถ์๊ฐ์ ํ๋งค๊ด๋ฆฌ๋น ์ ๋น์ฉ์ ํฉ๊ณ์ ๋๋ค. Disclosure of inventory write-down Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Gross carrying amount ใ Three months Cumulative Reversal of inventory write- down 871,850 2,032,369 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Gross carrying amount ใ Three months Cumulative Reversal of inventory write- down 399,535 3,674,363 Disclosure Of Other Assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Current prepayments 8,676,574 Current prepaid expenses 1,090,565 Current Accrued Corporate Tax Refund Receivable 51,366 Other current assets 9,818,505 Non-current prepayments 0 Other non-current assets 0 Ending of Last Fiscal Year (Unit : thousand, KRW) DART dart.fss.or.kr Page 84
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10. Property, plant and equipment (Consolidated) ใ Disclosed Amount Current prepayments 8,358,233 Current prepaid expenses 1,048,579 Current Accrued Corporate Tax Refund Receivable 0 Other current assets 9,406,812 Non-current prepayments 30,934 Other non-current assets 30,934 Details of property, plant and equipment Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) Gross carrying amount Accumulated depreciation and amortisation Accumulated impairment Government grants Total of Carrying amount Land 239,378,282 0 0 0 239,378,282 Buildings 81,695,082 (41,395,493) 0 0 40,299,589 Structure 16,539,842 (9,175,774) (233,463) 0 7,130,605 Machinery 321,165,009 (217,048,585) (12,375,018) (588,533) 91,152,873 Vehicles 6,965,385 (4,405,419) (74,567) 0 2,485,399 Other property, plant and equipment 81,329,533 (61,438,041) (1,090,145) 0 18,801,347 Construction in progress 61,402,972 0 (187,273) 0 61,215,699 Total property, plant and equipment 808,476,105 (333,463,312) (13,960,466) (588,533) 460,463,795 Ending of Last Fiscal Year (Unit : thousand, KRW) Gross carrying amount Accumulated depreciation and amortisation Accumulated impairment Government grants Total of Carrying amount Land 221,802,741 0 0 0 221,802,741 Buildings 75,329,604 (39,726,303) 0 0 35,603,301 Structure 16,050,505 (8,903,259) (233,463) 0 6,913,783 Machinery 307,976,907 (204,774,174) (11,462,685) (637,666) 91,102,382 Vehicles 6,643,529 (4,109,565) (67,270) 0 2,466,694 Other property, plant and equipment 77,754,904 (58,787,134) (998,170) 0 17,969,600 Construction in progress 61,805,419 0 (168,947) 0 61,636,472 DART dart.fss.or.kr Page 85
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Total property, plant and equipment 767,363,609 (316,300,435) (12,930,535) (637,666) 437,494,973 Disclosure of detailed information about property, plant and equipment Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Land Buildings Structure Machinery Vehicles Other property, plant and equipment Construction in progress Total of Classes of property, plant and equipment [domain] Property, plant and equipment at beginning of period 221,802,741 35,603,301 6,913,783 91,102,382 2,466,694 17,969,600 61,636,472 437,494,973 Acquisition 2,254,334 1,759,217 193,661 3,404,109 351,875 1,733,965 18,604,200 28,301,361 Disposals, property, plant and equipment 0 0 0 (14) (28,659) 0 0 (28,673) Depreciation, property, plant and equipment 0 (1,428,024) (269,505) (10,893,802) (303,644) (1,855,762) 0 (14,750,737) Impairment loss recognised in profit or loss 0 0 0 0 0 0 0 0 Others 15,321,207 4,365,095 292,666 7,540,198 (867) 953,544 (19,024,973) 9,446,870 Property, plant and equipment at beginning of period 239,378,282 40,299,589 7,130,605 91,152,873 2,485,399 18,801,347 61,215,699 460,463,795 Property, plant and equipment, expenditures recognised in course of its construction ใ ใ ใ ใ ใ ใ 23,004,000 Description of impairment loss of property, plant and equipment Description of other changes of property, plant and equipment ๊ธฐํ์ฆ๊ฐ์ก์ ๊ฑด์ค ์ค์ธ์์ฐ์ ๋ณธ๊ณ์ ๋์ฒด ๋ฐ ํ์จ๋ณ๋ ์ผ๋ก ์ธํ ๊ธ์ก์ ๋๋ค. DART dart.fss.or.kr Page 86
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Description of construction in progress of property, plant and equipment ๊ฑด์ค์ค์ธ์์ฐ์ ์ ๊ท ์ค๋นํฌ์ ๋ฑ๊ณผ ๊ด๋ จํ์ฌ 23,004๋ฐฑ๋ง์์ด ์ง์ถ๋์์ต๋๋ค. Description of insurance and pledge of property, plant and equipment ์ฐ๊ฒฐ์ค์ฒด๋ ๊ฑด๋ฌผ ๋ฑ ์ ํ์์ฐ์ ๋ ํด ํ์ฌ๋ณดํ์ ๊ฐ ์ ํ๊ณ ์์ผ๋ฉฐ, ๋ถ ๋ณด์ก์ ์ผ๋ถ๋ ํ ๊ตญ์ฐ์ ์ํ์ ์ง๊ถ ์ค์ ๋์ด ์์ต๋๋ค . Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Land Buildings Structure Machinery Vehicles Other property, plant and equipment Construction in progress Total of Classes of property, plant and equipment [domain] Property, plant and equipment at beginning of period 229,271,329 24,805,994 7,150,825 78,821,499 2,760,146 16,565,873 22,197,610 381,573,276 Acquisition 169,770 4,683,870 260,508 21,615,112 267,627 4,347,232 54,781,114 86,125,233 Disposals, property, plant and equipment 0 (4) (2) (153,867) (4,235) (33,009) 0 (191,117) Depreciation, property, plant and equipment 0 (2,740,774) (515,148) (20,612,241) (556,844) (3,355,603) 0 (27,780,610) Impairment loss recognised in profit or loss 0 0 0 (730,625) 0 0 0 (730,625) Others (7,638,358) 8,854,215 17,600 12,162,504 0 445,107 (15,342,252) (1,501,184) Property, plant and equipment at beginning of period 221,802,741 35,603,301 6,913,783 91,102,382 2,466,694 17,969,600 61,636,472 437,494,973 Property, plant and equipment, expenditures recognised in course of its construction ใ ใ ใ ใ ใ ใ 53,122,000 DART dart.fss.or.kr Page 87
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Description of impairment loss of property, plant and equipment ์ ๊ธฐ ์ค ์ผ๋ถ ์ ํ ์์ฐ์ ์์์งํ๊ฐ ๋ฐ๊ฒฌ๋์ด ํ์๊ฐ๋ฅ ๊ฐ์ก์ ์ด๊ณผํ๋ ๊ธ์ก์ ๊ธฐํ๋น์ฉ์ ์ ํ์์ฐ์์์ฐจ์ ์ผ๋ก ๊ณ์ํ์์ต๋ ๋ค. Description of other changes of property, plant and equipment ๊ธฐํ์ฆ๊ฐ์ก์ ๊ฑด์ค ์ค์ธ์์ฐ์ ๋ณธ๊ณ์ ๋์ฒด, ์ฐ๊ฒฐ๋ฒ์๋ณ ๋ ๋ฐ ํ์จ๋ณ๋์ผ ๋ก ์ธํ ๊ธ์ก์ ๋ ๋ค. Description of construction in progress of property, plant and equipment ์ ๊ธฐ ์ค ๊ฑด์ค์ค์ธ ์์ฐ์ ์ ๊ท ์ค๋น ํฌ์ ๋ฑ๊ณผ ๊ด๋ จํ ์ฌ 53,122๋ฐฑ๋ง์ ์ด ์ง์ถ๋์์ต๋๋ค . Description of insurance and pledge of property, plant and equipment ์ฐ๊ฒฐ์ค์ฒด๋ ๊ฑด๋ฌผ ๋ฑ ์ ํ์์ฐ์ ๋ ํด ํ์ฌ๋ณดํ์ ๊ฐ ์ ํ๊ณ ์์ผ๋ฉฐ, ๋ถ ๋ณด์ก์ ์ผ๋ถ๋ ํ ๊ตญ์ฐ์ ์ํ์ ์ง๊ถ ์ค์ ๋์ด ์์ต๋๋ค . Disclosure of property, plant and equipment pledged as security ใ (Unit : thousand, KRW) ใ Classes of property, plant and equipment [domain] ใ Gross carrying amount ใ Name of secured creditor [domain] ใ Korea Development Bank Property, plant and equipment, pledged as security 303,048,692 Disclosure of impairment loss recognised or reversed for cash-generating unit ใ (Unit : thousand, KRW) ใ Cash-generating units [domain] ใ Total for all cash-generating units DART dart.fss.or.kr Page 88
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11. Intangible assets (Consolidated) ใ Kunshan ใ Valuation techniques used in fair value measurement [domain] ใ Discounted cash flow Impairment loss 0 Book value of cash-generating units 14,788,177 Recoverable amount of asset or cash- generating unit 21,845,640 Basis for estimation ์ฌ์ฉ๊ฐ์น Levels of fair value hierarchy ์์ค 3 Discount rate 0.1008 Growth rate 0.0000 Disclosure of sensitivity analysis of recoverable amounts due to changes in assumptions ใ (Unit : thousand, KRW) ใ Unobservable inputs [domain] ใ Discount rate, measurement input Discount rate, measurement input 1 Discount rate, measurement input 2 Discount rate, measurement input 3 Discount rate 0.0908 0.1008 0.1108 Growth rate 0.0000 0.0000 0.0000 Recoverable amount of asset depending 22,152,780 21,845,640 21,546,485 Details of intangible assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of intangible assets and goodwill [domain] Total of Classes of intangible assets and goodwill [domain] ใ Development costs Software Right for facility use Goodwill Other intangible assets ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Intangible assets and goodwill 31,180,333 (31,075,372) 104,961 7,632,829 (4,461,318) 3,171,511 412,650 (48,000) 364,650 1,995,443 (1,097,000) 898,443 177,028 0 177,028 4,716,593 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of intangible assets and goodwill [domain] Total of Classes of intangible assets and goodwill [domain] ใ Development costs Software Right for facility use Goodwill Other intangible assets ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Intangible assets and goodwill 31,180,333 (30,243,487) 936,846 6,222,962 (4,022,252) 2,200,710 412,650 (48,000) 364,650 1,995,443 (1,097,000) 898,443 177,028 0 177,028 4,577,677 DART dart.fss.or.kr Page 89
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Disclosure of detailed information about intangible assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation, amortisation and impairment Total of Carrying amount Intangible assets and goodwill 41,398,283 (36,681,690) 4,716,593 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation, amortisation and impairment Total of Carrying amount Intangible assets and goodwill 39,988,416 (35,410,739) 4,577,677 Disclosure of reconciliation of changes in intangible assets and goodwill Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Development costs Computer software Right for facility use Goodwill Other intangible assets Total of Classes of intangible assets and goodwill [domain] Beginning balance 936,846 2,200,710 364,650 898,443 177,028 4,577,677 Acquisition 0 1,409,867 0 0 0 1,409,867 Amortisation (831,885) (439,066) 0 0 0 (1,270,951) Ending balance 104,961 3,171,511 364,650 898,443 177,028 4,716,593 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Development costs Computer software Right for facility use Goodwill Other intangible assets Total of Classes of intangible assets and goodwill [domain] Beginning balance 2,600,615 1,720,050 364,650 898,443 177,028 5,760,786 Acquisition 0 1,164,984 0 0 0 1,164,984 Amortisation (1,663,769) (684,324) 0 0 0 (2,348,093) Ending balance 936,846 2,200,710 364,650 898,443 177,028 4,577,677 Disclosure of intangible assets material to entity ใ (Unit : thousand, KRW) ใ Classes of intangible assets and goodwill [domain] ใ Development costs ใ Intangible assets material to entity [domain] ใ B Carrying amount 104,961 DART dart.fss.or.kr Page 90
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12. Investment property (Consolidated) Remaining amortisation period of intangible assets material to entity 2๊ฐ์ Description of intangible assets material to entity ๊ฐ๋ฐ์ด ์๋ฃ๋์ด ํ์ฌ ์์ฐ์ ์งํ ์ค์ธ ์ฌ์ ์ ์ ์ฉํ๊ณ ์์ต๋๋ค . Disclosure of research and development expense recognised in profit or loss Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Attribution of expenses by nature to their function [domain] Total of Attribution of expenses by nature to their function [domain] Selling, general and administrative expense Government grants ใ Three months Cumulative Three months Cumulative Three months Cumulative Research and development expense 6,185,574 11,978,241 (220,306) (270,052) 5,965,268 11,708,189 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Attribution of expenses by nature to their function [domain] Total of Attribution of expenses by nature to their function [domain] Selling, general and administrative expense Government grants ใ Three months Cumulative Three months Cumulative Three months Cumulative Research and development expense 5,366,012 10,785,216 (414,358) (488,352) 4,951,654 10,296,864 Details of investment property Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Types of investment property [domain] Total of Types of investment property [domain] ใ Land Buildings Investment property under construction or development ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated depreciation and amortisation Gross carrying amount Accumulated depreciation and amortisation Gross carrying amount Accumulated depreciation and amortisation Investment property 16,857,379 0 16,857,379 4,875,739 (121,893) 4,753,846 0 0 0 21,611,225 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Types of investment property [domain] Total of Types of investment property [domain] ใ Land Buildings Investment property under construction or development ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated depreciation and amortisation Gross carrying amount Accumulated depreciation and amortisation Gross carrying amount Accumulated depreciation and amortisation Investment property 0 0 0 0 0 0 2,212,166 0 2,212,166 2,212,166 DART dart.fss.or.kr Page 91
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Disclosure of detailed information about investment property Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation and amortisation Total of Carrying amount Investment property 21,733,118 (121,893) 21,611,225 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation and amortisation Total of Carrying amount Investment property 2,212,166 0 2,212,166 Disclosure of Changes in Investment Property Ending of Current Fiscal Year (Half- Year) (Unit : thousand, KRW) ใ Land Buildings Investment property under construction or development Total of Types of investment property [domain] Opening Carrying Amount 0 0 2,212,166 2,212,166 Total increase (decrease) in investment property 15,087,646 4,433,307 0 19,520,953 Accumulated depreciation of investement property 0 (121,894) 0 (121,894) Increase (decrease) through other changes, investment property 1,769,733 442,433 (2,212,166) 0 Closing Carrying Amount 16,857,379 4,753,846 0 21,611,225 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Land Buildings Investment property under construction or development Total of Types of investment property [domain] Opening Carrying Amount 0 0 0 0 Total increase (decrease) in investment property 0 0 2,212,166 2,212,166 Accumulated depreciation of investement property 0 0 0 0 Increase (decrease) through other changes, investment property 0 0 0 0 Closing Carrying Amount 0 0 2,212,166 2,212,166 Disclosure of amounts recognised in profit or loss in relation to investment property Current Fiscal Year (Half-Year) (Unit : thousand, KRW) DART dart.fss.or.kr Page 92
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13. Leases (Consolidated) ใ Carrying amount ใ Gross carrying amount ใ Three months Cumulative Rental income from investment property 206,215 290,133 Direct operating expense from investment property generating rental income (125,723) (244,670) Rental income from investment property, net of direct operating expense 80,492 45,463 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Gross carrying amount ใ Three months Cumulative Rental income from investment property 0 0 Direct operating expense from investment property generating rental income 0 0 Rental income from investment property, net of direct operating expense 0 0 Details of right-of-use assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of assets [domain] Total of Classes of assets [domain] ใ Land Buildings Vehicles ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated depreciation and amortisation Gross carrying amount Accumulated depreciation and amortisation Gross carrying amount Accumulated depreciation and amortisation Right-of-use assets 1,048,927 (240,214) 808,713 153,917 (12,826) 141,091 69,133 (34,202) 34,931 984,735 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of assets [domain] Total of Classes of assets [domain] ใ Land Buildings Vehicles ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated depreciation and amortisation Gross carrying amount Accumulated depreciation and amortisation Gross carrying amount Accumulated depreciation and amortisation Right-of-use assets 946,285 (202,261) 744,024 143,860 (136,095) 7,765 69,133 (26,504) 42,629 794,418 Disclosure of quantitative information about right-of-use assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation and amortisation Total of Carrying amount DART dart.fss.or.kr Page 93
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Right-of-use assets 1,271,977 (287,242) 984,735 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation and amortisation Total of Carrying amount Right-of-use assets 1,159,278 (364,860) 794,418 Disclosure of amounts recognised in profit or loss relating to leases Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Expense relating to lease liabilities 3,204 Expense relating to short-term leases 721,716 Expense relating to leases of low-value asset 83,827 Expense relating to variable lease payment not included in measurement of lease liabilities 3,157,632 Lease expense 3,966,379 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Expense relating to lease liabilities 2,366 Expense relating to short-term leases 729,855 Expense relating to leases of low-value asset 84,680 Expense relating to variable lease payment not included in measurement of lease liabilities 2,701,399 Lease expense 3,518,300 Disclosure of changes in carrying amount of right-of-use assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Land Buildings Vehicles Total of Classes of assets [domain] Beginning balance 744,024 7,765 42,629 794,418 Increase 0 153,917 0 153,917 Depreciation (15,256) (20,377) (7,698) (43,331) Other changes 79,945 (214) 0 79,731 Ending balance 808,713 141,091 34,931 984,735 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Land Buildings Vehicles Total of Classes of DART dart.fss.or.kr Page 94
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assets [domain] Beginning balance 759,745 61,625 21,470 842,840 Increase 0 0 31,374 31,374 Depreciation (27,910) (52,118) (10,215) (90,243) Other changes 12,189 (1,742) 0 10,447 Ending balance 744,024 7,765 42,629 794,418 Disclosure of changes in lease liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Beginning balance 53,174 Additions 153,917 Interest expense 3,204 Payments (31,786) Others 751 Ending balance 179,260 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Beginning balance 89,767 Additions 31,374 Interest expense 3,919 Payments (70,456) Others (1,430) Ending balance 53,174 Disclosure of cash outflow for leases Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Cash outflow from lease liabilities 31,786 Cash outflow for short-term leases 726,708 Cash outflow for low-value asset leases 84,424 Cash outflow for variable lease not included in lease assets and liabilities 3,260,798 Total cash outflow 4,103,716 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount DART dart.fss.or.kr Page 95
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14. Assets pledged as collateral (Consolidated) Cash outflow from lease liabilities 35,944 Cash outflow for short-term leases 781,695 Cash outflow for low-value asset leases 84,677 Cash outflow for variable lease not included in lease assets and liabilities 2,753,157 Total cash outflow 3,655,473 Disclosure of maturity analysis of lease liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) Not later than one year Later than one year and not later than three years Later than three years Total of Maturity [domain] Total gross lease liabilities 72,397 120,168 2,082 194,647 Lease liabilities recognized ใ ใ ใ 179,260 Current lease liabilities ใ ใ ใ 63,469 Non-current lease liabilities ใ ใ ใ 115,791 Ending of Last Fiscal Year (Unit : thousand, KRW) Not later than one year Later than one year and not later than three years Later than three years Total of Maturity [domain] Total gross lease liabilities 25,750 23,754 6,248 55,752 Lease liabilities recognized ใ ใ ใ 53,174 Current lease liabilities ใ ใ ใ 24,286 Non-current lease liabilities ใ ใ ใ 28,888 Disclosure of assets pledged as security ใ (Unit : thousand, KRW) ใ Land, buildings, machinery and others Debt securities at fair value through profit or loss, category Property, plant and equipment, pledged as security 303,048,692 Financial assets pledged as collateral ใ 1,525,643 DART dart.fss.or.kr Page 96
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15. Trade and other payables (Consolidated) 16. Other liabilities (Consolidated) Reason for assets provided as collateral ์ฐจ์ ๊ธ ๋ด๋ณด (ํ๋์ฑ ์ฌ์ ) ๋ณด์ฆ Borrowings amount 0 0 Collateral amount 40,000,000 1,525,643 Secured creditor ํ๊ตญ์ฐ์ ์ํ ๋ฐฉ์์ฐ์ ๊ณต์ ์กฐํฉ Description of assets provided as collateral ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์ผ๋ถ ํ ์ง์ ๋ํ ์ฌ ํ๊ตญ์ ๋ ฅ๊ณต์ฌ๊ฐ ์ง์๊ถ์ ์ค์ ํ ๊ณ ์์ต๋๋ค. Disclosure Of Trade And Other Payables Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Current trade payables 182,986,135 Other current payables 33,540,665 Current dividend payables 2,895 Current accruals 5,474,255 Current lease liabilities 63,469 Total current trade and other payables 222,067,419 Other non-current payables 3,538,889 Long-term guarantee deposit withholdings 115,900 Non-current lease liabilities 115,791 Total non-current trade and other payables 3,770,580 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Current trade payables 143,065,455 Other current payables 42,196,991 Current dividend payables 2,495 Current accruals 2,291,081 Current lease liabilities 24,286 Total current trade and other payables 187,580,308 Other non-current payables 3,336,975 Long-term guarantee deposit withholdings 115,900 Non-current lease liabilities 28,888 Total non-current trade and other payables 3,481,763 Disclosure Of Other Liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) DART dart.fss.or.kr Page 97
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17. Employee benefits (Consolidated) ใ Disclosed Amount Short-term withholdings 302,911 Current contract liabilities 7,622,424 Total current other liabilities 7,925,335 Non-current contract liabilities 405,821 Total non-current other liabilities 405,821 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Short-term withholdings 550,960 Current contract liabilities 13,331,100 Total current other liabilities 13,882,060 Non-current contract liabilities 233,086 Total non-current other liabilities 233,086 Details of employee benefits Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Short-term employee benefits expense 12,090,672 24,215,756 Termination benefits expense 85,050 323,300 Post-employment benefit expense, defined contribution plans 494,985 991,765 Post-employment benefit expense in profit or loss, defined benefit plans 404,115 808,229 Other long-term employee benefits 100,957 201,914 Employee benefits expense 13,175,779 26,540,964 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Short-term employee benefits expense 11,627,799 23,080,606 Termination benefits expense 0 0 Post-employment benefit expense, defined contribution plans 479,785 964,597 DART dart.fss.or.kr Page 98
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Post-employment benefit expense in profit or loss, defined benefit plans 415,923 831,845 Other long-term employee benefits 62,459 124,919 Employee benefits expense 12,585,966 25,001,967 Net assets and liabilities related to employee benefits Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Defined benefit liability 10,006,344 Unpaid expenses related to defined contribution retirement benefit plans 984,735 Other long-term employee benefit liabilities 3,538,889 Accruals related to annual leave allowance 2,557,623 Total 17,087,591 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Defined benefit liability 15,330,465 Unpaid expenses related to defined contribution retirement benefit plans 0 Other long-term employee benefit liabilities 3,336,975 Accruals related to annual leave allowance 2,291,081 Total 20,958,521 Disclosure of defined benefit plans Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Defined benefit obligation, at present value 10,089,450 Plan assets, at fair value (83,106) Net defined benefit liability (asset) 10,006,344 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Defined benefit obligation, at present value 15,449,136 Plan assets, at fair value (118,671) Net defined benefit liability (asset) 15,330,465 Disclosure of net defined benefit liability (asset) DART dart.fss.or.kr Page 99
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Ending of Current Fiscal Year (Half- Year) (Unit : thousand, KRW) Present value of defined benefit obligation Plan assets Total of Net defined benefit liability (asset) [domain] Beginning 15,449,136 (118,671) 15,330,465 Current service cost 491,281 0 491,281 Interest expense(income) 316,948 0 316,948 Subtotal of amount recognized as expense 808,229 0 808,229 Actuarial gains (losses) 0 0 0 Financial assumptions 0 0 0 Experience adjustments 0 0 0 Return on plan assets 0 0 0 Subtotal of remeasurement 0 0 0 Post-employment benefit payment (6,167,915) 35,565 (6,132,350) Defined contribution plans transitions 0 0 0 Subtotal of others (6,167,915) 35,565 (6,132,350) Ending 10,089,450 (83,106) 10,006,344 Ending of Last Fiscal Year (Unit : thousand, KRW) Present value of defined benefit obligation Plan assets Total of Net defined benefit liability (asset) [domain] Beginning 16,171,313 (126,126) 16,045,187 Current service cost 1,030,030 0 1,030,030 Interest expense(income) 633,660 0 633,660 Subtotal of amount recognized as expense 1,663,690 0 1,663,690 Actuarial gains (losses) (72,735) 0 (72,735) Financial assumptions (81,343) 0 (81,343) Experience adjustments 8,608 0 8,608 Return on plan assets 0 (260) (260) Subtotal of remeasurement (72,735) (260) (72,995) Post-employment benefit payment (2,306,506) 7,715 (2,298,791) Defined contribution plans transitions (6,626) 0 (6,626) Subtotal of others (2,313,132) 7,715 (2,305,417) Ending 15,449,136 (118,671) 15,330,465 DART dart.fss.or.kr Page 100
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Disclosure of fair value of plan assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Plan assets Deposits, amount contributed to fair value of plan assets 83,106 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Plan assets Deposits, amount contributed to fair value of plan assets 118,671 Details of liabilities related to other long-term employee benefits Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Liability for long-service cost 3,538,889 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Liability for long-service cost 3,336,975 Disclosure of other long-term employee benefit liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Other long-term employee benefit liabilities at beginning of period 3,336,975 Current service cost 125,349 Interest expense 76,565 Actuarial gains (losses) 0 AmountPaid 0 Other long-term employee benefit liabilities at end of period 3,538,889 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Other long-term employee benefit liabilities at beginning of period 2,034,280 Current service cost 162,634 Interest expense 87,204 Actuarial gains (losses) 1,283,257 DART dart.fss.or.kr Page 101
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18. Provisions (Consolidated) AmountPaid (230,400) Other long-term employee benefit liabilities at end of period 3,336,975 Expense recognized at fair value through profit or loss, employee benefits Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Current service cost 62,675 125,349 Interest expense 38,282 76,565 Total 100,957 201,914 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Current service cost 40,658 81,317 Interest expense 21,801 43,602 Total 62,459 124,919 Details of other provisions Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Warranty provision Other provisions 3,122,778 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Warranty provision Other provisions 3,474,671 Disclosure of other provisions Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Warranty provision Current provisions 2,992,097 Non-current provisions 130,681 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Warranty provision DART dart.fss.or.kr Page 102
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19. Share capital and capital surplus (Consolidated) Current provisions 3,403,659 Non-current provisions 71,012 Disclosure changes in other provisions Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Warranty provision Beginning balance 3,474,671 Increase 565,253 Decrease (917,146) Ending balance 3,122,778 Description of nature of obligation, other provisions ์ฐ๊ฒฐ์ค์ฒด๋ ๋ณด๊ณ ๊ธฐ๊ฐ ๋ง ํ์ฌ ํ๋งค๋ ์ํ ๋ฐ ์ ํ์ ๋ํ์ฌ, ๋ณด์ฆ๊ธฐ๊ฐ ๋ด์ ์ ํํฐ์๋น์ค์ ๊ด๋ จ ๋ ๋ฏธ๋ ๊ฒฝ์ ์ ํจ์ต์ ์ ์ถ์ ๋ํ ์ต์ ์ ์ถ์ ์น๋ฅผ ์ถฉ๋น๋ถ์ฑ๋ก ๊ณ์ํ๊ณ ์์ต๋๋ค. ์ด๋ฌํ ์ถ์ ์ ๊ณผ๊ฑฐ์ ์ค์ ๋ณด์ฆ ๋ฐ์ ๊ฒฝํ๋ฅ ์ ๊ธฐ์ด๋ก ํฉ๋ ๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Warranty provision Beginning balance 6,119,278 Increase 3,041,339 Decrease (5,685,946) Ending balance 3,474,671 Description of nature of obligation, other provisions ์ฐ๊ฒฐ์ค์ฒด๋ ๋ณด๊ณ ๊ธฐ๊ฐ ๋ง ํ์ฌ ํ๋งค๋ ์ํ ๋ฐ ์ ํ์ ๋ํ์ฌ, ๋ณด์ฆ๊ธฐ๊ฐ ๋ด์ ์ ํํฐ์๋น์ค์ ๊ด๋ จ ๋ ๋ฏธ๋ ๊ฒฝ์ ์ ํจ์ต์ ์ ์ถ์ ๋ํ ์ต์ ์ ์ถ์ ์น๋ฅผ ์ถฉ๋น๋ถ์ฑ๋ก ๊ณ์ํ๊ณ ์์ต๋๋ค. ์ด๋ฌํ ์ถ์ ์ ๊ณผ๊ฑฐ์ ์ค์ ๋ณด์ฆ ๋ฐ์ ๊ฒฝํ๋ฅ ์ ๊ธฐ์ด๋ก ํฉ๋ ๋ค. Disclosure of capital Ending of Current Fiscal Year (Half-Year) (Unit : KRW) ใ Ordinary shares Number of shares authorised(Unit: shares) 50,000,000 Par value per share 5,000 Number of ordinary shares(Unit: shares) 26,540,272 Issued capital of common stock 132,701,360,000 Ending of Last Fiscal Year (Unit : KRW) DART dart.fss.or.kr Page 103
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20. Other elements of stockholder's equity (Consolidated) 21. Accumulated other comprehensive income (Consolidated) ใ Ordinary shares Number of shares authorised(Unit: shares) 50,000,000 Par value per share 5,000 Number of ordinary shares(Unit: shares) 26,540,272 Issued capital of common stock 132,701,360,000 Details of capital surplus Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Gains sale treasury stock 815,553 Other capital surplus 12,637,506 Capital surplus 13,453,059 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Gains sale treasury stock 815,553 Other capital surplus 12,637,506 Capital surplus 13,453,059 Elements Of Other Stockholder's Equity Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Other capital adjustments 20,200,712 Treasury shares (111,792,902) Total (91,592,190) Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Other capital adjustments 20,200,712 Treasury shares (111,792,902) Total (91,592,190) Disclosure of analysis of other comprehensive income by item Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Reserve of gains and losses from investments in equity instrument (18,381,801) DART dart.fss.or.kr Page 104
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22. Retained earnings (Consolidated) Reserve of exchange differences on translation 15,122,679 Total (3,259,122) Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Reserve of gains and losses from investments in equity instrument (833,127) Reserve of exchange differences on translation 9,046,537 Total 8,213,410 Disclosure of composition of retained earnings Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Statutory reserve 27,706,000 Voluntary Reserves 47,514,000 Retained earnings before appropriations(accumulated deficit before disposition) 905,396,240 Total 980,616,240 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Statutory reserve 23,654,000 Voluntary Reserves 47,514,000 Retained earnings before appropriations(accumulated deficit before disposition) 879,827,309 Total 950,995,309 Disclosure of changes in retained earnings Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Retained earnings Beginning balance 950,995,309 Annual dividends (9,533,709) Quarterly dividend (9,533,709) Profit (loss) 48,688,348 Other comprehensive income, net of tax, gains (losses) on remeasurements of defined benefit plans 0 DART dart.fss.or.kr Page 105
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23. Operating profit and loss (Consolidated) Disposal of investments in equity instruments measured at fair value through other comprehensive income 0 Ending balance 980,616,240 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Retained earnings Beginning balance 923,214,973 Annual dividends (13,108,849) Quarterly dividend (30,984,554) Profit (loss) 69,627,574 Other comprehensive income, net of tax, gains (losses) on remeasurements of defined benefit plans 56,133 Disposal of investments in equity instruments measured at fair value through other comprehensive income 2,190,032 Ending balance 950,995,309 Disclosure of dividends paid Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Annual dividends Quarterly Dividend Total of Types of dividends [domain] Dividends paid, ordinary shares per share 400 400 Dividends paid, ordinary shares 9,533,509 9,533,509 19,067,018 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Annual dividends Quarterly Dividend Total of Types of dividends [domain] Dividends paid, ordinary shares per share 1,100 300 Dividends paid, ordinary shares 13,108,575 7,150,132 20,258,707 Disclosure of disaggregation of revenue from contracts with customers Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount DART dart.fss.or.kr Page 106
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Three months Cumulative Revenue from contracts with customers 258,025,087 473,621,263 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Revenue from contracts with customers 257,539,576 483,724,150 Disclosure of disaggregation of revenue by geographical markets from contracts with customers Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Geographical areas [domain] ใ Domestic Local export Asia Europe Americas Other countries ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Reven ue from contra cts with custo mers 34,96 1,170 68,17 7,811 12,53 6,188 17,88 9,645 47,49 7,358 86,06 7,456 92,54 5,869 164,1 23,40 9 0 0 92,54 5,869 164,1 23,40 9 27,77 8,055 48,41 9,023 33,46 4,249 57,01 7,969 61,24 2,304 105,4 36,99 2 2,878, 351 4,535, 208 0 0 2,878, 351 4,535, 208 48,47 5,418 102,9 23,84 2 3,011, 145 5,729, 064 51,48 6,563 108,6 52,90 6 2,374, 642 4,805, 292 0 0 2,374, 642 4,805, 292 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Geographical areas [domain] ใ Domestic Local export Asia Europe Americas Other countries ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Reven ue from contra cts with custo mers 39,05 9,713 74,72 5,500 18,11 0,084 28,45 1,926 57,16 9,797 103,1 77,42 6 81,81 1,354 162,3 46,13 9 0 0 81,81 1,354 162,3 46,13 9 20,48 2,836 38,25 0,524 37,82 5,147 58,79 0,094 58,30 7,983 97,04 0,618 1,813, 387 3,830, 217 0 61,19 0 1,813, 387 3,891, 407 56,58 2,885 112,7 13,99 2 622,4 19 2,029, 673 57,20 5,304 114,7 43,66 5 1,231, 751 2,524, 895 0 0 1,231, 751 2,524, 895 DART dart.fss.or.kr Page 107
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Disclosure of disaggregation of revenue by major products/service lines from contracts with customers Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Products and services [domain] ใ Sale of products Sale of goods Provision of services ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 206,932,927 387,443,922 47,671,989 76,227,081 254,604,916 463,671,003 2,032,198 4,417,966 95,776 2,046,367 2,127,974 6,464,333 48,380 1,122,697 1,243,817 2,363,230 1,292,197 3,485,927 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Products and services [domain] ใ Sale of products Sale of goods Provision of services ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 197,253,099 387,120,418 40,474,588 71,837,642 237,727,687 458,958,060 3,643,677 6,803,215 15,382,744 16,079,418 19,026,421 22,882,633 85,150 467,634 700,318 1,415,823 785,468 1,883,457 Disclosure of disaggregation of revenue by revenue recognition period from contracts with customers Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Timing of transfer of goods or services [domain] ใ Goods or services transferred at point in time Goods or services transferred over time ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] ใ Automotive components segments All other segments Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 208,965,125 391,861,888 47,767,765 78,273,448 256,732,890 470,135,336 48,380 1,122,697 1,243,817 2,363,230 1,292,197 3,485,927 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Timing of transfer of goods or services [domain] ใ Goods or services transferred at point in time Goods or services transferred over time ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] ใ Automotive components segments All other segments Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 200,896,776 393,923,633 55,857,332 87,917,060 256,754,108 481,840,693 85,150 467,634 700,318 1,415,823 785,468 1,883,457 Disclosure of disaggregation of revenue from contracts with customers, total Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Segments [domain] Total of Segments [domain] ใ Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative DART dart.fss.or.kr Page 108
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Revenue from contracts with customers 209,013,505 392,984,585 49,011,582 80,636,678 258,025,087 473,621,263 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Segments [domain] Total of Segments [domain] ใ Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 200,981,926 394,391,267 56,557,650 89,332,883 257,539,576 483,724,150 Disclosure of contract assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Trade receivables 182,886,072 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Trade receivables 185,324,662 Disclosure of contract liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Contract liabilities 8,028,245 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Contract liabilities 13,564,186 Disclosure of trade receivables and contract liabilities arising from contracts with customers Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Trade receivables 182,886,072 Contract liabilities 8,028,245 Revenue that was included in contract liability balance at beginning of period 6,525,000 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount DART dart.fss.or.kr Page 109
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Trade receivables 185,324,662 Contract liabilities 13,564,186 Revenue that was included in contract liability balance at beginning of period Disclosure of cost of sales and operating expenses Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Cost of sales from sale of goods product 213,728,779 388,257,641 Beginning balance of finished goods 52,750,770 50,142,101 Cost of inventories 227,043,609 405,728,422 Replacement to other account (171,970) (379,693) Customs refund (3,363,892) (4,703,451) Ending balance of finished goods (62,529,738) (62,529,738) Cost of merchandise sold 1,856,800 3,882,513 Beginning balance of merchandise 12,629,706 1,185,871 Merchandise purchased of current period 14,548,224 28,017,772 Replacement to other account 0 0 Ending balance of merchandise (25,321,130) (25,321,130) Total 215,585,579 392,140,154 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Cost of sales from sale of goods product 195,831,956 379,255,337 Beginning balance of finished goods 45,016,989 49,504,892 Cost of inventories 198,858,098 380,312,224 Replacement to other account (494,513) (1,138,625) Customs refund (663,630) (2,538,166) DART dart.fss.or.kr Page 110
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Ending balance of finished goods (46,884,988) (46,884,988) Cost of merchandise sold 14,172,751 18,506,231 Beginning balance of merchandise 14,937,427 3,240,132 Merchandise purchased of current period 10,212,543 26,243,318 Replacement to other account (5,963) (5,963) Ending balance of merchandise (10,971,256) (10,971,256) Total 210,004,707 397,761,568 Selling, general and administrative expense Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Salaries wages, selling and general administrative expenses 2,210,249 4,258,897 Provision for severance indemnities, selling and general administrative expenses 111,453 362,003 Employee benefits, selling and general administrative expenses 379,808 718,582 Travel expenses, selling and general administrative expenses 185,412 352,368 Bad debt expenses(Reversal Allowance Doubtful Accounts), selling and general administrative expenses 61,223 294,376 Freight expenses, selling and general administrative expenses 2,930,372 5,754,451 Rental expenses, selling and general administrative expenses 15,888 41,069 DART dart.fss.or.kr Page 111
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Taxes dues, selling and general administrative expenses 213,484 409,802 Supply expenses, selling and general administrative expenses 134,369 226,793 Entertainment expenses, selling and general administrative expenses 161,249 322,573 Insurance premiums, selling and general administrative expenses 272,936 533,287 Depreciation expense, selling and general administrative expenses 163,048 935,919 Amortisation expense, selling and general administrative expenses 447,434 880,337 Depreciation, right-of-use assets 20,239 35,634 Advertising expenses, selling and general administrative expenses 109,985 925,710 Commissions, selling and general administrative expenses 2,008,146 4,195,193 Training Expenses, selling and general administrative expenses 11,827 34,902 After service fee, selling and general administrative expenses 386,746 565,253 Ordinary development expense, selling and general administrative expenses 5,965,268 11,708,189 Miscellaneous expenses 808,785 1,541,915 Total 16,597,921 34,097,253 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative DART dart.fss.or.kr Page 112
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Salaries wages, selling and general administrative expenses 1,477,762 2,908,584 Provision for severance indemnities, selling and general administrative expenses 71,917 144,001 Employee benefits, selling and general administrative expenses 271,308 511,996 Travel expenses, selling and general administrative expenses 85,761 199,171 Bad debt expenses(Reversal Allowance Doubtful Accounts), selling and general administrative expenses (63,937) (529,856) Freight expenses, selling and general administrative expenses 2,536,810 4,510,841 Rental expenses, selling and general administrative expenses 20,991 55,789 Taxes dues, selling and general administrative expenses (169,929) 273,081 Supply expenses, selling and general administrative expenses 49,946 106,382 Entertainment expenses, selling and general administrative expenses 149,562 314,106 Insurance premiums, selling and general administrative expenses 257,307 486,035 Depreciation expense, selling and general administrative expenses 846,604 1,049,011 Amortisation expense, selling and general administrative expenses 423,117 844,052 Depreciation, right-of-use assets 18,231 42,993 DART dart.fss.or.kr Page 113
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24. Expenses by nature (Consolidated) Advertising expenses, selling and general administrative expenses 336,573 957,398 Commissions, selling and general administrative expenses 8,561,104 10,289,799 Training Expenses, selling and general administrative expenses 3,614 14,043 After service fee, selling and general administrative expenses 409,951 2,638,261 Ordinary development expense, selling and general administrative expenses 4,951,654 10,296,864 Miscellaneous expenses 650,849 1,186,371 Total 20,889,195 36,298,922 Expense By Nature Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Changes in inventories of finished goods (12,387,637) Changes in inventories of work-in-process and semi-products (15,389,128) Changes in inventories of merchandise (24,135,259) Raw materials and consumables used 317,203,868 Merchandise purchased 28,017,772 Salaries wages 24,215,756 Termination benefits expense 323,300 Post-employment benefit expense 1,799,994 Employee benefits 4,514,778 Depreciation expense 14,750,737 Amortisation expense 1,270,951 Investment property depreciation expense 121,894 Outsourcing expenses 46,576,934 Other expenses 39,353,447 Total 426,237,407 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount DART dart.fss.or.kr Page 114
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25. Other income (Consolidated) Changes in inventories of finished goods 2,619,904 Changes in inventories of work-in-process and semi-products (16,530,095) Changes in inventories of merchandise (7,731,124) Raw materials and consumables used 304,297,876 Merchandise purchased 26,243,319 Salaries wages 23,080,606 Termination benefits expense 0 Post-employment benefit expense 1,796,442 Employee benefits 4,608,040 Depreciation expense 13,389,230 Amortisation expense 1,149,733 Investment property depreciation expense 0 Outsourcing expenses 44,248,938 Other expenses 36,887,621 Total 434,060,490 Description of expenses by nature ์ฐ๊ฒฐํฌ๊ด์์ต๊ณ์ฐ์ ์์ ๋งค์ถ์๊ฐ์ ํ๋งค๋น์๊ด๋ฆฌ๋น๋ฅผ ํฉ์ฐํ ๊ธ์ก์ ๋๋ค. Other Income Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Gains on disposals of property, plant and equipment 10,869 16,403 Gain recognised in bargain purchase transaction 0 439,575 Miscellaneous Income 7,334 10,507 Total 18,203 466,485 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Gains on disposals of property, plant and equipment 31,822 39,650 Gain recognised in bargain purchase transaction 0 0 DART dart.fss.or.kr Page 115
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26. Other expenses (Consolidated) 27. Finance income and expense (Consolidated) Miscellaneous Income 79,957 1,515,748 Total 111,779 1,555,398 Other expenses Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Losses on disposals of property, plant and equipment 7,170 7,170 Write-downs of property, plant and equipment 0 0 Donations 17,000 26,000 Miscellaneous Losses 3,298 22,571 Total 27,468 55,741 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Losses on disposals of property, plant and equipment 90 95 Write-downs of property, plant and equipment 0 529,467 Donations 24,000 26,000 Miscellaneous Losses 437,221 443,794 Total 461,311 999,356 Finance Income And Finance Cost Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Interest income 2,552,176 5,536,530 Dividend income 0 97,238 Gains on foreign currency transactions 3,435,549 8,139,291 Gains on foreign exchange translations 952,461 6,158,340 DART dart.fss.or.kr Page 116
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28. Corporate tax (Consolidated) Gains on disposals of fair value financial asset 0 0 Finance income, total 6,940,186 19,931,399 Interest expense 2,716 3,204 Losses on foreign currency transactions 554,443 1,882,068 Losses on foreign exchange translations 695,905 1,168,469 Losses on disposals of fair value financial asset 0 0 Losses on valuation of fair value financial asset 0 0 Finance expense, total 1,253,064 3,053,741 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Interest income 3,226,935 7,041,678 Dividend income 0 432,681 Gains on foreign currency transactions 1,678,565 2,256,122 Gains on foreign exchange translations (495,880) 640,351 Gains on disposals of fair value financial asset 436,254 521,013 Finance income, total 4,845,874 10,891,845 Interest expense 1,026 2,366 Losses on foreign currency transactions 6,175,136 7,384,368 Losses on foreign exchange translations 6,349,253 6,881,054 Losses on disposals of fair value financial asset 0 178,335 Losses on valuation of fair value financial asset (207,033) 0 Finance expense, total 12,318,382 14,446,123 Reconciliation of accounting profit multiplied by applicable tax rates Current Fiscal Year (Half-Year) ใ Disclosed Amount Average effective tax rate 0.2475 Quarter (or Half-Year) of Last Fiscal Year ใ Disclosed Amount DART dart.fss.or.kr Page 117
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29. Earnings per share (Consolidated) Average effective tax rate 0.2404 Description of the Measurement and Recognition of Income Tax Expense [text block] ๋ฒ์ธ์ธ๋น์ฉ์ ๋น๊ธฐ๋ฒ์ธ์ธ๋น์ฉ์์ ๊ณผ๊ฑฐ๊ธฐ๊ฐ ๋น๊ธฐ๋ฒ์ธ์ธ์ ๋ํ์ฌ ๋น๊ธฐ์ ์ธ์ํ ์กฐ์ ์ฌํญ, ์ผ์์ ์ฐจ์ด์ ๋ฐ์๊ณผ ์๋ฉธ๋ก ์ธํ ์ด์ฐ๋ฒ์ธ์ธ๋น์ฉ(์์ต) ๋ฐ ๋น๊ธฐ์์ต ์ด์ธ๋ก ์ธ์๋๋ ํญ๋ชฉ๊ณผ ๊ด๋ จ๋ ๋ฒ์ธ ์ธ๋น์ฉ์ ์กฐ์ ํ์ฌ ์ฐ์ถํ์์ต๋๋ค. Earnings per share Current Fiscal Year (Half-Year) (Unit : KRW) ใ Type of shares ใ Ordinary shares ใ Three months Cumulative Profit (loss), attributable to ordinary equity holders of parent entity, used in calculating basic earnings per share 23,833,353,925 48,688,348,350 Weighted average number of ordinary shares used in calculating basic earnings per share(Unit shares) 23,834,272 23,834,272 Basic earnings per share 1,000 2,043 Quarter (or Half-Year) of Last Fiscal Year (Unit : KRW) ใ Type of shares ใ Ordinary shares ใ Three months Cumulative Profit (loss), attributable to ordinary equity holders of parent entity, used in calculating basic earnings per share 14,171,038,313 35,449,563,883 Weighted average number of ordinary shares used in calculating basic earnings per share(Unit shares) 23,834,272 23,834,272 Basic earnings per share 595 1,487 Weighted average number of ordinary shares used in calculating basic earnings per share Current Fiscal Year (Half-Year) ใ Type of shares ใ Ordinary shares ใ Three months Cumulative Number of ordinary shares (Unit: shares) 26,540,272 26,540,272 Number of treasury shares (Unit shares) (2,706,000) (2,706,000) Weighted average number of ordinary shares used in calculating basic earnings per share(Unit shares) 23,834,272 23,834,272 DART dart.fss.or.kr Page 118
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30. Cash flow statement (Consolidated) Quarter (or Half-Year) of Last Fiscal Year ใ Type of shares ใ Ordinary shares ใ Three months Cumulative Number of ordinary shares (Unit: shares) 26,540,272 26,540,272 Number of treasury shares (Unit shares) (2,706,000) (2,706,000) Weighted average number of ordinary shares used in calculating basic earnings per share(Unit shares) 23,834,272 23,834,272 Cash flows from (used in) operating activities Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Profit (loss) 48,668,964 Adjustments 20,756,453 Income tax expense 16,003,294 Interest expense 3,204 Losses on foreign exchange translations 1,168,469 Loss on disposal of equity securities measured at fair value through profit or loss 0 Losses on disposition of property plant and equipment 7,170 Impairment losses of property plant and equipment 0 Depreciation expense 14,750,737 Amortisation expense 1,270,951 Investment property depreciation expense 121,894 Depreciation of right-of-use assets 43,331 Provision for severance indemnities 808,229 Bad debt expenses(Reversal Allowance Doubtful Accounts) 294,376 Write-downs of inventories Reversals of inventories (2,032,369) After-sales service fee 565,253 Interest income (5,536,530) Dividend income (97,238) DART dart.fss.or.kr Page 119
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Gain on foreign exchange translations (6,158,340) Gain on disposal of equity securities measured at fair value through profit or loss 0 Gain on disposition of tangible assets (16,403) Gain recognised in bargain purchase transaction (439,575) Adjustments for assets and liabilities of operating activities (22,728,570) Adjustments for decrease (increase) in trade accounts receivable 5,520,488 Adjustments for decrease (increase) in other receivables (7,847,498) Adjustments for decrease (increase) in inventories (46,354,479) Adjustments for decrease (increase) in advance payments (222,849) decrease (increase) in prepaid expenses 403,924 Adjustments for increase (decrease) in trade accounts payable 38,334,256 Adjustments for increase (decrease) in other payables (3,102,568) Adjustments for increase (decrease) in accrued Expenses 3,183,174 Adjustments for increase (decrease) in withholdings Banks (250,683) Adjustments for increase (decrease) in long- term other payables 201,914 Adjustments for increase (decrease) in long- term warranty provision (917,145) increase (decrease) in contract liabilities (5,544,754) Cash outflow for severance pay (6,167,915) Adjustments for decrease in plan assets 35,565 Total 46,696,847 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Profit (loss) 35,445,012 Adjustments 23,988,679 Income tax expense 11,220,413 Interest expense 2,366 Losses on foreign exchange translations 6,881,054 DART dart.fss.or.kr Page 120
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Loss on disposal of equity securities measured at fair value through profit or loss 178,335 Losses on disposition of property plant and equipment 95 Impairment losses of property plant and equipment 529,467 Depreciation expense 13,389,230 Amortisation expense 1,149,733 Investment property depreciation expense 0 Depreciation of right-of-use assets 47,472 Provision for severance indemnities 831,845 Bad debt expenses(Reversal Allowance Doubtful Accounts) (529,856) Write-downs of inventories 0 Reversals of inventories (3,674,363) After-sales service fee 2,638,261 Interest income (7,041,678) Dividend income (432,681) Gain on foreign exchange translations (640,351) Gain on disposal of equity securities measured at fair value through profit or loss (521,013) Gain on disposition of tangible assets (39,650) Gain recognised in bargain purchase transaction 0 Adjustments for assets and liabilities of operating activities 5,584,178 Adjustments for decrease (increase) in trade accounts receivable 6,010,331 Adjustments for decrease (increase) in other receivables (2,241,126) Adjustments for decrease (increase) in inventories (20,324,872) Adjustments for decrease (increase) in advance payments (935,045) decrease (increase) in prepaid expenses 280,703 Adjustments for increase (decrease) in trade accounts payable 27,948,379 Adjustments for increase (decrease) in other payables (3,094,486) Adjustments for increase (decrease) in accrued Expenses 3,500,151 DART dart.fss.or.kr Page 121
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31. Non-cash transactions (Consolidated) 32. Financial instruments by category (Consolidated) Adjustments for increase (decrease) in withholdings Banks (478,928) Adjustments for increase (decrease) in long- term other payables 124,919 Adjustments for increase (decrease) in long- term warranty provision (2,240,640) increase (decrease) in contract liabilities (757,678) Cash outflow for severance pay (2,215,245) Adjustments for decrease in plan assets 7,715 Total 65,017,869 Disclosure of major non-cash transactions not included in the cash flow statement Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Increase(decrease) in payables due to acquisition of tangible asset, non-cash transaction (6,002,170) Transfers from construction-in-progress to property, plant and equipment, non-cash transactions 20,733,376 Transfer of Inventories to Property, Plant and Equipment 13,704 Total 14,744,910 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Increase(decrease) in payables due to acquisition of tangible asset, non-cash transaction (3,152,298) Transfers from construction-in-progress to property, plant and equipment, non-cash transactions 11,651,151 Transfer of Inventories to Property, Plant and Equipment 2,966,983 Total 11,465,836 Disclosure Of Financial Assets By Category Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) Financial assets measured at amortized cost Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Cash and cash equivalents 165,571,372 0 0 DART dart.fss.or.kr Page 122
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Short-term deposits, not classified as cash equivalents 192,968,350 0 0 Trade and other current receivables 188,327,068 0 0 Current financial assets, total 546,866,790 0 0 Long-term deposits not classified as cash equivalents 3,000 0 0 Long-term financial assets 0 40,765,055 1,525,643 Trade and other non-current receivables 595,999 0 0 Non-current financial assets, total 598,999 40,765,055 1,525,643 Total 547,465,789 40,765,055 1,525,643 Ending of Last Fiscal Year (Unit : thousand, KRW) Financial assets measured at amortized cost Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Cash and cash equivalents 233,364,727 0 0 Short-term deposits, not classified as cash equivalents 221,380,010 0 0 Trade and other current receivables 192,116,396 0 0 Current financial assets, total 646,861,133 0 0 Long-term deposits not classified as cash equivalents 3,000 0 0 Long-term financial assets 0 3,310,322 1,512,853 Trade and other non-current receivables 665,865 0 0 Non-current financial assets, total 668,865 3,310,322 1,512,853 Total 647,529,998 3,310,322 1,512,853 Description of trade and other receivables among financial assets by category ๋ถ๊ฐ์ธ๋ฏธ์๊ธ์ ์ ์ธํ ๊ธ์ก์ ๋๋ค. Disclosure of financial liabilities by category Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Financial liabilities at amortised cost Trade and other current payables 217,426,510 Trade and other non-current payables 231,691 Total 217,658,201 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Financial liabilities at amortised cost Trade and other current payables 185,289,228 DART dart.fss.or.kr Page 123
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Trade and other non-current payables 144,788 Total 185,434,016 Description of trade and other payables among financial liabilities by category ์ข ์ ์๊ธ์ฌ ๊ด๋ จ ์ฑ๋ฌด๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. Gains (losses) on financial Instruments by categories Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Assets and liabilities [domain] Total of Assets and liabilities [domain] ใ Categories of financial assets [domain] Categories of financial liabilities [domain] Financial assets measured at amortized cost Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Financial liabilities at amortised cost Bad debt expenses(Reversal ) 294,376 0 0 0 294,376 Interest income 5,536,530 0 0 0 5,536,530 Dividend Income 0 84,447 12,791 0 97,238 Gains on foreign currency transactions 7,828,639 0 0 310,652 8,139,291 Gains on foreign exchange translations 6,128,839 0 0 29,501 6,158,340 Gains on disposals of fair value financial asset 0 0 0 0 0 Finance income, total 19,494,008 84,447 12,791 340,153 19,931,400 Interest expense 0 0 0 3,204 3,204 Losses on foreign currency transactions 645,295 0 0 1,236,773 1,882,068 Losses on foreign exchange translations 58,462 0 0 1,110,007 1,168,469 Losses on disposals of fair value financial asset 0 0 0 0 0 Finance expense, total 703,757 0 0 2,349,984 3,053,741 Net financial profit and loss 18,495,875 84,447 12,791 (2,009,831) 16,583,282 DART dart.fss.or.kr Page 124
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Other comprehensive income, net of tax, change in fair value of investments in equity instruments 0 (23,151,285) 0 0 (23,151,285) Comprehensive profit(loss) 18,495,875 (23,066,838) 12,791 (2,009,831) (6,568,003) Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Assets and liabilities [domain] Total of Assets and liabilities [domain] ใ Categories of financial assets [domain] Categories of financial liabilities [domain] Financial assets measured at amortized cost Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Financial liabilities at amortised cost Bad debt expenses(Reversal ) (529,856) 0 0 0 (529,856) Interest income 7,041,678 0 0 0 7,041,678 Dividend Income 0 325,540 107,141 0 432,681 Gains on foreign currency transactions 2,001,541 0 0 254,581 2,256,122 Gains on foreign exchange translations 130,024 0 0 510,327 640,351 Gains on disposals of fair value financial asset 0 0 521,013 0 521,013 Finance income, total 9,173,243 325,540 628,154 764,908 10,891,845 Interest expense 0 0 0 2,366 2,366 Losses on foreign currency transactions 7,305,981 0 0 78,387 7,384,368 Losses on foreign exchange translations 6,877,746 0 0 3,308 6,881,054 Losses on disposals of fair value financial asset 0 0 178,335 0 178,335 Finance expense, total 14,183,727 0 178,335 84,061 14,446,123 Net financial profit and loss (4,480,628) 325,540 449,819 680,847 (3,024,422) DART dart.fss.or.kr Page 125
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33. Risk management (Consolidated) Other comprehensive income, net of tax, change in fair value of investments in equity instruments 0 3,655,712 0 0 3,655,712 Comprehensive profit(loss) (4,480,628) 3,981,252 449,819 680,847 631,290 ๋น์ฌ์ ์ฌ๋ฌด์ํ๊ด๋ฆฌ ๋ชฉ์ ๊ณผ ์ ์ฑ ์ 2025๋ 12์ 31์ผ๋ก ์ข ๋ฃ๋๋ ํ๊ณ์ฐ๋์ ๋์ผํฉ๋๋ค. Disclosure of financial assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial assets [domain] Financial assets at fair value, class Financial assets at amortised cost, class Long-term financial assets Cash and cash equivalents Short-term financial instruments Trade and other receivables Long-term financial instruments Long-term trade and other receivables Financial assets 42,290,698 165,571,372 192,968,350 188,327,068 3,000 595,999 Financial assets, at fair value 42,290,698 165,571,372 192,968,350 188,327,068 3,000 595,999 Description of carrying amount and fair value of financial assets ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์ฅ๊ธฐ๊ธ์ต์์ฐ ์ค ๋น๊ธฐ์์ต-๊ณต์ ๊ฐ ์น์ธก์ ์ฑ๋ฌด์ฆ๊ถ์ ๊ณต์ ๊ฐ์น๋ฅผ ๊ฒฐ์ ํ ๊ธฐ ์ํด ์ด์ฉํ ์ ์๋ ์ ๋ณด๊ฐ ๋ถ์ถฉ ๋ถํ๊ณ ๊ฐ๋ฅํ ๊ณต ์ ๊ฐ์น ์ธก์ ์น์ ๋ฒ์๊ฐ ๋์ผ๋ฏ๋ก, ๊ทธ ๋ฒ์ ๋ด์์ ์ทจ ๋์๊ฐ์ ์๋ณธ์ ์ ์ ๋ ๋ฐฐ๋น์์ต์ ๊ฐ์ฐํ ๋์ ๊ธ์ก์ ๊ณต์ ๊ฐ์น์ ์ต์ ์ ์ถ์ ์น๋ก ๊ฐ์ฃผํ์ฌ ์๊ฐ๋ฅผ ๊ณต์ ๊ฐ์น๋ก ํ์์ต๋๋ค. ๋ถ๊ฐ์ธ๋ฏธ์๊ธ์ ์ ์ธํ ๊ธ์ก์ ๋๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial assets [domain] Financial assets at fair value, class Financial assets at amortised cost, class DART dart.fss.or.kr Page 126
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Long-term financial assets Cash and cash equivalents Short-term financial instruments Trade and other receivables Long-term financial instruments Long-term trade and other receivables Financial assets 4,823,175 233,364,727 221,380,010 192,116,396 3,000 665,865 Financial assets, at fair value 4,823,175 233,364,727 221,380,010 192,116,396 3,000 665,865 Description of carrying amount and fair value of financial assets ์ ๊ธฐ๋ง ์ฅ๊ธฐ๊ธ์ต์ ์ฐ ์ค ๋น๊ธฐ์์ต-๊ณต ์ ๊ฐ์น์ธก์ ์ฑ๋ฌด์ฆ ๊ถ์ ๊ณต์ ๊ฐ์น๋ฅผ ๊ฒฐ์ ํ๊ธฐ ์ํด ์ด ์ฉํ ์ ์๋ ์ ๋ณด ๊ฐ ๋ถ์ถฉ๋ถํ๊ณ ๊ฐ ๋ฅํ ๊ณต์ ๊ฐ์น ์ธก ์ ์น์ ๋ฒ์๊ฐ ๋ ์ผ๋ฏ๋ก, ๊ทธ ๋ฒ์ ๋ด ์์ ์ทจ๋์๊ฐ์ ์๋ณธ์ ์ ์ ๋ ๋ฐฐ ๋น์์ต์ ๊ฐ์ฐํ ๋์ ๊ธ์ก์ ๊ณต์ ๊ฐ ์น์ ์ต์ ์ ์ถ์ ์น๋ก ๊ฐ์ฃผํ์ฌ ์ ๊ฐ๋ฅผ ๊ณต์ ๊ฐ์น๋ก ํ์์ต๋๋ค. ๋ถ๊ฐ์ธ๋ฏธ์๊ธ์ ์ ์ธํ ๊ธ์ก์ ๋๋ค. Disclosure of subtotal and total of financial assets Ending of Current Fiscal Year (Half- Year) (Unit : thousand, KRW) ใ Financial assets at fair value, class Financial assets at amortised cost, class Total of Classes of financial assets [domain] Financial assets 42,290,698 547,465,789 589,756,487 Financial assets, at fair value 42,290,698 547,465,789 589,756,487 Description of carrying amount and fair value of financial assets ์๊ฐํ์๊ฐ๋ก ์ธก์ ๋๋ ๊ธ์ต์์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ๋ ๊ณต์ ๊ฐ์น๊ฐ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ทผ์ฌํฉ๋๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Financial assets at fair value, class Financial assets at amortised cost, class Total of Classes of financial assets [domain] Financial assets 4,823,175 647,529,998 652,353,173 Financial assets, at fair value 4,823,175 647,529,998 652,353,173 DART dart.fss.or.kr Page 127
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34. Business combinations (Consolidated) Description of carrying amount and fair value of financial assets ์๊ฐํ์๊ฐ๋ก ์ธก์ ๋๋ ๊ธ์ต์์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ๋ ๊ณต์ ๊ฐ์น๊ฐ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ทผ์ฌํฉ๋๋ค. Disclosure of financial liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial liabilities [domain] Total of Classes of financial liabilities [domain] ใ Financial liabilities at amortised cost, class ใ Trade and other payables Long-term trade and other payables Financial liabilities 217,363,041 115,900 217,478,941 Financial liabilities, at fair value 217,363,041 115,900 217,478,941 Description of carrying amount and fair value of financial liabilities ๋ฆฌ์ค๋ถ์ฑ ๋ฐ ์ข ์ ์ ๊ด๋ จ ์ฑ๋ฌด ๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. ๋ฆฌ์ค๋ถ์ฑ ๋ฐ ์ข ์ ์ ๊ด๋ จ ์ฑ๋ฌด ๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. ์๊ฐํ์๊ฐ๋ก ์ธก์ ๋๋ ๊ธ์ต์ ์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ๋ ๊ณต์ ๊ฐ์น๊ฐ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ทผ์ฌํฉ๋๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial liabilities [domain] Total of Classes of financial liabilities [domain] ใ Financial liabilities at amortised cost, class ใ Trade and other payables Long-term trade and other payables Financial liabilities 185,264,942 115,900 185,380,842 Financial liabilities, at fair value 185,264,942 115,900 185,380,842 Description of carrying amount and fair value of financial liabilities ๋ฆฌ์ค๋ถ์ฑ ๋ฐ ์ข ์ ์ ๊ด๋ จ ์ฑ๋ฌด๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. ๋ฆฌ์ค๋ถ์ฑ ๋ฐ ์ข ์ ์ ๊ด๋ จ ์ฑ๋ฌด ๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. ์๊ฐํ์๊ฐ๋ก ์ธก์ ๋๋ ๊ธ์ต์ ์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ๋ ๊ณต์ ๊ฐ์น๊ฐ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ทผ์ฌํฉ๋๋ค. Disclosure of detailed information about business combination [text block] ์ฐ๊ฒฐํ์ฌ๋ 2026๋ 3์ 23์ผ ์ด์ฌํ๊ฒฐ์์ ์ํ์ฌ ํน์๊ด๊ณ์์ธ (์ฃผ)SNTํ๋ฉ์ค๋ก๋ถํฐ (์ฃผ)SNT๋ก ๋ณดํฑ์ค์ ์ง๋ถ 100%๋ฅผ 30,048๋ฐฑ๋ง์์ ์ทจ๋ํ๊ธฐ๋ก ๊ฒฐ์ํ์์ผ๋ฉฐ, 2026๋ 3์ 24์ผ ์ง๋ถ์ธ์๋ฅผ ์ ๋ฃํจ์ ๋ฐ๋ผ 2026๋ 1์ 1์ผ์ ๊ฐ์ฃผ์ทจ๋์ผ๋ก ํ์ฌ ์ง๋ฐฐ๋ ฅ์ ํ๋ํ์์ต๋๋ค. Disclosure of detailed information about business combination ใ (Unit : thousand, KRW) ใ ใ At fair value Name of acquiree (์ฃผ)SNT๋ก๋ณดํฑ์ค Description of acquiree ๊ณ์ดํ์ฌ DART dart.fss.or.kr Page 128
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35. Related party (Consolidated) Date of acquisition 2026-03-24 Percentage of voting equity interests acquired(%) 100 Total consideration transferred, acquisition-date fair value 30,048,000 Total consideration transferred, acquisition-date fair value CashAndCashEquivalents 30,048,000 Acquired Assets 30,538,106 Acquired Assets Cash and cash equivalents (acquisition cost) 13,519,336 Short-term financial product 10,000,000 Property, plant and equipment 6,322,688 Other assets 696,084 Assumed Liabilities 50,532 Assumed Liabilities Income Tax Liabilities 46,358 other debt 4,174 Net identifiable assets acquired (liabilities assumed) 30,487,574 Identifiable intangible assets recognised as of acquisition date 0 Gain recognised in bargain purchase transaction (439,574) Description Of Intangible Assets Acquired Through Business Combination ์ฌ์ ๊ฒฐํฉ์ผ๋ก ์ธํ์ฌ ์ถ๊ฐ์ ์ผ๋ก ์ธ์ํ ๋ฌดํ์์ฐ์ ์์ต๋๋ค. Net Cash Flows From Acquisition Of Subsidiaries ใ (Unit : thousand, KRW) ใ At fair value Consideration transferred 30,048,000 Cash And Cash Equivalents Acquired 13,519,336 Net Cash Outflows 16,528,664 ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์ฐ๊ฒฐ์ค์ฒด์ ์ง๋ฐฐใ๊ด๊ณ๊ธฐ์ ๋ฐ ๊ธฐํ ํน์๊ด๊ณ์์ ๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ๊ตฌ ๋ถ ํ์ฌ๋ช ์ง๋ฐฐ๊ธฐ์ ใSNTํ๋ฉ์ค ๊ธฐํ ํน์๊ด๊ณ์ SNT์๋์งใ SNT๋ค์ด๋ด๋ฏน์คใ SNT AMTใ SNT์๋ฃจ์ ใ SNT Gulf for Industry Co., Ltd. SNT Energy Solutions LLC ๊ด์ฃผSNT๋๋ ฅ๊ธฐ๊ณ์ ํ๊ณต์ฌ SNT Polska Sp. z o.o. DART dart.fss.or.kr Page 129
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๊ฐ์SNT๊ธฐ์ฐจ๋ฐฐ๊ฑด์ ํ๊ณต์ฌ ใSNT์ ์ถ์ํ (์ฌ)์ดํด์ฅํ์ฌ๋จ ์ฐ๊ฒฐ์ค์ฒด์ ์ง๋ฐฐ๊ธฐ์ ์ ใSNTํ๋ฉ์ค์ด๋ฉฐ, ์ต์์ ์ง๋ฐฐ์๋ ์ตํ๊ท์ ๋๋ค. Disclosure of transactions between related parties Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Categories of related parties [domain] Total of Categories of related parties [domain] ใ Total for all related parties ใ Parent Other related parties SNT Holdings CO.,LTD SNTEnergy Co.,Ltd. SNT DYNAMICS CO.,Ltd SNT AMT Co., Ltd. SNT Solution Co., Ltd. Jiangsu SNT Autoparts Co., Ltd. Woon Hae Institute Co., Ltd. SNT Savings Bank Co., Ltd. Revenue and others, related party transactions 97,661 114,535 1,772,833 2,106,529 4,587 0 0 156,933 4,253,078 Purchases of inventories, related party transactions 0 0 24,161,151 0 0 1,799,429 0 0 25,960,580 Purchases of tangible assets, related party transactions 0 0 0 0 830,666 0 0 0 830,666 Purchases of others, related party transactions 887,386 0 778,273 28,541,753 1,698,151 0 0 0 31,905,563 Dividends paid, related party transactions 9,580,000 DART dart.fss.or.kr Page 130
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Description of transactions with related party ์ง๋ฐฐ๊ธฐ์ ์ธ ใ SNTํ๋ฉ์ค์ ์ง ๊ธํ ๋ฐฐ๋น๊ธ์ ๋น๊ธฐ ๋ฐ๊ธฐ์ 9,580๋ฐฑ๋ง์์ ๋๋ค. ๋น๊ธฐ ์ค ์ฐ ๊ฒฐ์ค์ฒด๊ฐ ใ SNTํ๋ฉ์ค๋ก๋ถ ํฐ ์ทจ๋ํ ์ข ์ ๊ธฐ์ ํฌ์์ฃผ์ 30,048๋ฐฑ๋ง์์ ์๊ธฐ ํน์๊ด๊ณ์ ๊ฑฐ๋๋ด์ญ์ ํฌํจ ๋์ด ์์ง ์์ต ๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ์ฒญ ์ฐ์ ์ฐจ์ ๋ฐ๋ผ ์์ฌ์ฌ์ฐ ๋ถ๋ฐฐ๊ฐ ์๋ฃ๋์ด ํน์๊ด ๊ณ์์์ ์ ์ธ๋ ์์ต๋๋ค. Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of related parties [domain] Total of Categories of related parties [domain] ใ Total for all related parties ใ Parent Other related parties SNT Holdings CO.,LTD SNTEnergy Co.,Ltd. SNT DYNAMICS CO.,Ltd SNT AMT Co., Ltd. SNT Solution Co., Ltd. Jiangsu SNT Autoparts Co., Ltd. Woon Hae Institute Co., Ltd. SNT Savings Bank Co., Ltd. Revenue and others, related party transactions 0 3,300 590,200 1,374,001 4,227 0 0 166,781 2,138,509 Purchases of inventories, related party transactions 0 0 20,466,025 1,058,022 21,000 1,147,046 0 0 22,692,093 Purchases of tangible assets, related party transactions 0 0 0 0 237,207 0 0 0 237,207 Purchases of others, related party transactions 1,417,958 0 745,674 23,442,204 1,363,185 0 18,000 0 26,987,021 Dividends paid, related party transactions 10,179,000 Description of transactions with related party ์ง๋ฐฐ๊ธฐ์ ์ธ ใ SNTํ๋ฉ์ค์ ์ง ๊ธํ ๋ฐฐ๋น๊ธ์ ์ ๊ธฐ ๋ฐ๊ธฐ์ 10,179๋ฐฑ๋ง์์ ๋๋ค. DART dart.fss.or.kr Page 131
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Disclosure of outstanding balances for related party transactions Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Categories of related parties [domain] Total of Categories of related parties [domain] ใ Total for all related parties ใ Parent Other related parties SNT Holdings CO.,LTD SNT DYNAMICS CO.,Ltd SNT AMT Co., Ltd. SNT Solution Co., Ltd. Jiangsu SNT Autoparts Co., Ltd. SNT Savings Bank Co., Ltd. Other receivables, related party transactions 0 130,000 0 0 0 0 130,000 Trade payables, related party transactions 0 29,717,530 0 0 807,495 0 30,525,025 Other payables, related party transactions 527,904 1,257,313 9,753,147 1,243,472 0 0 12,781,836 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of related parties [domain] Total of Categories of related parties [domain] ใ Total for all related parties ใ Parent Other related parties SNT Holdings CO.,LTD SNT DYNAMICS CO.,Ltd SNT AMT Co., Ltd. SNT Solution Co., Ltd. Jiangsu SNT Autoparts Co., Ltd. SNT Savings Bank Co., Ltd. Other receivables, related party transactions 0 156,000 0 135,000 0 15,097,972 15,388,972 Trade payables, related party transactions 0 11,105,954 0 0 325,814 0 11,431,768 Other payables, related party transactions 675,271 592,250 9,515,804 1,250,011 0 0 12,033,336 Disclosure of financial transactions between related parties [table] ใ (Unit : thousand, KRW) ใ Short-term loan Long-term loan Total of Classes of financial instruments [domain] Beginning balance 28,832 432,770 461,602 Loan transactions, lending 0 30,000 30,000 Loan transactions, collection (20,165) (50,250) (70,415) Loan transactions, transfer 25,334 (25,334) 0 Ending balance 34,001 387,186 421,187 DART dart.fss.or.kr Page 132
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Description of transactions with related party ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์กด์ฌํ ๋ ํน์๊ด๊ณ์์ ๋ํ ๋ ์ฌ๊ธ์ ๋ชจ๋ ์ข ์ ์์ ๋ ํ ๋์ฌ๊ธ์ ๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์กด์ฌํ ๋ ํน์๊ด๊ณ์์ ๋ํ ๋ ์ฌ๊ธ์ ๋ชจ๋ ์ข ์ ์์ ๋ ํ ๋์ฌ๊ธ์ ๋๋ค. Disclosure of transactions in financial instruments between related parties ใ (Unit : thousand, KRW) ใ Parent Shareholder of a controlling company Name of the investment stock (์ฃผ)์ค๋งฅ (์ฃผ)์ค๋งฅ Types of Financial Products ๊ธฐํํฌ๊ด์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ง๋ถ์ฆ๊ถ ๊ธฐํํฌ๊ด์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ง๋ถ์ฆ๊ถ Transaction Type ์ง๋ถ์ฆ๊ถ ๋งค์ ์ง๋ถ์ฆ๊ถ ๋งค์ Trading shareholding ratio 12.84 7.61 Number of traded shares 8,763,140 5,197,192 Transaction amount 38,032,028 22,555,813 Disclosure of key management personnel compensation Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Key management personnel compensation, short-term employee benefits 193,270 333,290 Key management personnel compensation, post-employment benefits 7,158 14,317 Total 200,428 347,607 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Key management personnel compensation, short-term employee benefits 124,439 335,310 Key management personnel compensation, post-employment benefits 6,733 17,686 Total 131,172 352,996 Description of key management DART dart.fss.or.kr Page 133
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36. Contingent liabilities and commitments (Consolidated) ์ฐ๊ฒฐ์ค์ฒด์ ์ฃผ์ ๊ฒฝ์์ง์๋ ๋ฑ๊ธฐ์์์ธ ์ด์ฌ(๋ ๋ฆฝ์ด์ฌ ํฌํจ) ๋ฐ ๊ฐ์ฌ๋ฅผ ํฌํจํ์์ต๋๋ค. Disclosure of commitments [table] ใ (Unit : thousand, KRW) ใ Types of commitments [domain] ใ Line of credit agreement Transaction agreement ใ Payment guarantee in foreign currency Performance guarantee Performance bond ใ Counterparties [domain] Korea Development Bank Woori Bank KB Kookmin Bank SHINHAN BANK Defense Industry Mutual Aid Association Seoul Guarantee Insurance Korea Development Bank Woori Bank KB Kookmin Bank SHINHAN BANK Defense Industry Mutual Aid Association Seoul Guarantee Insurance Korea Development Bank Woori Bank KB Kookmin Bank SHINHAN BANK Defense Industry Mutual Aid Association Seoul Guarantee Insurance Commitments amount USD 10,000 4,000 15,000 25,097 0 0 Commitments amount ใ ใ ใ ใ ใ ใ 0 0 0 0 198,333,645 19,689,924 Utilized Amount Of Credit Facilities (USD)_ 0 0 3,944 13,789 0 0 Utilized Amount Of Credit Facilities (KRW) ใ ใ ใ ใ ใ ใ 0 0 0 0 4,508,352 19,689,924 Type of notes provided ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ๋ฐฑ์ง์ด์ Number of notes provided(Unit: sheets) ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ 1 Description of commitments ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ ์ฌ ์ฐ๊ฒฐ์ค์ฒด๋ ํ๋์ฝ์ ๊ณผ ๊ด๋ จ ํ์ฌ ํ๊ตญ์ฐ์ ์ ํ์ ํ ์ง์ ๊ฑด ๋ฌผ ๋ฐ ๊ธฐ๊ณ์ฅ์น (์ฅ๋ถ๊ฐ์ก: 303,049๋ฐฑ๋ง์, ๋ด๋ณด์ค์ ๊ธ์ก: 40,000๋ฐฑ๋ง์ )๋ฅผ ๋ด๋ณด๋ก ์ ๊ณต ํ๊ณ ์์ต๋๋ค. ์ฐจ์ ๊ธ ๋ฐ ๊ฑฐ๋ ์ฝ์ ๊ณผ ๊ด๋ จํ์ฌ ๊ฒฌ์ง๋ก ์ ๊ณต๋ ๋ฐฑ์ง์ด์์ ๋๋ค. Disclosure of assets pledged as security related to commitments ใ (Unit : million, KRW) ใ Land, buildings, machinery and others DART dart.fss.or.kr Page 134
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Property, plant and equipment, pledged as security 303,049 Collateral amount 40,000 Name Of Secured Creditor ํ๊ตญ์ฐ์ ์ํ Disclosure of Legal Proceedings Contingent Liability [table] ใ (Unit : million, KRW) ใ Classes of contingent liabilities [domain] ใ Legal proceedings contingent liability ใ Classes of Legal Proceedings Contingent Liability [domain] ใ Defendant in lawsuits Plaintiff in lawsuits ใ Counterparties [domain] ใ EOSYSTEM Co., Ltd. Defense Acquisition Program Administration EOSYSTEM Co., Ltd. Defense Acquisition Program Administration Litigation Amount 46,536 0 0 63,069 Indication of uncertainties of amount or timing of outflows, contingent liabilities ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ K11 ๋ณตํฉํ ์์ด ๋ฉํ ๊ณ์ฝ ํด์ ์ ๊ด๋ จํ์ฌ ใ์ด์ค์ ์คํ ์ด ์ฐ๊ฒฐ์ค์ฒด๋ฅผ ์๋๋ก ์ ๊ธฐํ 46,536๋ฐฑ๋ง์์ ์ ํด๋ฐฐ์์์ก๊ณผ ์ด์ ์ฐ๊ฒฐ์ค์ฒด๊ฐ ๊ณ์ฝ์ ๋๋ฐฉ์ธ ๋ฐฉ์์ฌ์ ์ฒญ ์ ์๋๋ก ์ ๊ธฐํ 63,069๋ฐฑ๋ง์์ ์ ํด๋ฐฐ์์์ก์ด ์กด์ฌ ํฉ๋๋ค. ์ ํ์์ก ์ธ ๋ฐฉ์์ฌ์ ์ฒญ๊ณผ์ ์์ก๋ณด๋ค ๋จผ์ ์ด ์ค์์คํ ๊ณผ์ ์์ก 1์ฌ ํ๊ฒฐ ์ ๊ณ ๊ฐ ํ ์ ๋ ์๋ ์๋ ์ ํฉ์ด๋ฏ๋ก ์ด์ค์์ค ํ ๊ณผ์ ์์ก ๊ฒฐ๊ณผ ๊ฐ ์ฌ๋ฌด์ ํ์ ๋ฏธ ์น๋ ์ํฅ์ ์ค์ ํ์ง ์์ ๊ฒ์ผ๋ก ์์ํ๊ณ ์์ต๋๋ค . ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ K11 ๋ณตํฉํ ์์ด ๋ฉํ ๊ณ์ฝ ํด์ ์ ๊ด๋ จํ์ฌ ใ์ด์ค์ ์คํ ์ด ์ฐ๊ฒฐ์ค์ฒด๋ฅผ ์๋๋ก ์ ๊ธฐํ 46,536๋ฐฑ๋ง์์ ์ ํด๋ฐฐ์์์ก๊ณผ ์ด์ ์ฐ๊ฒฐ์ค์ฒด๊ฐ ๊ณ์ฝ์ ๋๋ฐฉ์ธ ๋ฐฉ์์ฌ์ ์ฒญ ์ ์๋๋ก ์ ๊ธฐํ 63,069๋ฐฑ๋ง์์ ์ ํด๋ฐฐ์์์ก์ด ์กด์ฌ ํฉ๋๋ค. ์ ํ์์ก ์ธ ๋ฐฉ์์ฌ์ ์ฒญ๊ณผ์ ์์ก๋ณด๋ค ๋จผ์ ์ด ์ค์์คํ ๊ณผ์ ์์ก 1์ฌ ํ๊ฒฐ ์ ๊ณ ๊ฐ ํ ์ ๋ ์๋ ์๋ ์ ํฉ์ด๋ฏ๋ก ์ด์ค์์ค ํ ๊ณผ์ ์์ก ๊ฒฐ๊ณผ ๊ฐ ์ฌ๋ฌด์ ํ์ ๋ฏธ ์น๋ ์ํฅ์ ์ค์ ํ์ง ์์ ๊ฒ์ผ๋ก ์์ํ๊ณ ์์ต๋๋ค . DART dart.fss.or.kr Page 135
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37. Subsequent Events (Consolidated) 4. Separate financial statements 4-1. Statement Of FinancialPosition ๋ณด๊ณ ๊ธฐ๊ฐ ์ข ๋ฃ์ผ ์ดํ, ์๊ธฐ 36. ์ฐ๋ฐ์ฑ๋ฌด์ ์ฝ์ ์ฌํญ ์ฃผ์์ ์ธ๊ธ๋ K11 ๋ณตํฉํ ์์ด ๋ฉํ ๊ณ์ฝ ํด ์ ์ ๊ด๋ จํ์ฌ, ์ฐ๊ฒฐ์ค์ฒด๊ฐ ๋ฐฉ์์ฌ์ ์ฒญ์ ์๋๋ก ์ ๊ธฐํ ์ํด๋ฐฐ์์ฒญ๊ตฌ์์ก(์ฒญ๊ตฌ๊ธ์ก: 63,069๋ฐฑ๋ง์ ๋ฐ ์ด์ ๋ํ ์ง์ฐ์ด์)์ ๋ํ์ฌ, 2026๋ 7์ 7์ผ ์ 1์ฌ ๋ฒ์์ ํผ๊ณ ๊ฐ ์ฐ๊ฒฐ์ค์ฒด์ 55,767๋ฐฑ๋ง์ ๋ฐ ์ด์ ๋ํ ์ง์ฐ์ด์๋ฅผ ์ง๊ธํ๋ผ๋ ์ผ๋ถ ์ธ์ฉ ํ๊ฒฐ์ ์ ๊ณ ํ์์ต๋๋ค. ์ด์ ์๊ณ , ์๊ณ ๋ณด์กฐ์ฐธ๊ฐ ์ธ ๋ฐ ํผ๊ณ ๋ชจ๋ ์ 1์ฌ ํ๊ฒฐ์ ๋ํ์ฌ ํญ์๋ฅผ ์ ๊ธฐํ์์ผ๋ฉฐ, ์ต์ข ์์ก ๊ฒฐ๊ณผ๋ ์ถํ ํ์ ๋ ์์ ์ ๋ ๋ค. Statement Of FinancialPosition FY 2026 06/30/2026 Current FY 2025 12/31/2025 Current (Unit : KRW) ใ FY 2026 FY 2025 Assets ใCurrent assets 721,201,670,547 783,811,167,782 ใใCash and cash equivalents (Note4,32,33) 143,071,929,988 205,537,945,315 ใใShort-term deposits, not classified as cash equivalents (Note4,32,33) 177,968,350,000 221,380,010,000 ใใTrade and other current receivables (Note6,23,32,33,34) 185,584,553,742 192,486,555,797 ใใInventories (Note7) 208,106,878,282 157,728,954,149 ใใOther current assets (Note8) 6,469,958,535 6,677,702,521 ใNon-current assets 575,012,217,793 484,369,043,050 ใใLong-term deposits not classified as cash equivalents (Note4,32,33) 3,000,000 3,000,000 ใใLong-term financial assets (Note5,14,32,33,34) 42,290,698,104 4,823,174,915 ใใLong-term Trade and other receivables (Note6,32,33,34) 544,823,600 611,408,000 ใใInvestment in subsidiary (Note9) 117,713,408,541 86,351,322,252 ใใProperty, plant and equipment (Note10,14,34,35) 386,196,414,075 385,716,732,206 ใใIntangible assets and goodwill (Note11) 4,245,700,920 4,577,677,097 ใใInvestment property (Note12) 23,983,241,559 2,212,166,000 ใใRight-of-use assets (Note13) 34,930,994 42,628,646 ใใOther non-current assets 0 30,933,934 ใTotal assets 1,296,213,888,340 1,268,180,210,832 Liabilities ใCurrent liabilities 234,325,539,823 212,127,129,940 ใใTrade and other current payables (Note13,15,17,32,33,34) 210,955,425,861 181,273,987,977 ใใCurrent tax liabilities 12,457,146,010 13,565,488,230 DART dart.fss.or.kr Page 136
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4-2. Statement Of ComprehensiveIncome ใใCurrent provision (Note18) 2,992,097,399 3,403,659,015 ใใOther current liabilities (Note16,23) 7,920,870,553 13,883,994,718 ใNon-current liabilities 33,567,128,841 41,542,245,167 ใใLong-term trade and other non-current payables (Note13,15,17,32,33,34) 3,675,700,724 3,481,763,269 ใใDefined benefit liabilities (Note17) 10,006,344,038 15,330,464,654 ใใDeferred tax liabilities 19,348,581,486 22,425,919,300 ใใNon-current provisions (Note18) 130,681,246 71,012,090 ใใOther non-current liabilities (Note16,23) 405,821,347 233,085,854 ใTotal liabilities 267,892,668,664 253,669,375,107 Equity ใIssued capital (Note1,19) 132,701,360,000 132,701,360,000 ใCapital surplus (Note19) 478,144,699 478,144,699 ใOther capital items (Note20) (114,719,228,166) (114,719,228,166) ใOther Comprehensive income/loss accumulated amount (Note21) (18,381,800,731) (833,126,739) ใRetained earnings (Note22) 1,028,242,743,874 996,883,685,931 ใTotal equity 1,028,321,219,676 1,014,510,835,725 Total liabilities and equity 1,296,213,888,340 1,268,180,210,832 Statement Of ComprehensiveIncome FY 2026 2 Quarterly From 01/01/2026 To 06/30/2026 FY 2025 2 Quarterly From 01/01/2025 To 06/30/2025 (Unit : KRW) CFHY PFHY THREE MONTH Cumulative THREE MONTH Cumulative Revenue (Note12,23,34) 243,531,240,357 450,539,947,793 263,445,868,493 486,265,950,306 Cost of sales (Note23,24,34) 201,717,322,485 369,798,020,604 215,927,362,106 400,866,565,979 Gross profit 41,813,917,872 80,741,927,189 47,518,506,387 85,399,384,327 Selling general administrative expenses (Note6,11,23,24,32) 15,232,152,341 30,760,012,424 19,481,781,107 34,051,263,534 ใAdministrative expense 2,679,513,690 5,573,272,713 2,115,818,018 4,930,787,450 ใSelling expense 5,816,647,292 12,152,377,703 12,487,676,961 19,370,923,292 ใBad debt expenses(Reversal) 799,353,389 1,482,986,843 (73,368,546) (547,311,599) ใResearch and development expenses 5,936,637,970 11,551,375,165 4,951,654,674 10,296,864,391 Operating income 26,581,765,531 49,981,914,765 28,036,725,280 51,348,120,793 Other gains (Note25) 15,870,540 22,418,185 99,162,152 1,542,045,626 Other expenses (Note26) 21,925,894 31,149,431 24,128,482 555,651,319 Net financial profit and loss (Note27,32) 5,446,489,609 16,426,106,438 (7,487,550,369) (3,567,773,034) ใFinance income (Note27,32) 6,669,680,639 19,418,900,202 4,827,078,239 10,870,096,626 ใFinance expenses (Note27,32) 1,223,191,030 2,992,793,764 12,314,628,608 14,437,869,660 Profit(loss) before tax 32,022,199,786 66,399,289,957 20,624,208,581 48,766,742,066 DART dart.fss.or.kr Page 137
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4-3. Statement Of ChangesInEquity Tax expense (Note28) 7,696,294,546 15,972,814,414 4,654,340,796 11,214,700,761 Profit (loss) 24,325,905,240 50,426,475,543 15,969,867,785 37,552,041,305 Other comprehensive income (Note5,21,32) (17,503,866,414) (17,548,673,992) 2,921,838,524 2,811,242,341 ใOther comprehensive income that will not be reclassified to profit or loss (17,503,866,414) (17,548,673,992) 2,921,838,524 2,811,242,341 ใใOther comprehensive income - fair value measurement of equity securities gains (losses) (17,503,866,414) (17,548,673,992) 2,921,838,524 2,811,242,341 Total comprehensive income 6,822,038,826 32,877,801,551 18,891,706,309 40,363,283,646 Earnings per share ใBasic earnings per share (Unit : KRW) (Note29) 1,021 2,116 670 1,576 Statement Of ChangesInEquity FY 2026 2 Quarterly From 01/01/2026 To 06/30/2026 FY 2025 2 Quarterly From 01/01/2025 To 06/30/2025 (Unit : KRW) Components of equity Issued capital Capital surplus Other stockholder's equity Other Comprehensive income/loss accumulated amount Retained earnings Total of Components of equity 2025.01.01 (Equity at beginning of period) 73,115,680,000 60,411,191,929 (114,719,228,166) (1,180,348,804) 962,690,998,267 980,318,293,226 Profit (loss) 0 0 0 0 37,552,041,305 37,552,041,305 Other comprehensive income - fair value measurement of equity securities 0 0 0 2,811,242,341 0 2,811,242,341 Transfer of investments in equity instruments measured at fair value through other comprehensive income 0 0 0 (2,190,031,494) 2,190,031,494 0 Common stock dividend 0 0 0 0 (20,259,131,200) (20,259,131,200) Bonus issue 59,585,680,000 (59,933,047,230) 0 0 0 (347,367,230) 2025.06.30 (Equity at end of period) 132,701,360,000 478,144,699 (114,719,228,166) (559,137,957) 982,173,939,866 1,000,075,078,442 DART dart.fss.or.kr Page 138
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4-4. Statement Of CashFlows 2026.01.01 (Equity at beginning of period) 132,701,360,000 478,144,699 (114,719,228,166) (833,126,739) 996,883,685,931 1,014,510,835,725 Profit (loss) 0 0 0 0 50,426,475,543 50,426,475,543 Other comprehensive income - fair value measurement of equity securities 0 0 0 (17,548,673,992) 0 (17,548,673,992) Transfer of investments in equity instruments measured at fair value through other comprehensive income 0 0 0 0 0 0 Common stock dividend 0 0 0 0 (19,067,417,600) (19,067,417,600) Bonus issue 0 0 0 0 0 0 2026.06.30 (Equity at end of period) 132,701,360,000 478,144,699 (114,719,228,166) (18,381,800,731) 1,028,242,743,874 1,028,321,219,676 Statement Of CashFlows FY 2026 2 Quarterly From 01/01/2026 To 06/30/2026 FY 2025 2 Quarterly From 01/01/2025 To 06/30/2025 (Unit : KRW) ใ FY 2026 FY 2025 Cash flows from (used in) operating activities 43,085,015,935 55,854,135,326 ใCash flows from (used in) operations (Note31) 50,992,602,042 68,131,143,560 ใInterest received 6,563,850,383 6,877,669,246 ใDividends received, classified as operating activities 84,447,000 418,649,400 ใIncome taxes refund (14,555,883,490) (19,573,326,880) Cash flows from (used in) investing activities (88,980,960,541) (61,865,554,752) ใDecrease of financial instruments 71,380,010,000 56,423,000,000 ใProceeds from sales of fair value equity instruments 0 68,692,284,838 ใProceed from sales of equity instruments at fair value through other comprehensive income 0 48,489,213,200 ใDecrease in loans 70,415,500 23,484,990 ใDecrease in guarantee deposits 31,000,000 0 ใSales of property, plant and equipment 403,028,053 39,690,909 ใIncrease of financial instruments (26,781,090,000) (66,338,000,000) DART dart.fss.or.kr Page 139
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5. Notes to the separate financial statements 1. Company overview ใPurchase of financial assets measured at fair value through profit or loss, classified as investing activities 0 (54,627,550,000) ใ Acquisition of fair value through other comprehensive income equity securities (60,606,017,230) (42,706,030,243) ใAcquisition of investments in subsidiaries (31,362,086,289) (50,810,482,748) ใIncrease in loans (30,000,000) 0 ใPurchase of property, plant and equipment (19,263,400,309) (20,174,167,198) ใPurchase of intangible assets (907,057,000) (826,998,500) ใPurchase of investment property (21,905,763,266) 0 ใIncrease in guarantee deposits (10,000,000) (50,000,000) Cash flows from (used in) financing activities (19,075,439,360) (20,616,975,180) ใPayments of finance lease liabilities (8,421,000) (10,900,950) ใBonus issue 0 (347,367,230) ใDividends paid, classified as financing activities (19,067,018,360) (20,258,707,000) Increase (decrease) in cash and cash equivalents before effect of exchange rate changes (64,971,383,966) (26,628,394,606) Cash and cash equivalents at beginning of period 205,537,945,315 211,434,850,831 Effect of exchange rate changes on cash and cash equivalents 2,505,368,639 (2,311,758,061) Cash and cash equivalents at end of period 143,071,929,988 182,494,698,164 SNT๋ชจํฐ๋ธ ์ฃผ์ํ์ฌ(์ดํ "๋น์ฌ")๋ ์ฐจ๋๋ถํ ๋ฑ์ ์ ์กฐ ๋ฐ ํ๋งค๋ฅผ ์ฃผ๋ ์ฌ์ ๋ชฉ์ ์ผ๋ก ํ๊ณ ์์ผ๋ฉฐ, ๋ถ์ฐ์ ๋ณธ์ฌ๋ก ํ์ฌ ์ ๊ด, ์ธ์ฒ, ์์ฐ, ๋ณด๋ น, ์ฐฝ์๊ณต์ฅ ๋ฐ ์์ธ์ฌ๋ฌด์๋ฅผ ๋ณด์ ํ๊ณ ์์ต๋๋ค. ๋น์ฌ๋ ๊ธฐ์ ๊ตฌ์กฐ์กฐ์ ์ด์ง๋ฒ ์ 24์กฐ์ ์ํด ๊ตฌ์ฑ๋ ์ฑ๊ถ๊ธ์ต๊ธฐ๊ดํ์ํ์ ํ์ฌ๋ถํ ์น์ธ๊ฒฐ์์ 2002๋ 1์ 4์ผ ๋์ฐํต์ ์ฃผ์ํ์ฌ ์์์ฃผ์ฃผ์ดํ์์์ ๋น์ฌ๋ถํ ๊ณํ์ ์น์ธ๊ฒฐ์์ ๋ฐ๋ผ 2002๋ 2์ 6์ผ์๋ก ๋์ฐํต์ ์ฃผ์ํ์ฌ๋ก๋ถํฐ ์๋ฒ์ ์ธ์ ๋ถํ ๋ฐฉ์์ ์ํด ๋ถํ ๋์ด ์ค๋ฆฝ๋์์ผ๋ฉฐ, 2006๋ 9์์ ์ํธ๋ฅผ S&T๋์ฐ ์ฃผ์ํ์ฌ๋ก, 2012๋ 3์์ ์ํธ๋ฅผ S&T๋ชจํฐ๋ธ ์ฃผ์ํ์ฌ๋ก, ๊ทธ๋ฆฌ๊ณ 2021๋ 2์ ์ ๊ธฐ์ฃผ์ฃผ์ดํ์ ๊ฒฐ์์ ๋ฐ๋ผ ์ํธ๋ฅผ SNT๋ชจํฐ๋ธ ์ฃผ์ํ์ฌ๋ก ๊ฐ๊ฐ ๋ณ๊ฒฝํ์์ต๋๋ค. ๋น์ฌ๋ 2002๋ 3์ 11์ผ์๋ก ํ๊ตญ์ฆ๊ถ๊ฑฐ๋์์ ์ฃผ์์ ์ฌ์์ฅํ์์ผ๋ฉฐ, ๊ทธ ๋์ ์์ฐจ๋ก์ ์ ์์ฆ ์ ๋ฑ์ ํตํ์ฌ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์๋ณธ๊ธ์ 132,701๋ฐฑ๋ง์์ด๋ฉฐ, ๋น์ฌ์ ์ฃผ์์ฃผ์ฃผ ํํฉ์ ๋ค์๊ณผ ๊ฐ ์ต๋๋ค. ์ฃผ์ฃผ๋ช ์์ ์ฃผ์์(์ฃผ) ์ง๋ถ์จ(%) ใSNTํ๋ฉ์ค 11,975,536 45.12 (์ฌ)์ดํด์ฅํ์ฌ๋จ 311,042 1.17 ๊ตญ๋ฏผ์ฐ๊ธ๊ณต๋จ 2,135,287 8.05 ๊ธฐํ 12,118,407 45.66 ํฉ ๊ณ 26,540,272 100.00 DART dart.fss.or.kr Page 140
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2. Basis of Preparation 3. Changes in accounting policies (1) ํ๊ณ๊ธฐ์ค์ ์ ์ฉ ๋น์ฌ์ ๋ฐ๊ธฐ์ฌ๋ฌด์ ํ๋ ํ๊ตญ์ฑํ๊ตญ์ ํ๊ณ๊ธฐ์ค์ ๋ฐ๋ผ ์์ฑ๋๋ ์์ฝ์ค๊ฐ์ฌ๋ฌด์ ํ์ ๋๋ค. ๋ ์ฌ๋ฌด ์ ํ๋ ๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1034ํธ(์ค๊ฐ์ฌ๋ฌด๋ณด๊ณ )์ ๋ฐ๋ผ ์์ฑ๋์์ผ๋ฉฐ, ์ฐ์ฐจ์ฌ๋ฌด์ ํ์์ ์๊ตฌ๋๋ ์ ๋ณด์ ๋นํ์ฌ ์ ์ ์ ๋ณด๋ฅผ ํฌํจํ๊ณ ์์ต๋๋ค. ์ ๋ณ์ ์ฃผ์์ ์ง์ ์ฐ์ฐจ๋ณด๊ณ ๊ธฐ๊ฐ๋ง ํ ๋ฐ์ํ ๋น์ฌ ์ ์ฌ๋ฌด์ํ์ ๊ฒฝ์์ฑ๊ณผ์ ๋ณ๋์ ์ดํดํ๋๋ฐ ์ ์์ ์ธ ๊ฑฐ๋๋ ์ฌ๊ฑด์ ๋ํ ์ค๋ช ์ ํฌํจํ๊ณ ์์ต ๋๋ค. ๋น์ฌ์ ์ฌ๋ฌด์ ํ๋ ๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1027ํธ '๋ณ๋์ฌ๋ฌด์ ํ'์ ๋ฐ๋ฅธ ๋ณ๋ ์ฌ๋ฌด์ ํ๋ก์ ์ง๋ฐฐ๊ธฐ์ ์ ํฌ์์๊ฐ ํฌ์์์ฐ์ ํผํฌ์์์ ๋ณด๊ณ ๋ ์ฑ๊ณผ์ ์์์ฐ์ ๊ทผ๊ฑฐํ์ง์๊ณ ์ง์ ์ ์ธ ์ง๋ถ ํฌ์์ ๊ทผ๊ฑฐ ํ ํ๊ณ์ฒ๋ฆฌ๋ก ํ์ํ ์ฌ๋ฌด์ ํ์ ๋๋ค. (2) ์ถ์ ๊ณผ ํ๋จ ํ๊ตญ์ฑํ๊ตญ์ ํ๊ณ๊ธฐ์ค์์๋ ์ค๊ฐ์ฌ๋ฌด์ ํ๋ฅผ ์์ฑํจ์ ์์ด์ ํ๊ณ์ ์ฑ ์ ์ ์ฉ์ด๋, ์ค๊ฐ๋ณด๊ณ ๊ธฐ๊ฐ ๋ง ํ์ฌ ์์ฐ, ๋ถ์ฑ ๋ฐ ์์ต, ๋น์ฉ์ ๋ณด๊ณ ๊ธ์ก์ ์ํฅ์ ๋ฏธ์น๋ ์ฌํญ์ ๋ํ์ฌ ๊ฒฝ์์ง์ ์ต์ ์ ํ๋จ ์ ๊ธฐ์ค์ผ๋ก ํ ์ถ์ ์น์ ๊ฐ์ ์ ์ฌ์ฉ์ ์๊ตฌํ๊ณ ์์ต๋๋ค. ์ค๊ฐ๋ณด๊ณ ๊ธฐ๊ฐ๋ง ํ์ฌ ๊ฒฝ์์ง์ ์ต์ ์ ํ๋จ์ ๊ธฐ์ค์ผ๋ก ํ ์ถ์ ์น์ ๊ฐ์ ์ด ์ค์ ํ๊ฒฝ๊ณผ ๋ค๋ฅผ ๊ฒฝ์ฐ ์ด๋ฌํ ์ถ์ ์น์ ์ค์ ๊ฒฐ๊ณผ๋ ๋ค๋ฅผ ์ ์์ต๋๋ค. ๋ฐ๊ธฐ์ฌ๋ฌด์ ํ์์ ์ฌ์ฉ๋ ๋น์ฌ์ ํ๊ณ์ ์ฑ ์ ์ฉ๊ณผ ์ถ์ ๊ธ์ก์ ๋ํ ๊ฒฝ์์ง์ ํ๋จ์2025๋ 12์ 31์ผ๋ก ์ข ๋ฃ๋๋ ํ๊ณ์ฐ๋์ ์ฐ์ฐจ์ฌ๋ฌด์ ํ์ ๋์ผํ ํ๊ณ์ ์ฑ ๊ณผ ์ถ์ ์ ๊ทผ๊ฑฐ๋ฅผ ์ฌ์ฉํ์์ต๋๋ค. (1) ๋น๋ฐ๊ธฐ๋ถํฐ ์๋ก ๋์ ๋ ์ฃผ์ ๊ธฐ์ค์ ๋ฐ ํด์์์ ๊ทธ์ ๋ฐ๋ฅธ ํ๊ณ์ ์ฑ ์ ๋ณ๊ฒฝ ๋ด์ฉ์ ๋ค์๊ณผ ๊ฐ ์ต๋๋ค. - ๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1107ํธ ๊ธ์ต์ํ: ๊ณต์ ๋ฐ ์ 1109ํธ ๊ธ์ต์ํ (๊ฐ์ ) ๋ ๊ฐ์ ์ฌํญ์ ๊ณ์ฝ์ ํ๊ธํ๋ฆ ํน์ฑ์ ํ๊ฐํ ๋, ์๋ฆฌ๊ธ ์ง๊ธ๋ง์ผ๋ก ๊ตฌ์ฑ๋์ด ์๋ํ๊ธํ๋ฆ์ ๋ ํ ํ๋จ ๊ธฐ์ค์ ๋ช ํํ ํ๊ณ , ๊ธฐํํฌ๊ด์์ต-๊ณต์ ๊ฐ์น(FVOCI) ์ธก์ ์ง๋ถ์ํ์ ํฌ์ ์ข ๋ฅ๋ณ ๊ณต์ ๊ฐ ์น ๋ณ๋ ๋ฐ ์คํ์์ต ์ ๋ณด์ ๋ํ ๊ณต์ ์๊ตฌ์ฌํญ์ ์ถ๊ฐํ ๊ฒ์ ๋๋ค. ๋ํ, ์ ์์ง๊ธ์์คํ ์ ์ฌ์ฉ ํ์ฌ ํ๊ธ์ผ๋ก ๊ธ์ต๋ถ์ฑ๋ฅผ ๊ฒฐ์ ํ๋ ๊ฒฝ์ฐ,๊ฒฐ์ ์ผ ์ด์ ์ ๊ธ์ต๋ถ์ฑ๋ฅผ ์ ๊ฑฐํ ์ ์๋ ์กฐ๊ฑด์ด ์ถ๊ฐ๋ ์์ต๋๋ค. ํํธ, ๋ ๊ฐ์ ์ฌํญ์ ์ ์ฉ์ด ๋น์ฌ์ ์ฌ๋ฌด์ํ๋ ๊ฒฝ์์ฑ๊ณผ์ ๋ฏธ์น๋ ์ค์ํ ์ํฅ์ ์์ต๋ ๋ค. - K-IFRS ์ฐ์ฐจ๊ฐ์ ์ฌํญ ๋ณธ ์ฐ์ฐจ๊ฐ์ ์ฌํญ์ ์๋์ ๊ธฐ์ค์์ ๋ํ ์ผ๋ถ ์กฐ๋ฌธ์ ๊ฐ์ ํ ๊ฒ์ผ๋ก, ์ฌ๋ฌด๋ณด๊ณ ์ ๋ช ํ์ฑ๊ณผ ์ผ๊ด์ฑ ํฅ์์ ๋ชฉ์ ์ผ๋ก ํ๊ณ ์์ต๋๋ค. โ K-IFRS ์ 1007ํธ ํ๊ธํ๋ฆํ โก K-IFRS ์ 1101ํธ ํ๊ตญ์ฑํ๊ตญ์ ํ๊ณ๊ธฐ์ค์ ์ต์ด์ฑํ โข K-IFRS ์ 1107ํธ ๊ธ์ต์ํ: ๊ณต์ โฃ K-IFRS ์ 1109ํธ ๊ธ์ต์ํ โค K-IFRS ์ 1110ํธ ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ ํํธ, ๋ ๊ฐ์ ์ฌํญ์ ์ ์ฉ์ด ๋น์ฌ์ ์ฌ๋ฌด์ํ๋ ๊ฒฝ์์ฑ๊ณผ์ ๋ฏธ์น๋ ์ค์ํ ์ํฅ์ ์์ต๋๋ค. (2) ๋น๋ฐ๊ธฐ๋ง ํ์ฌ ์ ์ ใ๊ณตํ๋์์ผ๋ ์์ง ์ํ์ผ์ด ๋๋ํ์ง ์์ ์กฐ๊ธฐ ์ ์ฉํ์ง ์๋ํ ์ ๊ฐ์ ๊ธฐ์ค์ ๋ฐ ํด์์์ ๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. DART dart.fss.or.kr Page 141
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4. Cash and cash equivalents and long-term and short-term financial instruments - ๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1118ํธ ใ์ฌ๋ฌด์ ํ ํ์์ ๊ณต์ใ ์ ์ K-IFRS ์ 1118ํธ '์ฌ๋ฌด์ ํ ํ์์ ๊ณต์'๋ K-IFRS ์ 1001ํธ '์ฌ๋ฌด์ ํ ํ์'๋ฅผ ๋์ฒดํฉ๋๋ค. ์ด ๊ธฐ ์ค์๋ 2027๋ 1์ 1์ผ ์ดํ ์ต์ด๋ก ์์ํ๋ ํ๊ณ์ฐ๋๋ถํฐ ์ ์ฉํ๋ฉฐ ์กฐ๊ธฐ ์ ์ฉ์ ํ์ฉํ๋, ๋น์ฌ ๋ ์์ฝ๋ฐ๊ธฐ์ฌ๋ฌด์ ํ ์์ฑ ์ ์๋ก์ด ๊ธฐ์ค์๋ฅผ ์กฐ๊ธฐ์ ์ฉํ์ง ์์์ต๋๋ค. K-IFRS ์ 1118ํธ๋ ๋ณด๋ค ๊ตฌ์กฐํ๋ ์์ต๊ณ์ฐ์์ ์ ๋ณด์ ์ธ๋ถํ๋ฅผ ์๊ตฌํฉ๋๋ค. ๋น์ฌ๋ K-IFRS ์ 1118ํธ์ ๋์ ์ด ์ฌ๋ฌด์ ํ์ ๋ฏธ์น ๊ฒ์ผ๋ก ์์๋๋ ์ํฅ์ ๋ถ์ ์ค์ ์์ต๋๋ค. ์๊ธฐ์ ๊ธฐ์ฌ๋ ์ฌํญ์ ์ ์ธํ๊ณ ๋ฐ๊ธฐ์ฌ๋ฌด์ ํ์ ์ ์ฉ๋ ํ๊ณ์ ์ฑ ์ ์ง์ ์ฐ์ฐจ์ฌ๋ฌด์ ํ์ ์ ์ฉํ ํ ๊ณ์ ์ฑ ๊ณผ ๋์ผํฉ๋๋ค. Details Of Cash And Cash Equivalents Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Cash on hand 90,587 Time deposits 142,981,343 Total 143,071,930 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Cash on hand 70,758 Time deposits 205,467,187 Total 205,537,945 Disclosure of financial instruments Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Short-term fixed deposits 177,968,350 Short-term deposits, not classified as cash equivalents 177,968,350 Long-term special deposits 3,000 Long-term deposits not classified as cash equivalents 3,000 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Short-term fixed deposits 221,380,010 Short-term deposits, not classified as cash equivalents 221,380,010 Long-term special deposits 3,000 DART dart.fss.or.kr Page 142
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5. Financial assets at fair value through other comprehensive income and profit or loss Long-term deposits not classified as cash equivalents 3,000 Restricted financial assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Restricted financial assets [domain] ใ Long-term financial instruments ใ Counterparties [domain] ใ Woori Bank Restricted financial assets 3,000 Reasons for use restrictions ๋น์ข๊ฐ์ค๋ณด์ฆ๊ธ Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Restricted financial assets [domain] ใ Long-term financial instruments ใ Counterparties [domain] ใ Woori Bank Restricted financial assets 3,000 Reasons for use restrictions ๋น์ข๊ฐ์ค๋ณด์ฆ๊ธ Details of financial assets measured at fair value through other comprehensive income and financial assets at fair value through profit or loss Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Categories of financial assets [domain] Total of Categories of financial assets [domain] Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Equity instruments at fair value through other comprehensive income Debt securities at fair value through profit or loss, category ใ Listed equity securities Defense Expo Korea Other non-current financial assets 40,765,055 1,525,643 42,290,698 DART dart.fss.or.kr Page 143
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Description of valuation techniques used in fair value measurement, assets ๋น์ฌ๋ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ (์ฃผ)์ค๋งฅ์ ์ ๊ฒฐ๊ถ ์๋ ์ฃผ์์ 20% ์ด์ ๋ณด์ ํ๊ณ ์ ์ผ๋, ํผํฌ์์์ ๋ํ ์์ ์ ์ฑ ๋ฐ ์ฌ๋ฌด ์ ์ฑ ์ ๋ํ ์ฐธ์ฌ ์ ํ์ผ๋ก ์ ์์ ์ธ ์ ํฅ๋ ฅ์ ๋ณด์ ํ๊ณ ์์ง ์๋ค๊ณ ํ๋จํ์ฌ ์ด๋ฅผ ๊ธฐํํฌ๊ด์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ง๋ถ์ฆ ๊ถ์ผ๋ก ๋ถ๋ฅํ์์ต๋๋ค. ๋น๊ธฐ์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ฑ๋ฌด์ฆ๊ถ์ ๊ณต ์ ๊ฐ์น๋ฅผ ๊ฒฐ์ ํ๊ธฐ ์ํด ์ด์ฉํ ์ ์๋ ์ ๋ณด๊ฐ ๋ถ์ถฉ๋ถํ๊ณ ๊ฐ๋ฅํ ๊ณต์ ๊ฐ์น ์ธก ์ ์น์ ๋ฒ์๊ฐ ๋์ผ๋ฏ๋ก, ๊ทธ ๋ฒ์ ๋ด์์ ์ทจ๋์๊ฐ์ ์๋ณธ์ ์ ์ ๋ ๋ฐฐ๋น์์ต์ ๊ฐ์ฐํ ๋์ ๊ธ์ก์ ๊ณต์ ๊ฐ์น์ ์ต์ ์ ์ถ์ ์น๋ก ๊ฐ์ฃผํ์ฌ ์๊ฐ๋ฅผ ๊ณต์ ๊ฐ์น๋ก ํ์์ต๋๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of financial assets [domain] Total of Categories of financial assets [domain] Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Equity instruments at fair value through other comprehensive income Debt securities at fair value through profit or loss, category ใ Listed equity securities Defense Expo Korea Other non-current financial assets 3,310,322 1,512,853 4,823,175 Description of valuation techniques used in fair value measurement, assets ๋น๊ธฐ์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ฑ๋ฌด์ฆ๊ถ์ ๊ณต์ ๊ฐ์น๋ฅผ ๊ฒฐ์ ํ๊ธฐ ์ํด ์ด์ฉํ ์ ์๋ ์ ๋ณด๊ฐ ๋ถ์ถฉ๋ถํ๊ณ ๊ฐ๋ฅํ ๊ณต์ ๊ฐ์น ์ธก์ ์น ์ ๋ฒ์๊ฐ ๋์ผ๋ฏ๋ก, ๊ทธ ๋ฒ์ ๋ด์์ ์ทจ๋ ์๊ฐ์ ์๋ณธ์ ์ ์ ๋ ๋ฐฐ๋น์์ต์ ๊ฐ์ฐํ ๋์ ๊ธ์ก์ ๊ณต์ ๊ฐ์น์ ์ต์ ์ ์ถ์ ์น๋ก ๊ฐ์ฃผํ์ฌ ์๊ฐ๋ฅผ ๊ณต์ ๊ฐ์น๋ก ํ์์ต๋๋ค. Changes in Equity Securities and Debt Securities Measured at Fair Value through Profit or Loss Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Categories of financial assets [domain] ใ Financial assets at fair value through profit or loss, category Equity securities at fair value through profit or loss, category Debt securities at fair value through profit or loss, category Assets at beginning of period 0 1,512,853 Purchases 0 0 Sales 0 0 Gains(losses) on disposals of fair value financial asset 0 0 Net Gain (Loss) on Financial Assets at Fair Value through Profit or Loss 0 12,790 Assets at beginning of period 0 1,525,643 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of financial assets [domain] ใ Financial assets at fair value through profit or loss, category DART dart.fss.or.kr Page 144
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Equity securities at fair value through profit or loss, category Debt securities at fair value through profit or loss, category Assets at beginning of period 0 1,498,821 Purchases 54,627,550 0 Sales (54,970,228) 0 Gains(losses) on disposals of fair value financial asset 342,678 0 Net Gain (Loss) on Financial Assets at Fair Value through Profit or Loss 0 14,032 Assets at beginning of period 0 1,512,853 Explanation for Acquisition of Equity and Debt Securities Measured at FVTPL 2 ๊ธ์ต์์ฐ ์ทจ๋์ผ๋ก ์ธํ ํ๊ธ์ ์ถ์ก๊ณผ ๋ฏธ์ง๊ธ๊ธ ์ฆ๊ฐ์ก์ ๋ชจ๋ ํฌํจํ์์ต๋๋ค. Explanation for Disposal of Equity and Debt Securities Measured at FVTPL 2 ๊ธ์ต์์ฐ ์ฒ๋ถ์ผ๋ก ์ธํ ํ๊ธ์ ์ ์ก๊ณผ ๋ฏธ์๊ธ ์ฆ๊ฐ์ก์ ๋ชจ๋ ํฌํจํ์์ต๋๋ค. DisclosureOfChangesInEquitySecuritiesAtFVTOCITextBlock Ending of Current Fiscal Year (Half- Year) (Unit : thousand, KRW) ใ Categories of financial assets [domain] Financial assets at fair value through other comprehensive income, category Investments in equity instruments designated at fair value through other comprehensive income Assets at beginning of period 3,310,322 Purchases 60,606,017 Sales 0 Other comprehensive income - gain or loss on valuation of financial assets at fair value (before tax) (23,151,284) Assets at beginning of period 40,765,055 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of financial assets [domain] Financial assets at fair value through other comprehensive income, category Investments in equity instruments designated at fair value through other comprehensive income Assets at beginning of period 5,310,091 Purchases 43,205,747 Sales (48,489,213) Other comprehensive income - gain or loss on valuation of financial assets at fair value (before tax) 3,283,697 Assets at beginning of period 3,310,322 DART dart.fss.or.kr Page 145
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Explanation for Acquisition of Equity Securities Measured at FVOCI ๊ธ์ต์์ฐ ์ทจ๋์ผ๋ก ์ธํ ํ๊ธ์ ์ถ์ก๊ณผ ๋ฏธ์ง๊ธ๊ธ ์ฆ๊ฐ์ก์ ๋ชจ๋ ํฌํจํ์์ต๋๋ค. Explanation for Disposal of Equity Securities Measured at FVOCI ๊ธ์ต์์ฐ ์ฒ๋ถ์ผ๋ก ์ธํ ํ๊ธ์ ์ ์ก๊ณผ ๋ฏธ์๊ธ ์ฆ๊ฐ์ก์ ๋ชจ๋ ํฌํจํ์์ต๋๋ค. Disclosures for equity instruments measured at fair value through other comprehensive income Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Categories of financial assets [domain] ใ Financial assets at fair value through other comprehensive income, category ใ Investments in equity instruments designated at fair value through other comprehensive income Dividends recognised for investments in equity instruments designated at fair value through other comprehensive income, held at end of reporting period 84,447 Dividends recognised for investments in equity instruments designated at fair value through other comprehensive income, derecognised during period 0 Fair value of investments in equity instruments designated at fair value through other comprehensive income at date of derecognition 0 Cumulative gain (loss) on disposal of investments in equity instruments designated at fair value through other comprehensive income 22,071,010 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of financial assets [domain] ใ Financial assets at fair value through other comprehensive income, category ใ Investments in equity instruments designated at fair value through other comprehensive income Dividends recognised for investments in equity instruments designated at fair value through other comprehensive income, held at end of reporting period 83,460 Dividends recognised for investments in equity instruments designated at fair value through other comprehensive income, derecognised during period 242,080 DART dart.fss.or.kr Page 146
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6. Trade and other receivables Fair value of investments in equity instruments designated at fair value through other comprehensive income at date of derecognition (48,489,213) Cumulative gain (loss) on disposal of investments in equity instruments designated at fair value through other comprehensive income 22,071,010 Trade And Other Receivables Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Gross carrying amount Allowance for credit losses Total of Carrying amount Current trade receivables 170,037,604 (2,265,229) 167,772,375 Short-term other receivables, net 14,592,069 0 14,592,069 Short-term accrued income, net 3,186,109 0 3,186,109 Short-term loans, net 34,001 0 34,001 Subtotal of trade and other current receivables 187,849,783 (2,265,229) 185,584,554 Long-term deposits provided, net 157,638 0 157,638 Long-term loans, net 387,186 0 387,186 Subtotal of trade and other non- current receivables 544,824 0 544,824 Total 188,394,607 (2,265,229) 186,129,378 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Gross carrying amount Allowance for credit losses Total of Carrying amount Current trade receivables 181,170,958 (782,243) 180,388,715 Short-term other receivables, net 7,382,007 0 7,382,007 Short-term accrued income, net 4,687,002 0 4,687,002 Short-term loans, net 28,832 0 28,832 Subtotal of trade and other current receivables 193,268,799 (782,243) 192,486,556 Long-term deposits provided, net 178,638 0 178,638 Long-term loans, net 432,770 0 432,770 DART dart.fss.or.kr Page 147
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Subtotal of trade and other non- current receivables 611,408 0 611,408 Total 193,880,207 (782,243) 193,097,964 Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for receivables Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial instruments [domain] ใ Trade receivables ใ Carrying amount ใ Accumulated impairment Beginning balance 782,243 Bad debt expenses(Reversal) 1,482,986 Ending balance 2,265,229 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial instruments [domain] ใ Trade receivables ใ Carrying amount ใ Accumulated impairment Beginning balance 1,385,613 Bad debt expenses(Reversal) (603,370) Ending balance 782,243 Disclosure of receivables that are either past due or impaired, past due Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired ใ Past due status [domain] ใ Not later than six months Later than six months and not later than one year Later than one year and not later than three years Not later than six months Later than six months and not later than one year Later than one year and not later than three years ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 33,000,371 (177,724) ใ 1,412,481 (1,206,258) ใ 277,175 (236,708) ใ 0 0 ใ 0 0 ใ 0 0 Expected credit loss rate ใ ใ 0.0054 ใ ใ 0.8540 ใ ใ 0.8540 ใ ใ 0.0000 ใ ใ 0.0000 ใ ใ 0.0000 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired ใ Past due status [domain] ใ Not later than six months Later than six months and not later than one year Later than one year and not later than three years Not later than six months Later than six months and not later than one year Later than one year and not later than three years ใ Carrying amount Total of Carrying Carrying amount Total of Carrying Carrying amount Total of Carrying Carrying amount Total of Carrying Carrying amount Total of Carrying Carrying amount Total of Carryingใ Gross carrying Accumulated Gross carrying Accumulated Gross carrying Accumulated Gross carrying Accumulated Gross carrying Accumulated Gross carrying Accumulated DART dart.fss.or.kr Page 148
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amount impairment amount amount impairment amount amount impairment amount amount impairment amount amount impairment amount amount impairment amount Trade and other receivables 18,336,601 (63,046) ใ 154,839 (18,611) ใ 167,263 (65,534) ใ 0 0 ใ 0 0 ใ 0 0 Expected credit loss rate ใ ใ 0.0034 ใ ใ 0.1202 ใ ใ 0.3918 ใ ใ 0.0000 ใ ใ 0.0000 ใ ใ 0.0000 Disclosure of receivables that are either past due or impaired, not past due and past due Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired ใ Past due status [domain] ใ Current Overdue Current Overdue ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 134,859,058 (156,020) ใ 34,690,027 (1,620,690) ใ 18,357,003 0 ใ 0 0 Expected credit loss rate ใ ใ 0.0012 ใ ใ 0.0467 ใ ใ 0.0000 ใ ใ 0.0000 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired ใ Past due status [domain] ใ Current Overdue Current Overdue ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 162,059,297 (182,094) ใ 18,658,703 (147,191) ใ 12,709,249 0 ใ 0 0 Expected credit loss rate ใ ใ 0.0011 ใ ใ 0.0079 ใ ใ 0.0000 ใ ใ 0.0000 Disclosure of receivables that are either past due or impaired, individually impaired Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets individually assessed for credit losses ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 488,519 (488,519) ใ 0 0 Expected credit loss rate ใ ใ 1.00 ใ ใ 0.00 DART dart.fss.or.kr Page 149
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7. Inventories Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets individually assessed for credit losses ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 452,958 (452,958) ใ 0 0 Expected credit loss rate ใ ใ 1.00 ใ ใ 0.00 Disclosure of receivables that are either past due or impaired, total Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 170,037,604 (2,265,229) ใ 18,357,003 0 Expected credit loss rate ใ ใ 0.0133 ใ ใ 0.0000 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial assets [domain] ใ Trade receivables Other receivables ใ Impairment of financial assets [domain] ใ Financial assets impaired ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated impairment Gross carrying amount Accumulated impairment Trade and other receivables 181,170,958 (782,243) ใ 12,709,249 0 Expected credit loss rate ใ ใ 0.0043 ใ ใ 0.0000 Details of inventories Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Gross carrying amount Allowance For Inventory Valuation Total of Carrying amount Merchandise 25,605,705 (695,138) 24,910,567 DART dart.fss.or.kr Page 150
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Finished goods 61,921,272 (1,499,425) 60,421,847 Semi-finished goods 46,580,283 (7,230,491) 39,349,792 Work in progress 31,660,386 (5,306,372) 26,354,014 Raw materials 54,868,302 (5,742,601) 49,125,701 Production supplies 2,332,081 0 2,332,081 Inventories in transit 5,612,876 0 5,612,876 Total 228,580,905 (20,474,027) 208,106,878 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Gross carrying amount Allowance For Inventory Valuation Total of Carrying amount Merchandise 2,698,521 (1,885,307) 813,214 Finished goods 48,567,895 (1,485,971) 47,081,924 Semi-finished goods 41,799,837 (6,870,851) 34,928,986 Work in progress 23,221,286 (7,835,593) 15,385,693 Raw materials 51,467,311 (4,634,873) 46,832,438 Production supplies 1,892,519 0 1,892,519 Inventories in transit 10,794,180 0 10,794,180 Total 180,441,549 (22,712,595) 157,728,954 Explanation for insurance contracts ๋น์ฌ์ ์ฌ๊ณ ์์ฐ ์ผ๋ถ์ ๋ํด ํ์ฌ๋ณดํ ๋ฐ ์์ฐ๋ฌผ๋ฐฐ์์ฑ ์๋ณดํ์ ๊ฐ์ ๋์ด ์์ต๋๋ค. Amount of inventories recognised as expenses Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Gross carrying amount ใ Three months Cumulative Cost of inventories recognised as expense during period 201,830,405 369,938,112 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Gross carrying amount ใ Three months Cumulative Cost of inventories recognised as expense during period 216,151,719 401,391,035 Explanation regarding the amount of cost of inventories recognized as expense ๋งค์ถ์๊ฐ์ ํ๋งค๊ด๋ฆฌ๋น ์ ๋น์ฉ์ ํฉ๊ณ์ ๋๋ค. DART dart.fss.or.kr Page 151
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8. Other assets 9. Investments in subsidiaries Disclosure of inventory write-down Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Gross carrying amount ใ Three months Cumulative Reversal of inventory write- down 923,674 2,238,568 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Gross carrying amount ใ Three months Cumulative Reversal of inventory write- down 25,970 3,123,503 Disclosure Of Other Assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Current prepayments 5,935,713 Current prepaid expenses 534,245 Other current assets 6,469,958 Non-current prepayments 0 Other non-current assets 0 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Current prepayments 5,770,032 Current prepaid expenses 907,671 Other current assets 6,677,703 Non-current prepayments 30,934 Other non-current assets 30,934 ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ์ข ์๊ธฐ์ ํฌ์์ ๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์:์ฒ์) ์ข ์๊ธฐ์ ๋ช ์์ฌ์ง ์ฃผ์ ์์ ํ๋ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์ ๊ธฐ๋ง ์์ ์ง๋ถ ์จ ์ฅ๋ถ๊ธ์ก ์์ ์ง๋ถ ์จ ์ฅ๋ถ๊ธ์ก ใSNT๋ก๋ณดํฑ์ค(*1) ๋ํ๋ฏผ ๊ตญ ์ฐ์ ์ฉ๋ก๋ด ์ ์กฐ 100.00% 30,048,0 00 - - DART dart.fss.or.kr Page 152
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10. Property, plant and equipment SNT Global INC. ๋ฏธ๊ตญ ์ฐจ๋๋ถํ ๋ฑ ์ ์กฐ 86.67% 35,404,2 00 86.67% 35,404,2 00 SNT USA Ltd. ๋ฏธ๊ตญ ๋ถ๋ฏธ์ง์ญ ์ฌ์ ์ด๊ด 100.00% 12,854,9 34 100.00% 12,854,9 34 SNT America Ltd. ๋ฏธ๊ตญ ๋ถ๋ฏธ์ง์ญ ๊ณ ๊ฐ ๊ด๋ฆฌ 100.00% 38,766 100.00% 38,766 SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ ์ค๊ตญ ์ฐจ๋๋ถํ ์ ์กฐ 100.00% 16,892,3 19 100.00% 16,892,3 19 SNT Motiv India Private Ltd.(*2) ์ธ๋ ์ฐจ๋๋ถํ ์ ์กฐ 100.00% 22,475,1 89 100.00% 21,161,1 03 SNT Daewoo India Private Ltd. ์ธ๋ ์ฐจ๋๋ถํ ์ ์กฐ 100.00% - 100.00% - ํฉ ๊ณ 117,713, 408 86,351,3 22 (*1) ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ใSNTํ๋ฉ์ค๋ก๋ถํฐ ์ทจ๋ํ์์ต๋๋ค. (*2) ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ์ถ๊ฐ ์ถ์ํ์์ต๋๋ค. Details of property, plant and equipment Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) Gross carrying amount Accumulated depreciation and amortisation Accumulated impairment Government grants Total of Carrying amount Land 218,735,713 0 0 0 218,735,713 Buildings 53,402,334 (30,596,170) 0 0 22,806,164 Structure 16,271,846 (9,166,210) (233,463) 0 6,872,173 Machinery 275,860,282 (192,244,364) (3,051,636) (588,533) 79,975,749 Vehicles 6,399,752 (4,148,266) 0 0 2,251,486 Tools and equipment 39,352,419 (27,184,252) (150,223) 0 12,017,944 equipment 29,078,940 (25,697,197) 0 0 3,381,743 Other property, plant and equipment 3,166,410 (618,436) 0 0 2,547,974 Construction in progress 37,607,468 0 0 0 37,607,468 Total property, plant and equipment 679,875,164 (289,654,895) (3,435,322) (588,533) 386,196,414 Ending of Last Fiscal Year (Unit : thousand, KRW) Gross carrying amount Accumulated depreciation and amortisation Accumulated impairment Government grants Total of Carrying amount Land 218,655,693 0 0 0 218,655,693 DART dart.fss.or.kr Page 153
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Buildings 51,661,192 (29,916,546) 0 0 21,744,646 Structure 16,050,505 (8,903,259) (233,463) 0 6,913,783 Machinery 266,970,683 (183,685,870) (3,051,636) (637,666) 79,595,511 Vehicles 6,362,797 (3,896,103) 0 0 2,466,694 Tools and equipment 38,275,159 (25,872,976) (150,223) 0 12,251,960 equipment 28,173,933 (25,372,835) 0 0 2,801,098 Other property, plant and equipment 3,144,410 (503,031) 0 0 2,641,379 Construction in progress 38,645,968 0 0 0 38,645,968 Total property, plant and equipment 667,940,340 (278,150,620) (3,435,322) (637,666) 385,716,732 Disclosure of detailed information about property, plant and equipment Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Land Buildings Structure Machinery Vehicles Office equipment Tools and equipment Other property, plant and equipment Construction in progress Total of Classes of property, plant and equipment [domain] Property, plant and equipment at beginning of period 218,655,693 21,744,646 6,913,783 79,595,511 2,466,694 2,801,098 12,251,960 2,641,379 38,645,968 385,716,732 Acquisition 80,020 218,687 165,595 2,919,832 94,769 610,529 946,893 22,000 8,202,905 13,261,230 Disposals, property, plant and equipment 0 0 0 (14) (28,659) 0 0 0 0 (28,673) Depreciation, property, plant and equipment 0 (698,007) (262,951) (9,759,556) (281,318) (324,362) (1,311,276) (115,405) 0 (12,752,875) Impairment loss recognised in profit or loss 0 0 0 0 0 0 0 0 0 0 Others 0 1,540,838 55,746 7,219,976 0 294,478 130,367 0 (9,241,405) 0 Property, plant and equipment at beginning of period 218,735,713 22,806,164 6,872,173 79,975,749 2,251,486 3,381,743 12,017,944 2,547,974 37,607,468 386,196,414 Property, plant and equipment, expenditures recognised in course of its construction ใ ใ ใ ใ ใ ใ ใ ใ 12,603,000 DART dart.fss.or.kr Page 154
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Description of impairment loss of property, plant and equipment Description of other changes of property, plant and equipment ๊ธฐํ์ฆ๊ฐ์ก์ ๊ฑด ์ค์ค์ธ์์ฐ์ ๋ณธ ๊ณ์ ๋์ฒด๋ก ์ธํ ๊ธ์ก์ ๋๋ค. Description of construction in progress of property, plant and equipment ๊ฑด์ค์ค์ธ์์ฐ์ ์ ๊ท ์ค๋นํฌ์ ๋ฑ ๊ณผ ๊ด๋ จํ์ฌ 12,603๋ฐฑ๋ง์์ด ์ง์ถ๋์์ต๋๋ค. Description of insurance and pledge of property, plant and equipment ๋น์ฌ๋ ๊ฑด๋ฌผ ๋ฑ ์ ํ์์ฐ์ ๋ํด ํ ์ฌ๋ณดํ์ ๊ฐ์ ํ ๊ณ ์์ผ๋ฉฐ, ๋ถ๋ณด์ก ์ ์ผ๋ถ๋ ํ๊ตญ์ฐ ์ ์ํ์ ์ง๊ถ ์ค ์ ๋์ด ์์ต๋๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Land Buildings Structure Machinery Vehicles Office equipment Tools and equipment Other property, plant and equipment Construction in progress Total of Classes of property, plant and equipment [domain] Property, plant and equipment at beginning of period 221,009,513 20,470,290 7,150,825 78,751,187 2,760,147 2,718,990 11,236,251 2,508,443 16,824,975 363,430,621 Acquisition 0 3,412,177 260,508 12,046,872 267,626 704,194 2,663,420 346,200 31,536,916 51,237,913 Disposals, property, plant and equipment (2,353,820) (789,964) (2) (441,128) (4,235) (32,973) (36) 0 0 (3,622,158) Depreciation, property, plant and equipment 0 (1,347,857) (515,148) (18,924,796) (556,844) (594,713) (2,446,397) (213,264) 0 (24,599,019) Impairment loss recognised in profit or loss 0 0 0 (730,625) 0 0 0 0 0 (730,625) Others 0 0 17,600 8,894,001 0 5,600 798,722 0 (9,715,923) 0 Property, plant and equipment at beginning of period 218,655,693 21,744,646 6,913,783 79,595,511 2,466,694 2,801,098 12,251,960 2,641,379 38,645,968 385,716,732 DART dart.fss.or.kr Page 155
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11. Intangible assets Property, plant and equipment, expenditures recognised in course of its construction ใ ใ ใ ใ ใ ใ ใ ใ 29,948,000 Description of impairment loss of property, plant and equipment ์ ๊ธฐ ์ค ์ฐจ๋๋ถํ ์ฌ์ ๋ถ๋ฌธ์ ์ดํด ์ค๋น์ ๋ํด ์ ์ก ์์์ ์ธ์ํ์ ์ต๋๋ค. Description of other changes of property, plant and equipment ๊ธฐํ์ฆ๊ฐ์ก์ ๊ฑด ์ค์ค์ธ์์ฐ์ ๋ณธ ๊ณ์ ๋์ฒด๋ก ์ธํ ๊ธ์ก์ ๋๋ค. Description of construction in progress of property, plant and equipment ๊ฑด์ค์ค์ธ์์ฐ์ ์ ๊ท ์ค๋นํฌ์ ๋ฑ ๊ณผ ๊ด๋ จํ์ฌ 29,948๋ฐฑ๋ง์์ด ์ง์ถ๋์์ต๋๋ค. Description of insurance and pledge of property, plant and equipment ๋น์ฌ๋ ๊ฑด๋ฌผ ๋ฑ ์ ํ์์ฐ์ ๋ํด ํ ์ฌ๋ณดํ์ ๊ฐ์ ํ ๊ณ ์์ผ๋ฉฐ, ๋ถ๋ณด์ก ์ ์ผ๋ถ๋ ํ๊ตญ์ฐ ์ ์ํ์ ์ง๊ถ ์ค ์ ๋์ด ์์ต๋๋ค. Disclosure of property, plant and equipment pledged as security ใ (Unit : thousand, KRW) ใ Classes of property, plant and equipment [domain] ใ Gross carrying amount ใ Name of secured creditor [domain] ใ Korea Development Bank Property, plant and equipment, pledged as security 303,048,692 Details of intangible assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of intangible assets and goodwill [domain] Total of Classes of intangible assets and goodwill ใ Development costs Software Right for facility use Goodwill Other intangible assets ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated depreciation, Gross carrying amount Accumulated depreciation, Gross carrying amount Accumulated depreciation, Gross carrying amount Accumulated depreciation, Gross carrying amount Accumulated depreciation, DART dart.fss.or.kr Page 156
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amortisation and impairment amortisation and impairment amortisation and impairment amortisation and impairment amortisation and impairment [domain] Intangible assets and goodwill 31,180,333 (31,075,372) 104,961 7,130,019 (4,429,400) 2,700,619 412,650 (48,000) 364,650 1,995,443 (1,097,000) 898,443 177,028 0 177,028 4,245,701 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of intangible assets and goodwill [domain] Total of Classes of intangible assets and goodwill [domain] ใ Development costs Software Right for facility use Goodwill Other intangible assets ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Gross carrying amount Accumulated depreciation, amortisation and impairment Intangible assets and goodwill 31,180,333 (30,243,487) 936,846 6,222,962 (4,022,252) 2,200,710 412,650 (48,000) 364,650 1,995,443 (1,097,000) 898,443 177,028 0 177,028 4,577,677 Disclosure of detailed information about intangible assets Ending of Current Fiscal Year (Half- Year) (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation, amortisation and impairment Total of Carrying amount Intangible assets and goodwill 40,895,473 (36,649,772) 4,245,701 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation, amortisation and impairment Total of Carrying amount Intangible assets and goodwill 39,988,416 (35,410,739) 4,577,677 Disclosure of reconciliation of changes in intangible assets and goodwill Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) Development costs Software Right for facility use Goodwill Other intangible assets Total of Classes of intangible assets and goodwill [domain] Beginning balance 936,846 2,200,710 364,650 898,443 177,028 4,577,677 Acquisition 0 907,057 0 0 0 907,057 Amortisation (831,885) (407,148) 0 0 0 (1,239,033) Ending balance 104,961 2,700,619 364,650 898,443 177,028 4,245,701 Ending of Last Fiscal Year (Unit : thousand, KRW) Development costs Software Right for facility use Goodwill Other intangible assets Total of Classes of intangible assets and goodwill [domain] DART dart.fss.or.kr Page 157
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12. Investment property Beginning balance 2,600,615 1,720,050 364,650 898,443 177,028 5,760,786 Acquisition 0 1,164,984 0 0 0 1,164,984 Amortisation (1,663,769) (684,324) 0 0 0 (2,348,093) Ending balance 936,846 2,200,710 364,650 898,443 177,028 4,577,677 Disclosure of intangible assets material to entity ใ (Unit : thousand, KRW) ใ Classes of intangible assets and goodwill [domain] ใ Development costs ใ Intangible assets material to entity [domain] ใ B Carrying amount 104,961 Remaining amortisation period of intangible assets material to entity 2๊ฐ์ Description of intangible assets material to entity ๊ฐ๋ฐ์ด ์๋ฃ๋์ด ํ์ฌ ์์ฐ์ ์งํ ์ค์ธ ์ฌ์ ์ ์ ์ฉํ๊ณ ์์ต๋๋ค . Disclosure of research and development expense recognised in profit or loss Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Attribution of expenses by nature to their function [domain] Total of Attribution of expenses by nature to their function [domain] Selling, general and administrative expense Government grants ใ Three months Cumulative Three months Cumulative Three months Cumulative Research and development expense 6,156,944 11,821,427 (220,306) (270,052) 5,936,638 11,551,375 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Attribution of expenses by nature to their function [domain] Total of Attribution of expenses by nature to their function [domain] Selling, general and administrative expense Government grants ใ Three months Cumulative Three months Cumulative Three months Cumulative Research and development expense 5,366,012 10,785,216 (414,358) (488,352) 4,951,654 10,296,864 Details of investment property Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Types of investment property [domain] Total of Types of investment property ใ Land Buildings Investment property under construction ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amountใ Gross carrying Accumulated Gross carrying Accumulated Gross carrying Accumulated DART dart.fss.or.kr Page 158
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amount depreciation and amortisation amount depreciation and amortisation amount depreciation and amortisation [domain] Investment property 18,730,421 0 18,730,421 5,387,508 (134,687) 5,252,821 0 0 0 23,983,242 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Types of investment property [domain] Total of Types of investment property [domain] ใ Land Buildings Investment property under construction ใ Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Carrying amount Total of Carrying amount Gross carrying amount Accumulated depreciation and amortisation Gross carrying amount Accumulated depreciation and amortisation Gross carrying amount Accumulated depreciation and amortisation Investment property 0 0 0 0 0 0 2,212,166 0 2,212,166 2,212,166 Disclosure of detailed information about investment property Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation and amortisation Total of Carrying amount Investment property 24,117,929 (134,687) 23,983,242 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation and amortisation Total of Carrying amount Investment property 2,212,166 0 2,212,166 Disclosure of Changes in Investment Property Ending of Current Fiscal Year (Half- Year) (Unit : thousand, KRW) ใ Land Buildings Investment property under construction or development Total of Types of investment property [domain] Opening Carrying Amount 0 0 2,212,166 2,212,166 Total increase (decrease) in investment property 16,960,688 4,945,075 0 21,905,763 Accumulated depreciation of investement property 0 (134,687) 0 (134,687) Increase (decrease) through other changes, investment property 1,769,733 442,433 (2,212,166) 0 Closing Carrying Amount 18,730,421 5,252,821 0 23,983,242 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Land Buildings Investment property Total of Types of DART dart.fss.or.kr Page 159
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13. Leases under construction or development investment property [domain] Opening Carrying Amount 0 0 0 0 Total increase (decrease) in investment property 0 0 2,212,166 2,212,166 Accumulated depreciation of investement property 0 0 0 0 Increase (decrease) through other changes, investment property 0 0 0 0 Closing Carrying Amount 0 0 2,212,166 2,212,166 Disclosure of amounts recognised in profit or loss in relation to investment property Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Types of investment property [domain] ใ Gross carrying amount ใ Three months Cumulative Rental income from investment property 237,325 327,262 Direct operating expense from investment property generating rental income (139,162) (271,106) Rental income from investment property, net of direct operating expense 98,163 56,156 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Types of investment property [domain] ใ Gross carrying amount ใ Three months Cumulative Rental income from investment property 0 0 Direct operating expense from investment property generating rental income 0 0 Rental income from investment property, net of direct operating expense 0 0 Details of right-of-use assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of assets [domain] Total of Classes of assets [domain] ใ Vehicles ใ Carrying amount Total of Carrying amountใ Gross carrying amount Accumulated depreciation and DART dart.fss.or.kr Page 160
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amortisation Right-of-use assets 69,133 (34,202) 34,931 34,931 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of assets [domain] Total of Classes of assets [domain] ใ Vehicles ใ Carrying amount Total of Carrying amountใ Gross carrying amount Accumulated depreciation and amortisation Right-of-use assets 69,133 (26,504) 42,629 42,629 Disclosure of quantitative information about right-of-use assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation, amortisation and impairment Total of Carrying amount Right-of-use assets 69,133 (34,202) 34,931 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Gross carrying amount Accumulated depreciation, amortisation and impairment Total of Carrying amount Right-of-use assets 69,133 (26,504) 42,629 Disclosure of amounts recognised in profit or loss relating to leases Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Expense relating to lease liabilities 774 Expense relating to short-term leases 678,669 Expense relating to leases of low-value asset 81,050 Expense relating to variable lease payment not included in measurement of lease liabilities 2,996,896 Total expense 3,757,389 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Expense relating to lease liabilities 605 Expense relating to short-term leases 671,524 DART dart.fss.or.kr Page 161
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Expense relating to leases of low-value asset 82,976 Expense relating to variable lease payment not included in measurement of lease liabilities 2,587,614 Total expense 3,342,719 Disclosure of changes in carrying amount of right-of-use assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Buildings Vehicles Total of Classes of assets [domain] Beginning balance 0 42,629 42,629 Increase 0 0 0 Depreciation 0 (7,698) (7,698) Ending balance 0 34,931 34,931 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Buildings Vehicles Total of Classes of assets [domain] Beginning balance 5,938 21,470 27,408 Increase 0 31,374 31,374 Depreciation (5,938) (10,215) (16,153) Ending balance 0 42,629 42,629 Disclosure of changes in lease liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Beginning balance 44,345 Additions 0 Interest expense 774 Payments (8,421) Ending balance 36,698 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Beginning balance 28,916 Additions 31,374 Interest expense 1,295 Payments (17,240) DART dart.fss.or.kr Page 162
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Ending balance 44,345 Disclosure of cash outflow for leases Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Cash outflow from lease liabilities 8,421 Cash outflow for short-term leases 683,661 Cash outflow for low-value asset leases 82,002 Cash outflow for variable lease not included in lease assets and liabilities 3,134,086 Total cash outflow 3,908,170 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Cash outflow from lease liabilities 10,901 Cash outflow for short-term leases 723,365 Cash outflow for low-value asset leases 82,973 Cash outflow for variable lease not included in lease assets and liabilities 2,602,546 Total cash outflow 3,419,785 Disclosure of maturity analysis of lease liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) Not later than one year Later than one year and not later than three years Later than three years Total of Maturity [domain] Total gross lease liabilities 16,842 19,498 2,083 38,423 Lease liabilities recognized ใ ใ ใ 36,698 Current lease liabilities ใ ใ ใ 15,786 Non-current lease liabilities ใ ใ ใ 20,912 Ending of Last Fiscal Year (Unit : thousand, KRW) Not later than one year Later than one year and not later than three years Later than three years Total of Maturity [domain] Total gross lease liabilities 16,842 23,754 6,248 46,844 DART dart.fss.or.kr Page 163
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14. Assets pledged as collateral 15. Trade and other payables Lease liabilities recognized ใ ใ ใ 44,345 Current lease liabilities ใ ใ ใ 15,457 Non-current lease liabilities ใ ใ ใ 28,888 Disclosure of assets pledged as security ใ (Unit : thousand, KRW) ใ Land, buildings, machinery and others Debt securities at fair value through profit or loss, category Property, plant and equipment, pledged as security 303,048,692 Financial assets pledged as collateral ใ 1,525,643 Reason for assets provided as collateral ์ฐจ์ ๊ธ ๋ด๋ณด (ํ๋์ฑ์ฌ์ ) ๋ณด์ฆ Borrowings amount 0 0 Collateral amount 40,000,000 1,525,643 Secured creditor ํ๊ตญ์ฐ์ ์ํ ๋ฐฉ์์ฐ์ ๊ณต์ ์กฐํฉ Description of assets provided as collateral ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์ผ๋ถ ํ ์ง์ ๋ ํ์ฌ ํ๊ตญ์ ๋ ฅ๊ณต์ฌ๊ฐ ์ง์๊ถ์ ์ค ์ ํ๊ณ ์์ต๋๋ค. Disclosure Of Trade And Other Payables Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Current trade payables 172,638,754 Other current payables 32,868,574 Current dividend payables 2,895 Current accruals 5,429,417 Short-term guarantee deposit withholdings 0 Current lease liabilities 15,786 Total current trade and other payables 210,955,426 Non-current trade payables 0 Other non-current payables 3,538,889 Non-current dividend payables 0 Non-current accruals 0 Long-term guarantee deposit withholdings 115,900 DART dart.fss.or.kr Page 164
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16. Other liabilities Non-current lease liabilities 20,912 Total non-current trade and other payables 3,675,701 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Current trade payables 136,893,148 Other current payables 42,071,807 Current dividend payables 2,495 Current accruals 2,291,081 Short-term guarantee deposit withholdings 0 Current lease liabilities 15,457 Total current trade and other payables 181,273,988 Non-current trade payables 0 Other non-current payables 3,336,975 Non-current dividend payables 0 Non-current accruals 0 Long-term guarantee deposit withholdings 115,900 Non-current lease liabilities 28,888 Total non-current trade and other payables 3,481,763 Disclosure Of Other Liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Short-term withholdings 298,447 Current contract liabilities 7,622,424 Total current other liabilities 7,920,871 Long-Term withholdings Banks 0 Non-current contract liabilities 405,821 Total non-current other liabilities 405,821 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Short-term withholdings 550,960 Current contract liabilities 13,333,035 Total current other liabilities 13,883,995 Long-Term withholdings Banks 0 Non-current contract liabilities 233,086 Total non-current other liabilities 233,086 DART dart.fss.or.kr Page 165
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17. Employee benefits Details of employee benefits Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Short-term employee benefits expense 10,641,287 21,503,590 Termination benefits expense 0 238,250 Post-employment benefit expense, defined contribution plans 472,137 946,928 Post-employment benefit expense in profit or loss, defined benefit plans 404,115 808,229 Other long-term employee benefits 100,957 201,914 Employee benefits expense 11,618,496 23,698,911 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Short-term employee benefits expense 10,858,723 21,641,599 Termination benefits expense 0 0 Post-employment benefit expense, defined contribution plans 479,785 964,597 Post-employment benefit expense in profit or loss, defined benefit plans 415,923 831,845 Other long-term employee benefits 62,459 124,919 Employee benefits expense 11,816,890 23,562,960 Net assets and liabilities related to employee benefits Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Defined benefit liability 10,006,344 Unpaid expenses related to defined contribution retirement benefit plans 939,898 Other long-term employee benefit liabilities 3,538,889 Accruals related to annual leave allowance 2,557,623 Total 17,042,754 DART dart.fss.or.kr Page 166
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Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Defined benefit liability 15,330,465 Unpaid expenses related to defined contribution retirement benefit plans 0 Other long-term employee benefit liabilities 3,336,975 Accruals related to annual leave allowance 2,291,081 Total 20,958,521 Disclosure of defined benefit plans Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Defined benefit obligation, at present value 10,089,450 Plan assets, at fair value (83,106) Net defined benefit liability (asset) 10,006,344 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Defined benefit obligation, at present value 15,449,136 Plan assets, at fair value (118,671) Net defined benefit liability (asset) 15,330,465 Disclosure of net defined benefit liability (asset) Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) Present value of defined benefit obligation Plan assets Total of Net defined benefit liability (asset) [domain] Beginning 15,449,136 (118,671) 15,330,465 Current service cost 491,281 0 491,281 Interest expense(income) 316,948 0 316,948 Subtotal of amount recognized as expense 808,229 0 808,229 Actuarial gains (losses) 0 0 0 Financial assumptions 0 0 0 Experience adjustments 0 0 0 Return on plan assets 0 0 0 Subtotal of remeasurement 0 0 0 Post-employment benefit payment (6,167,915) 35,565 (6,132,350) DART dart.fss.or.kr Page 167
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Defined contribution plans transitions 0 0 0 Subtotal of others (6,167,915) 35,565 (6,132,350) Ending 10,089,450 (83,106) 10,006,344 Ending of Last Fiscal Year (Unit : thousand, KRW) Present value of defined benefit obligation Plan assets Total of Net defined benefit liability (asset) [domain] Beginning 16,171,313 (126,126) 16,045,187 Current service cost 1,030,030 0 1,030,030 Interest expense(income) 633,660 0 633,660 Subtotal of amount recognized as expense 1,663,690 0 1,663,690 Actuarial gains (losses) (72,735) 0 (72,735) Financial assumptions (81,343) 0 (81,343) Experience adjustments 8,608 0 8,608 Return on plan assets 0 (260) (260) Subtotal of remeasurement (72,735) (260) (72,995) Post-employment benefit payment (2,306,506) 7,715 (2,298,791) Defined contribution plans transitions (6,626) 0 (6,626) Subtotal of others (2,313,132) 7,715 (2,305,417) Ending 15,449,136 (118,671) 15,330,465 Disclosure of fair value of plan assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Plan assets Deposits, amount contributed to fair value of plan assets 83,106 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Plan assets Deposits, amount contributed to fair value of plan assets 118,671 Details of liabilities related to other long-term employee benefits Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Liability for long-service cost 3,538,889 DART dart.fss.or.kr Page 168
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Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Liability for long-service cost 3,336,975 Disclosure of other long-term employee benefit liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Other long-term employee benefit liabilities at beginning of period 3,336,975 Current service cost 125,349 Interest expense 76,565 Actuarial gains (losses) 0 AmountPaid 0 Other long-term employee benefit liabilities at end of period 3,538,889 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Other long-term employee benefit liabilities at beginning of period 2,034,280 Current service cost 162,634 Interest expense 87,204 Actuarial gains (losses) 1,283,257 AmountPaid (230,400) Other long-term employee benefit liabilities at end of period 3,336,975 Expense recognized at fair value through profit or loss, employee benefits Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Current service cost 62,675 125,349 Interest expense 38,282 76,565 Total 100,957 201,914 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount DART dart.fss.or.kr Page 169
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18. Provisions ใ Disclosed Amount ใ Three months Cumulative Current service cost 40,658 81,317 Interest expense 21,801 43,602 Total 62,459 124,919 Details of other provisions Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Warranty provision Other provisions 3,122,778 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Warranty provision Other provisions 3,474,671 Disclosure of other provisions Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Warranty provision Current provisions 2,992,097 Non-current provisions 130,681 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Warranty provision Current provisions 3,403,659 Non-current provisions 71,012 Disclosure changes in other provisions Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Warranty provision Beginning balance 3,474,671 Increase 565,252 Decrease (917,145) Ending balance 3,122,778 Description of nature of obligation, other provisions ๋น์ฌ๋ ๋ณด๊ณ ๊ธฐ๊ฐ๋ง ํ์ฌ ํ๋งค๋ ์ํ ๋ฐ ์ ํ์ ๋ํ์ฌ, ๋ณด์ฆ๊ธฐ๊ฐ ๋ด์ ์ ํํฐ์๋น์ค์ ๊ด๋ จ๋ ๋ฏธ ๋ ๊ฒฝ์ ์ ํจ์ต์ ์ ์ถ์ ๋ํ ์ต์ ์ ์ถ์ ์น๋ฅผ ์ถฉ๋น๋ถ์ฑ๋ก ๊ณ์ํ๊ณ ์์ต๋๋ค. ์ด๋ฌํ ์ถ์ ์ ๊ณผ ๊ฑฐ์ ์ค์ ๋ณด์ฆ ๋ฐ์ ๊ฒฝํ๋ฅ ์ ๊ธฐ์ด๋ก ํฉ๋๋ค. DART dart.fss.or.kr Page 170
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19. Share capital and capital surplus Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Warranty provision Beginning balance 6,119,278 Increase 3,067,007 Decrease (5,711,614) Ending balance 3,474,671 Description of nature of obligation, other provisions ๋น์ฌ๋ ๋ณด๊ณ ๊ธฐ๊ฐ๋ง ํ์ฌ ํ๋งค๋ ์ํ ๋ฐ ์ ํ์ ๋ํ์ฌ, ๋ณด์ฆ๊ธฐ๊ฐ ๋ด์ ์ ํํฐ์๋น์ค์ ๊ด๋ จ๋ ๋ฏธ ๋ ๊ฒฝ์ ์ ํจ์ต์ ์ ์ถ์ ๋ํ ์ต์ ์ ์ถ์ ์น๋ฅผ ์ถฉ๋น๋ถ์ฑ๋ก ๊ณ์ํ๊ณ ์์ต๋๋ค. ์ด๋ฌํ ์ถ์ ์ ๊ณผ ๊ฑฐ์ ์ค์ ๋ณด์ฆ ๋ฐ์ ๊ฒฝํ๋ฅ ์ ๊ธฐ์ด๋ก ํฉ๋๋ค. Disclosure of capital Ending of Current Fiscal Year (Half-Year) (Unit : KRW) ใ Ordinary shares Number of shares authorised(Unit: shares) 50,000,000 Par value per share 5,000 Number of ordinary shares(Unit: shares) 26,540,272 Issued capital of common stock 132,701,360,000 Ending of Last Fiscal Year (Unit : KRW) ใ Ordinary shares Number of shares authorised(Unit: shares) 50,000,000 Par value per share 5,000 Number of ordinary shares(Unit: shares) 26,540,272 Issued capital of common stock 132,701,360,000 Details of capital surplus Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Gains sale treasury stock 815,553 Other capital surplus (337,408) Capital surplus 478,145 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Gains sale treasury stock 815,553 DART dart.fss.or.kr Page 171
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20. Other elements of stockholder's equity 21. Accumulated other comprehensive income 22. Retained earnings Other capital surplus (337,408) Capital surplus 478,145 Elements Of Other Stockholder's Equity Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Other capital adjustments (2,926,326) Treasury shares (111,792,902) Total (114,719,228) Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Other capital adjustments (2,926,326) Treasury shares (111,792,902) Total (114,719,228) Disclosure of analysis of other comprehensive income by item Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Reserve of gains and losses from investments in equity instrument (18,381,801) Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Reserve of gains and losses from investments in equity instrument (833,127) Disclosure of composition of retained earnings Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Statutory reserve 27,706,000 Voluntary Reserves 47,514,000 Retained earnings before appropriations(accumulated deficit before disposition) 953,022,744 Retained earnings 1,028,242,744 Ending of Last Fiscal Year (Unit : thousand, KRW) DART dart.fss.or.kr Page 172
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Disclosed Amount Statutory reserve 23,654,000 Voluntary Reserves 47,514,000 Retained earnings before appropriations(accumulated deficit before disposition) 925,715,686 Retained earnings 996,883,686 ๋น์ฌ๋ ์๋ฒ์ ๊ท์ ์ ๋ฐ๋ผ ์๋ณธ๊ธ์ 50%์ ๋ฌํ ๋๊น์ง ๋งค ๊ฒฐ์ฐ๊ธฐ์ ๊ธ์ ์ ์ํ ์ด์ต๋ฐฐ๋น์ก์ 10% ์ด์์ ์ด์ต์ค๋น๊ธ์ผ๋ก ์ ๋ฆฝํ๊ณ ์์ผ๋ฉฐ, ๋ ์ด์ต์ค๋น๊ธ์ ํ๊ธ์ผ๋ก ๋ฐฐ๋นํ ์ ์์ผ๋ฉฐ, ์ฃผ์ฃผ์ด ํ์ ๊ฒฐ์์ ์ํ์ฌ ์ด์๊ฒฐ์๊ธ์ ๋ณด์ ๊ณผ ์๋ณธ์ ์ ์๋ง ์ฌ์ฉ๋ ์ ์์ต๋๋ค. Disclosure of changes in retained earnings Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Retained earnings Beginning balance 996,883,686 Annual dividends (9,533,709) Quarterly dividend (9,533,709) Profit (Loss) for the Period 50,426,476 Other comprehensive income, net of tax, gains (losses) on remeasurements of defined benefit plans 0 Disposal of investments in equity instruments measured at fair value through other comprehensive income 0 Ending balance 1,028,242,744 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Retained earnings Beginning balance 962,690,998 Annual dividends (13,108,849) Quarterly dividend (30,984,554) Profit (Loss) for the Period 76,039,926 Other comprehensive income, net of tax, gains (losses) on remeasurements of defined benefit plans 56,133 Disposal of investments in equity instruments measured at fair value through other comprehensive income 2,190,032 Ending balance 996,883,686 Disclosure of dividends paid DART dart.fss.or.kr Page 173
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23. Operating profit and loss Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Annual dividends Quarterly Dividend Total of Types of dividends [domain] Dividends paid, ordinary shares per share 400 400 Dividends paid, ordinary shares 9,533,509 9,533,509 19,067,018 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Annual dividends Quarterly Dividend Total of Types of dividends [domain] Dividends paid, ordinary shares per share 1,100 300 Dividends paid, ordinary shares 13,108,575 7,150,132 20,258,707 Disclosure of disaggregation of revenue from contracts with customers Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Revenue from contracts with customers 243,531,241 450,539,948 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Revenue from contracts with customers 263,445,868 486,265,950 Disclosure of disaggregation of revenue by geographical markets from contracts with customers Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Geographical areas [domain] ใ Domestic Local export Asia Europe Americas Other countries ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative DART dart.fss.or.kr Page 174
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Reven ue from contra cts with custo mers 33,07 0,731 65,20 1,651 12,58 7,743 17,96 4,596 45,65 8,474 83,16 6,247 92,54 5,869 164,1 23,40 9 0 0 92,54 5,869 164,1 23,40 9 16,29 4,328 29,28 5,897 33,81 0,192 57,48 8,167 50,10 4,520 86,77 4,064 1,361, 675 3,018, 532 0 0 1,361, 675 3,018, 532 48,47 4,916 102,9 23,34 0 3,011, 145 5,729, 064 51,48 6,061 108,6 52,40 4 2,374, 642 4,805, 292 0 0 2,374, 642 4,805, 292 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Geographical areas [domain] ใ Domestic Local export Asia Europe Americas Other countries ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Three month s Cumul ative Reven ue from contra cts with custo mers 39,12 4,938 74,81 0,816 18,11 0,084 28,45 1,926 57,23 5,022 103,2 62,74 2 81,81 1,354 162,3 46,13 9 0 0 81,81 1,354 162,3 46,13 9 14,43 1,572 28,81 7,162 49,71 9,133 70,68 4,080 64,15 0,705 99,50 1,242 1,813, 387 3,830, 217 0 61,19 0 1,813, 387 3,891, 407 56,58 1,230 112,7 09,85 2 622,4 19 2,029, 673 57,20 3,649 114,7 39,52 5 1,231, 751 2,524, 895 0 0 1,231, 751 2,524, 895 Disclosure of disaggregation of revenue by major products/service lines from contracts with customers Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Products and services [domain] ใ Sale of products Sale of goods Provision of services ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 192,334,817 365,394,478 47,671,989 76,351,336 240,006,806 441,745,814 1,738,964 2,840,946 443,170 2,392,310 2,182,134 5,233,256 48,380 1,122,697 1,293,921 2,438,181 1,342,301 3,560,878 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Products and services [domain] ใ Sale of products Sale of goods Provision of services ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] Automotive components segments All other segments Automotive components segments All other segments Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 193,703,652 382,058,174 43,547,661 74,910,715 237,251,313 456,968,889 1,205,430 2,513,273 24,203,657 24,900,331 25,409,087 27,413,604 85,150 467,634 700,318 1,415,823 785,468 1,883,457 Disclosure of disaggregation of revenue by revenue recognition period from contracts with customers DART dart.fss.or.kr Page 175
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Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Timing of transfer of goods or services [domain] ใ Goods or services transferred at point in time Goods or services transferred over time ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] ใ Automotive components segments All other segments Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 194,073,781 368,235,424 48,115,159 78,743,646 242,188,940 446,979,070 48,380 1,122,697 1,293,921 2,438,181 1,342,301 3,560,878 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Timing of transfer of goods or services [domain] ใ Goods or services transferred at point in time Goods or services transferred over time ใ Segments [domain] Total of Segments [domain] Segments [domain] Total of Segments [domain] ใ Automotive components segments All other segments Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 194,909,082 384,571,447 67,751,318 99,811,046 262,660,400 484,382,493 85,150 467,634 700,318 1,415,823 785,468 1,883,457 Disclosure of disaggregation of revenue from contracts with customers, total Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Segments [domain] Total of Segments [domain] Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 194,122,161 369,358,121 49,409,080 81,181,827 243,531,241 450,539,948 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Segments [domain] Total of Segments [domain] Automotive components segments All other segments ใ Three months Cumulative Three months Cumulative Three months Cumulative Revenue from contracts with customers 194,994,232 385,039,081 68,451,636 101,226,869 263,445,868 486,265,950 Disclosure of contract assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Trade receivables 167,772,375 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Trade receivables 180,388,715 DART dart.fss.or.kr Page 176
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Disclosure of contract liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Contract liabilities 8,028,245 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Contract liabilities 13,566,121 Disclosure of trade receivables and contract liabilities arising from contracts with customers Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Trade receivables 167,772,375 Contract liabilities 8,028,245 Revenue that was included in contract liability balance at beginning of period 6,525,000 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Trade receivables 180,388,715 Contract liabilities 13,566,121 Revenue that was included in contract liability balance at beginning of period Disclosure of cost of sales and operating expenses Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Cost of sales from sale of goods product 200,007,559 367,135,049 Beginning balance of finished goods 49,761,981 47,081,924 Cost of inventories 214,260,544 385,656,034 Replacement to other account (171,971) (365,990) Customs refund (3,421,148) (4,815,072) Ending balance of finished goods (60,421,847) (60,421,847) Cost of merchandise sold 1,709,764 2,662,972 DART dart.fss.or.kr Page 177
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Beginning balance of merchandise 12,461,570 813,214 Merchandise purchased of current period 14,158,761 26,760,325 Replacement to other account 0 0 Ending balance of merchandise (24,910,567) (24,910,567) Total 201,717,323 369,798,021 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Cost of sales from sale of goods product 194,839,837 376,972,489 Beginning balance of finished goods 43,442,839 47,793,813 Cost of inventories 197,879,556 378,214,645 Replacement to other account (494,513) (1,138,625) Customs refund (799,105) (2,708,404) Ending balance of finished goods (45,188,940) (45,188,940) Cost of merchandise sold 21,087,525 23,894,077 Beginning balance of merchandise 14,765,332 2,758,743 Merchandise purchased of current period 17,036,453 31,849,594 Replacement to other account (5,963) (5,963) Ending balance of merchandise (10,708,297) (10,708,297) Total 215,927,362 400,866,566 Selling, general and administrative expense Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Salaries wages, selling and general administrative expenses 1,102,419 2,290,505 DART dart.fss.or.kr Page 178
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Provision for severance indemnities, selling and general administrative expenses 70,710 299,270 Employee benefits, selling and general administrative expenses 179,223 356,526 Travel expenses, selling and general administrative expenses 121,242 248,901 Bad debt expenses(Reversal Allowance Doubtful Accounts), selling and general administrative expenses 799,353 1,482,986 Freight expenses, selling and general administrative expenses 2,854,859 5,603,280 Rental expenses, selling and general administrative expenses 2,777 14,835 Taxes dues, selling and general administrative expenses 165,611 312,705 Supply expenses, selling and general administrative expenses 48,935 64,389 Entertainment expenses, selling and general administrative expenses 144,529 285,331 Insurance premiums, selling and general administrative expenses 233,499 464,868 Depreciation expense, selling and general administrative expenses 39,705 79,272 Amortisation expense, selling and general administrative expenses 424,209 848,419 Investment property depreciation expense, selling and general administrative expenses 66,248 134,687 Advertising expenses, selling and general administrative expenses 109,493 900,335 Commissions, selling and general administrative expenses 1,917,934 4,059,703 Training Expenses, selling and general administrative expenses 4,056 8,149 After service fee, selling and general administrative expenses 386,745 565,252 Ordinary development expense, selling and general administrative expenses 5,936,638 11,551,375 Miscellaneous expenses 623,967 1,189,224 Total 15,232,152 30,760,012 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) DART dart.fss.or.kr Page 179
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Carrying amount ใ Disclosed Amount ใ Three months Cumulative Salaries wages, selling and general administrative expenses 1,031,991 2,124,618 Provision for severance indemnities, selling and general administrative expenses 71,917 144,001 Employee benefits, selling and general administrative expenses 181,231 380,645 Travel expenses, selling and general administrative expenses 65,976 170,926 Bad debt expenses(Reversal Allowance Doubtful Accounts), selling and general administrative expenses (73,369) (547,312) Freight expenses, selling and general administrative expenses 2,483,195 4,405,552 Rental expenses, selling and general administrative expenses 14,321 21,825 Taxes dues, selling and general administrative expenses (173,139) 193,445 Supply expenses, selling and general administrative expenses 26,262 45,096 Entertainment expenses, selling and general administrative expenses 139,381 282,833 Insurance premiums, selling and general administrative expenses 245,291 472,289 Depreciation expense, selling and general administrative expenses 38,739 77,420 Amortisation expense, selling and general administrative expenses 423,117 844,052 Investment property depreciation expense, selling and general administrative expenses 0 0 Advertising expenses, selling and general administrative expenses 336,574 957,398 Commissions, selling and general administrative expenses 8,677,368 10,386,008 Training Expenses, selling and general administrative expenses 3,268 13,123 After service fee, selling and general administrative expenses 409,951 2,638,261 DART dart.fss.or.kr Page 180
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24. Expenses by nature Ordinary development expense, selling and general administrative expenses 4,951,654 10,296,864 Miscellaneous expenses 628,053 1,144,219 Total 19,481,781 34,051,263 Expense By Nature Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Changes in inventories of finished goods (13,339,923) Changes in inventories of work-in-process and semi-products (15,389,127) Changes in inventories of merchandise (24,097,353) Raw materials and consumables used 299,334,717 Merchandise purchased 26,760,325 Salaries wages 21,503,590 Termination benefits expense 238,250 Post-employment benefit expense 1,755,157 Employee benefits 3,856,176 Depreciation expense 12,752,875 Amortisation expense 1,239,033 Investment property depreciation expense 134,687 Freight expenses 5,673,422 Commissions 12,144,929 Outsourcing expenses 46,466,964 Other expenses 21,524,311 Total 400,558,033 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Changes in inventories of finished goods 2,604,873 Changes in inventories of work-in-process and semi-products (16,530,095) Changes in inventories of merchandise (7,949,554) Raw materials and consumables used 294,797,476 Merchandise purchased 31,849,594 Salaries wages 21,641,599 Termination benefits expense 0 Post-employment benefit expense 1,796,442 Employee benefits 4,220,190 DART dart.fss.or.kr Page 181
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25. Other income 26. Other expenses Depreciation expense 12,087,310 Amortisation expense 1,149,733 Investment property depreciation expense 0 Freight expenses 4,445,308 Commissions 19,625,239 Outsourcing expenses 44,163,971 Other expenses 21,015,743 Total 434,917,829 Description of expenses by nature ํฌ๊ด์์ต๊ณ์ฐ์ ์์ ๋งค์ถ์๊ฐ์ ํ๋งค๋น์๊ด๋ฆฌ๋น๋ฅผ ํฉ์ฐํ ๊ธ์ก์ ๋๋ค. Other Income Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Gains on disposals of property, plant and equipment 10,869 16,403 Miscellaneous Income 5,001 6,015 Total 15,870 22,418 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Gains on disposals of property, plant and equipment 31,822 39,650 Miscellaneous Income 67,340 1,502,395 Total 99,162 1,542,045 Other expenses Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative DART dart.fss.or.kr Page 182
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27. Finance income and expense Losses on disposals of property, plant and equipment 7,170 7,170 Write-downs of property, plant and equipment 0 0 Donations 12,000 21,000 Miscellaneous Losses 2,755 2,979 Total 21,925 31,149 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Losses on disposals of property, plant and equipment 90 95 Write-downs of property, plant and equipment 0 529,467 Donations 24,000 26,000 Miscellaneous Losses 38 89 Total 24,128 555,651 Finance Income And Finance Cost Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Interest income 2,314,163 5,062,958 Dividend income 0 97,238 Gains on foreign currency transactions 3,402,695 8,105,749 Gains on foreign exchange translations 952,822 6,152,955 Gains on disposals of fair value financial asset 0 0 Finance income, total 6,669,680 19,418,900 Interest expense 367 774 Losses on foreign currency transactions 551,347 1,868,608 Losses on foreign exchange translations 671,477 1,123,412 Losses on disposals of fair value financial asset 0 0 Losses on valuation of fair value financial asset 0 0 Finance expense, total 1,223,191 2,992,794 DART dart.fss.or.kr Page 183
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28. Corporate tax 29. Earnings per share Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Interest income 3,206,966 7,021,366 Dividend income 0 432,681 Gains on foreign currency transactions 1,680,143 2,255,215 Gains on foreign exchange translations (496,285) 639,822 Gains on disposals of fair value financial asset 436,255 521,013 Finance income, total 4,827,079 10,870,097 Interest expense 268 605 Losses on foreign currency transactions 6,173,073 7,378,823 Losses on foreign exchange translations 6,348,321 6,880,107 Losses on disposals of fair value financial asset 0 178,335 Losses on valuation of fair value financial asset (207,033) 0 Finance expense, total 12,314,629 14,437,870 Reconciliation of accounting profit multiplied by applicable tax rates Current Fiscal Year (Half-Year) ใ Disclosed Amount Average effective tax rate 0.2406 Quarter (or Half-Year) of Last Fiscal Year ใ Disclosed Amount Average effective tax rate 0.2300 Description of the Measurement and Recognition of Income Tax Expense [text block] ๋ฒ์ธ์ธ๋น์ฉ์ ๋น๊ธฐ๋ฒ์ธ์ธ๋น์ฉ์์ ๊ณผ๊ฑฐ๊ธฐ๊ฐ ๋น๊ธฐ๋ฒ์ธ์ธ์ ๋ํ์ฌ ๋น๊ธฐ์ ์ธ์ํ ์กฐ์ ์ฌํญ, ์ผ์์ ์ฐจ์ด์ ๋ฐ์๊ณผ ์๋ฉธ๋ก ์ธํ ์ด์ฐ๋ฒ์ธ์ธ๋น์ฉ(์์ต) ๋ฐ ๋น๊ธฐ์์ต ์ด์ธ๋ก ์ธ์๋๋ ํญ๋ชฉ๊ณผ ๊ด๋ จ๋ ๋ฒ์ธ ์ธ๋น์ฉ์ ์กฐ์ ํ์ฌ ์ฐ์ถํ์์ต๋๋ค. Earnings per share Current Fiscal Year (Half-Year) (Unit : KRW) DART dart.fss.or.kr Page 184
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Type of shares ใ Ordinary shares ใ Three months Cumulative Profit (loss), attributable to ordinary equity holders of parent entity, used in calculating basic earnings per share 24,325,905,240 50,426,475,543 Weighted average number of ordinary shares used in calculating basic earnings per share(Unit shares) 23,834,272 23,834,272 Basic earnings per share 1,021 2,116 Quarter (or Half-Year) of Last Fiscal Year (Unit : KRW) ใ Type of shares ใ Ordinary shares ใ Three months Cumulative Profit (loss), attributable to ordinary equity holders of parent entity, used in calculating basic earnings per share 15,969,867,785 37,552,041,305 Weighted average number of ordinary shares used in calculating basic earnings per share(Unit shares) 23,834,272 23,834,272 Basic earnings per share 670 1,576 Weighted average number of ordinary shares used in calculating basic earnings per share Current Fiscal Year (Half-Year) ใ Type of shares ใ Ordinary shares ใ Three months Cumulative Number of ordinary shares (Unit: shares) 26,540,272 26,540,272 Number of treasury shares (Unit shares) (2,706,000) (2,706,000) Weighted average number of ordinary shares used in calculating basic earnings per share(Unit shares) 23,834,272 23,834,272 Quarter (or Half-Year) of Last Fiscal Year ใ Type of shares ใ Ordinary shares ใ Three months Cumulative Number of ordinary shares (Unit: shares) 26,540,272 26,540,272 Number of treasury shares (Unit shares) (2,706,000) (2,706,000) DART dart.fss.or.kr Page 185
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30. Cash flow statement Weighted average number of ordinary shares used in calculating basic earnings per share(Unit shares) 23,834,272 23,834,272 Cash flows from (used in) operating activities Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Profit (loss) 50,426,476 Adjustments 20,526,808 Income tax expense 15,972,814 Interest expense 774 Losses on foreign exchange translations 1,123,412 Loss on disposal of equity securities measured at fair value through profit or loss 0 Losses on disposition of property plant and equipment 7,170 Impairment losses of property plant and equipment 0 Depreciation expense 12,752,875 Amortisation expense 1,239,033 Investment property depreciation expense 134,687 Depreciation of right-of-use assets 7,698 Provision for severance indemnities 808,229 Bad debt expenses(Reversal Allowance Doubtful Accounts) 1,482,986 Write-downs of inventories 0 Reversals of inventories (2,238,568) After-sales service fee 565,252 Interest income (5,062,958) Dividend income (97,238) Gain on foreign exchange translations (6,152,955) Gain on disposal of equity securities measured at fair value through profit or loss 0 Gain on disposition of tangible assets (16,403) Adjustments for assets and liabilities of operating activities (19,960,682) Adjustments for decrease (increase) in trade accounts receivable 13,553,373 DART dart.fss.or.kr Page 186
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Adjustments for decrease (increase) in other receivables (7,572,395) Adjustments for decrease (increase) in inventories (48,139,356) Adjustments for decrease (increase) in advance payments (134,747) decrease (increase) in prepaid expenses 373,426 Adjustments for increase (decrease) in trade accounts payable 35,085,337 Adjustments for increase (decrease) in other payables (3,626,686) Adjustments for increase (decrease) in accrued Expenses 3,138,336 Adjustments for increase (decrease) in withholdings Banks (252,513) Adjustments for increase (decrease) in long- term other payables 201,914 Adjustments for increase (decrease) in long- term warranty provision (917,145) increase (decrease) in contract liabilities (5,537,876) Cash outflow for severance pay (6,167,915) Adjustments for decrease in plan assets 35,565 Total 50,992,602 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Profit (loss) 37,552,041 Adjustments 23,195,529 Income tax expense 11,214,701 Interest expense 605 Losses on foreign exchange translations 6,880,107 Loss on disposal of equity securities measured at fair value through profit or loss 178,335 Losses on disposition of property plant and equipment 95 Impairment losses of property plant and equipment 529,467 Depreciation expense 12,087,310 Amortisation expense 1,149,733 Investment property depreciation expense 0 Depreciation of right-of-use assets 10,417 DART dart.fss.or.kr Page 187
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31. Non-cash transactions Provision for severance indemnities 831,845 Bad debt expenses(Reversal Allowance Doubtful Accounts) (547,312) Write-downs of inventories 0 Reversals of inventories (3,123,503) After-sales service fee 2,638,261 Interest income (7,021,366) Dividend income (432,681) Gain on foreign exchange translations (639,822) Gain on disposal of equity securities measured at fair value through profit or loss (521,013) Gain on disposition of tangible assets (39,650) Adjustments for assets and liabilities of operating activities 7,383,573 Adjustments for decrease (increase) in trade accounts receivable 1,421,311 Adjustments for decrease (increase) in other receivables (155,095) Adjustments for decrease (increase) in inventories (17,057,253) Adjustments for decrease (increase) in advance payments (1,004,722) decrease (increase) in prepaid expenses 377,759 Adjustments for increase (decrease) in trade accounts payable 29,006,809 Adjustments for increase (decrease) in other payables (3,145,531) Adjustments for increase (decrease) in accrued Expenses 3,500,151 Adjustments for increase (decrease) in withholdings Banks (478,928) Adjustments for increase (decrease) in long- term other payables 124,919 Adjustments for increase (decrease) in long- term warranty provision (2,240,640) increase (decrease) in contract liabilities (757,677) Cash outflow for severance pay (2,215,245) Adjustments for decrease in plan assets 7,715 Total 68,131,143 DART dart.fss.or.kr Page 188
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32. Financial instruments by category Disclosure of major non-cash transactions not included in the cash flow statement Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Disclosed Amount Increase(decrease) in payables due to acquisition of tangible asset, non-cash transaction (6,002,170) Transfers from construction-in-progress to property, plant and equipment, non-cash transactions 9,241,405 Increase(Decrease) in Receivables from Disposal of Tangible Assets (365,121) Total 2,874,114 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Disclosed Amount Increase(decrease) in payables due to acquisition of tangible asset, non-cash transaction (3,152,298) Transfers from construction-in-progress to property, plant and equipment, non-cash transactions 6,290,512 Increase(Decrease) in Receivables from Disposal of Tangible Assets 0 Total 3,138,214 Disclosure Of Financial Assets By Category Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) Financial assets measured at amortized cost Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Cash and cash equivalents 143,071,930 0 0 Short-term deposits, not classified as cash equivalents 177,968,350 0 0 Trade and other current receivables 173,151,305 0 0 Current financial assets, total 494,191,585 0 0 Long-term deposits not classified as cash equivalents 3,000 0 0 Long-term financial assets 0 40,765,055 1,525,643 Trade and other non-current receivables 544,824 0 0 Non-current financial assets, total 547,824 40,765,055 1,525,643 Total 494,739,409 40,765,055 1,525,643 Ending of Last Fiscal Year (Unit : thousand, KRW) DART dart.fss.or.kr Page 189
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Financial assets measured at amortized cost Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Cash and cash equivalents 205,537,945 0 0 Short-term deposits, not classified as cash equivalents 221,380,010 0 0 Trade and other current receivables 187,567,400 0 0 Current financial assets, total 614,485,355 0 0 Long-term deposits not classified as cash equivalents 3,000 0 0 Long-term financial assets 0 3,310,322 1,512,853 Trade and other non-current receivables 611,408 0 0 Non-current financial assets, total 614,408 3,310,322 1,512,853 Total 615,099,763 3,310,322 1,512,853 Description of trade and other receivables among financial assets by category ๋ถ๊ฐ์ธ๋ฏธ์๊ธ์ ์ ์ธํ ๊ธ์ก์ ๋๋ค. Disclosure of financial liabilities by category Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Financial liabilities at amortised cost Trade and other current payables 206,359,355 Trade and other non-current payables 136,812 Total 206,496,167 Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Financial liabilities at amortised cost Trade and other current payables 178,982,907 Trade and other non-current payables 144,788 Total 179,127,695 Description of trade and other payables among financial liabilities by category ์ข ์ ์๊ธ์ฌ ๊ด๋ จ ์ฑ๋ฌด๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. Gains (losses) on financial Instruments by categories Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Assets and liabilities [domain] Total of Assets and liabilities [domain] ใ Categories of financial assets [domain] Categories of financial liabilities [domain] Financial assets measured at amortized Financial assets measured at fair value through other Financial assets measured at FVTPL Financial liabilities at amortised cost DART dart.fss.or.kr Page 190
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cost comprehensive income Bad debt expenses(Revers al) 1,482,986 0 0 0 1,482,987 Interest income 5,062,958 0 0 0 5,062,958 Dividend Income 0 84,447 12,791 0 97,238 Gains on foreign currency transactions 7,808,420 0 0 297,329 8,105,749 Gains on foreign exchange translations 6,128,839 0 0 24,116 6,152,955 Gains on disposals of fair value financial asset 0 0 0 0 0 Finance income, total 19,000,217 84,447 12,791 321,445 19,418,900 Interest expense 0 0 0 774 774 Losses on foreign currency transactions 633,154 0 0 1,235,454 1,868,608 Losses on foreign exchange translations 13,405 0 0 1,110,007 1,123,412 Losses on disposals of fair value financial asset 0 0 0 0 0 Finance expense, total 646,559 0 0 2,346,235 2,992,794 Net financial profit and loss 16,870,672 84,447 12,791 (2,024,790) 14,943,120 Other comprehensive income, net of tax, change in fair value of investments in equity instruments 0 (23,151,285) 0 0 (23,151,285) Comprehensive profit(loss) 16,870,672 (23,066,838) 12,791 (2,024,790) (8,208,165) Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Assets and liabilities [domain] Total of Assets and liabilities [domain]ใ Categories of financial assets [domain] Categories of financial liabilities [domain] DART dart.fss.or.kr Page 191
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33. Risk management Financial assets measured at amortized cost Financial assets measured at fair value through other comprehensive income Financial assets measured at FVTPL Financial liabilities at amortised cost Bad debt expenses(Reversa l) (547,312) 0 0 0 (547,312) Interest income 7,021,366 0 0 0 7,021,366 Dividend Income 0 325,540 107,141 0 432,681 Gains on foreign currency transactions 2,000,657 0 0 254,558 2,255,215 Gains on foreign exchange translations 130,024 0 0 509,798 639,822 Gains on disposals of fair value financial asset 0 0 521,013 0 521,013 Finance income, total 9,152,047 325,540 628,154 764,356 10,870,097 Interest expense 0 0 0 605 605 Losses on foreign currency transactions 7,303,520 0 0 75,303 7,378,823 Losses on foreign exchange translations 6,876,799 0 0 3,308 6,880,107 Losses on disposals of fair value financial asset 0 0 178,335 0 178,335 Finance expense, total 14,180,319 0 178,335 79,216 14,437,870 Net financial profit and loss (4,480,960) 325,540 449,819 685,140 (3,020,461) Other comprehensive income, net of tax, change in fair value of investments in equity instruments 0 3,655,712 0 0 3,655,712 Comprehensive profit(loss) (4,480,960) 3,981,252 449,819 685,140 635,251 ๋น์ฌ์ ์ฌ๋ฌด์ํ๊ด๋ฆฌ ๋ชฉ์ ๊ณผ ์ ์ฑ ์ 2025๋ 12์ 31์ผ๋ก ์ข ๋ฃ๋๋ ํ๊ณ์ฐ๋์ ๋์ผํฉ๋๋ค. DART dart.fss.or.kr Page 192
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Disclosure of financial assets Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial assets [domain] Financial assets at fair value, class Financial assets at amortised cost, class Long-term financial assets Cash and cash equivalents Short-term financial instruments Trade and other receivables Long-term financial instruments Long-term trade and other receivables Financial assets 42,290,698 143,071,930 177,968,350 173,151,305 3,000 544,824 Financial assets, at fair value 42,290,698 143,071,930 177,968,350 173,151,305 3,000 544,824 Description of carrying amount and fair value of financial assets ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์ฅ ๊ธฐ๊ธ์ต์์ฐ ์ค ๋น๊ธฐ ์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ฑ๋ฌด์ฆ๊ถ์ ๊ณต์ ๊ฐ์น ๋ฅผ ๊ฒฐ์ ํ๊ธฐ ์ํด ์ด ์ฉํ ์ ์๋ ์ ๋ณด๊ฐ ๋ถ์ถฉ๋ถํ๊ณ ๊ฐ๋ฅํ ๊ณต์ ๊ฐ์น ์ธก์ ์น์ ๋ฒ์๊ฐ ๋์ผ๋ฏ๋ก, ๊ทธ ๋ฒ์ ๋ด์์ ์ทจ๋์ ๊ฐ์ ์๋ณธ์ ์ ์ ๋ ๋ฐฐ๋น์์ต์ ๊ฐ์ฐํ ๋์ ๊ธ์ก์ ๊ณต์ ๊ฐ์น ์ ์ต์ ์ ์ถ์ ์น๋ก ๊ฐ์ฃผํ์ฌ ์๊ฐ๋ฅผ ๊ณต ์ ๊ฐ์น๋ก ํ์์ต๋๋ค . ๋ถ๊ฐ์ธ๋ฏธ์๊ธ์ ์ ์ธ ํ ๊ธ์ก์ ๋๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial assets [domain] Financial assets at fair value, class Financial assets at amortised cost, class Long-term financial assets Cash and cash equivalents Short-term financial instruments Trade and other receivables Long-term financial instruments Long-term trade and other receivables Financial assets 4,823,175 205,537,945 221,380,010 187,567,400 3,000 611,408 Financial assets, at fair value 4,823,175 205,537,945 221,380,010 187,567,400 3,000 611,408 DART dart.fss.or.kr Page 193
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Description of carrying amount and fair value of financial assets ์ ๊ธฐ๋ง ์ฅ๊ธฐ๊ธ์ต์์ฐ ์ค ๋น๊ธฐ์์ต-๊ณต์ ๊ฐ ์น์ธก์ ์ฑ๋ฌด์ฆ๊ถ์ ๊ณต ์ ๊ฐ์น๋ฅผ ๊ฒฐ์ ํ๊ธฐ ์ํด ์ด์ฉํ ์ ์๋ ์ ๋ณด๊ฐ ๋ถ์ถฉ๋ถํ๊ณ ๊ฐ๋ฅํ ๊ณต์ ๊ฐ์น ์ธก ์ ์น์ ๋ฒ์๊ฐ ๋์ผ ๋ฏ๋ก, ๊ทธ ๋ฒ์ ๋ด์์ ์ทจ๋์๊ฐ์ ์๋ณธ์ ์ ์ ๋ ๋ฐฐ๋น์์ต์ ๊ฐ์ฐํ ๋์ ๊ธ์ก์ ๊ณต์ ๊ฐ์น์ ์ต์ ์ ์ถ์ ์น๋ก ๊ฐ์ฃผํ์ฌ ์๊ฐ๋ฅผ ๊ณต์ ๊ฐ์น๋ก ํ์์ต๋๋ค. ๋ถ๊ฐ์ธ๋ฏธ์๊ธ์ ์ ์ธ ํ ๊ธ์ก์ ๋๋ค. Disclosure of subtotal and total of financial assets Ending of Current Fiscal Year (Half- Year) (Unit : thousand, KRW) Financial assets at fair value, class Financial assets at amortised cost, class Total of Classes of financial assets [domain] Financial assets 42,290,698 494,739,409 537,030,107 Financial assets, at fair value 42,290,698 494,739,409 537,030,107 Description of carrying amount and fair value of financial assets ์๊ฐํ์๊ฐ๋ก ์ธก์ ๋๋ ๊ธ์ต์์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ ๋ ๊ณต์ ๊ฐ์น๊ฐ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ทผ์ฌํฉ๋๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) Financial assets at fair value, class Financial assets at amortised cost, class Total of Classes of financial assets [domain] Financial assets 4,823,175 615,099,763 619,922,938 Financial assets, at fair value 4,823,175 615,099,763 619,922,938 Description of carrying amount and fair value of financial assets ์๊ฐํ์๊ฐ๋ก ์ธก์ ๋๋ ๊ธ์ต์์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ ๋ ๊ณต์ ๊ฐ์น๊ฐ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ทผ์ฌํฉ๋๋ค. Disclosure of financial liabilities Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Classes of financial liabilities [domain] Total of Classes of financial liabilities [domain] ใ Financial liabilities at amortised cost, class ใ Trade and other payables Long-term trade and other DART dart.fss.or.kr Page 194
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34. Related party payables Financial liabilities 206,343,569 115,900 206,459,469 Financial liabilities, at fair value 206,343,569 115,900 206,459,469 Description of carrying amount and fair value of financial liabilities ๋ฆฌ์ค๋ถ์ฑ ๋ฐ ์ข ์ ์๊ธ์ฌ ๊ด๋ จ ์ฑ ๋ฌด๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. ๋ฆฌ์ค๋ถ์ฑ ๋ฐ ์ข ์ ์๊ธ์ฌ ๊ด๋ จ ์ฑ๋ฌด๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. ์๊ฐํ์๊ฐ๋ก ์ธก์ ๋๋ ๊ธ์ต์ ์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ๋ ๊ณต์ ๊ฐ์น๊ฐ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ทผ์ฌํฉ๋๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Classes of financial liabilities [domain] Total of Classes of financial liabilities [domain] ใ Financial liabilities at amortised cost, class ใ Trade and other payables Long-term trade and other payables Financial liabilities 178,967,450 115,900 179,083,350 Financial liabilities, at fair value 178,967,450 115,900 179,083,350 Description of carrying amount and fair value of financial liabilities ๋ฆฌ์ค๋ถ์ฑ ๋ฐ ์ข ์ ์๊ธ์ฌ ๊ด๋ จ ์ฑ๋ฌด๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. ๋ฆฌ์ค๋ถ์ฑ ๋ฐ ์ข ์ ์๊ธ์ฌ ๊ด๋ จ ์ฑ๋ฌด๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. ์๊ฐํ์๊ฐ๋ก ์ธก์ ๋๋ ๊ธ์ต์ ์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ๋ ๊ณต์ ๊ฐ์น๊ฐ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ทผ์ฌํฉ๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ๋น์ฌ์ ์ง๋ฐฐใ์ข ์๊ธฐ์ , ๊ธฐํ ํน์๊ด๊ณ์ ํ์ฌ์ ๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ๊ตฌ ๋ถ ํ์ฌ๋ช ์ง๋ฐฐ๊ธฐ์ ใSNTํ๋ฉ์ค ์ข ์๊ธฐ์ ใSNT๋ก๋ณดํฑ์ค SNT Global INC. SNT USA Ltd. SNT Defense LLC SNT Property LLC SNT America Ltd. SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ SNT Motiv India Private Ltd. SNT Daewoo India Private Ltd. ๊ธฐํ ํน์๊ด๊ณ์ SNT์๋์งใ SNT๋ค์ด๋ด๋ฏน์คใ SNT AMTใ SNT์๋ฃจ์ ใ SNT Gulf for Industry Co., Ltd. SNT Energy Solutions LLC ๊ด์ฃผSNT๋๋ ฅ๊ธฐ๊ณ์ ํ๊ณต์ฌ DART dart.fss.or.kr Page 195
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SNT Polska Sp. z o.o. ๊ฐ์SNT๊ธฐ์ฐจ๋ฐฐ๊ฑด์ ํ๊ณต์ฌ ใSNT์ ์ถ์ํ (์ฌ)์ดํด์ฅํ์ฌ๋จ ๋น์ฌ์ ์ง๋ฐฐ๊ธฐ์ ์ ใSNTํ๋ฉ์ค์ด๋ฉฐ, ์ต์์ ์ง๋ฐฐ์๋ ์ตํ๊ท์ ๋๋ค. Disclosure of transactions between related parties Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Categories of related parties [domain] Total of Categories of related parties [domain] ใ Total for all related parties ใ Parent Total for all subsidiaries Other related parties SNT Holdings CO.,LTD SNT ROBOTICS Co., LTD. SNT Defense LLC SNT America Ltd. SNT Daewoo (Kunshan) Co., Ltd. SNT Motiv India Private Ltd. SNTEnergy Co.,Ltd. SNT DYNAMICS CO.,Ltd SNT AMT Co., Ltd. SNT Solution Co., Ltd. Woon Hae Institute Co., Ltd. SNT Savings Bank Co., Ltd. Revenue and others, related party transactions 97,661 112,095 0 0 2,664,023 735,761 114,535 1,772,833 2,106,529 4,587 0 156,933 7,764,957 Purchases of inventories, related party transactions 0 0 0 0 1,690,228 0 0 24,161,151 0 0 0 0 25,851,379 Purchases of tangible assets, related party transactions 0 0 34,675 0 0 0 0 0 0 742,089 0 0 776,764 Purchases of others, related party transactions 887,386 24,300 74,416 515,631 244,567 3,443 0 778,273 28,541,753 1,621,653 0 0 32,691,422 Dividends paid, related party transactions 9,580,000 Investment funds, special related party transactionsINR ใ ใ ใ ใ ใ 82,000,000 DART dart.fss.or.kr Page 196
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Description of transactions with related party ์ง๋ฐฐ๊ธฐ์ ์ธ ใ SNTํ๋ฉ์ค์ ์ง ๊ธํ ๋ฐฐ๋น๊ธ์ ๋น ๊ธฐ ๋ฐ๊ธฐ์ 9,580๋ฐฑ๋ง์์ ๋ ๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ๋น์ฌ๊ฐ ใSNTํ ๋ฉ์ค๋ก๋ถํฐ ์ทจ๋ ํ ์ข ์๊ธฐ์ ํฌ์ ์ฃผ์ 30,048๋ฐฑ๋ง ์์ ์๊ธฐ ํน์๊ด ๊ณ์ ๊ฑฐ๋๋ด์ญ์ ํฌํจ๋์ด ์์ง ์ ์ต๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ๋น ์ฌ๊ฐ SNT Motiv India Private Ltd.์ ์ถ๊ฐ๋ก ์ถ ์ํ ํฌ์๊ธ์ INR 82,000,000์ ๋ ๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ์ฒญ ์ฐ์ ์ฐจ์ ๋ฐ๋ผ ์ ์ฌ์ฌ์ฐ ๋ถ๋ฐฐ๊ฐ ์ ๋ฃ๋์ด ํน์๊ด๊ณ ์์์ ์ ์ธ๋์ ์ต๋๋ค. Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of related parties [domain] Total of Categories of related parties [domain] ใ Total for all related parties ใ Parent Total for all subsidiaries Other related parties SNT Holdings CO.,LTD SNT ROBOTICS Co., LTD. SNT Defense LLC SNT America Ltd. SNT Daewoo (Kunshan) Co., Ltd. SNT Motiv India Private Ltd. SNTEnergy Co.,Ltd. SNT DYNAMICS CO.,Ltd SNT AMT Co., Ltd. SNT Solution Co., Ltd. Woon Hae Institute Co., Ltd. SNT Savings Bank Co., Ltd. Revenue and others, related party transactions 0 0 0 0 2,705,915 11,635,668 3,300 590,200 1,374,001 4,227 0 166,781 16,480,092 Purchases of inventories, related party transactions 0 0 0 0 5,348,544 0 0 20,466,025 1,058,022 21,000 0 0 26,893,591 Purchases of tangible assets, related party transactions 0 0 0 0 0 0 0 0 0 237,207 0 0 237,207 Purchases of others, related party transactions 940,036 0 0 518,301 49,404 0 0 745,674 23,442,204 1,363,185 18,000 0 27,076,804 Dividends paid, related party transactions 10,179,000 Investment funds, special related party transactionsINR DART dart.fss.or.kr Page 197
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Description of transactions with related party ์ง๋ฐฐ๊ธฐ์ ์ธ ใ SNTํ๋ฉ์ค์ ์ง ๊ธํ ๋ฐฐ๋น๊ธ์ ์ ๊ธฐ ๋ฐ๊ธฐ์ 10,179๋ฐฑ๋ง์์ ๋๋ค. Disclosure of outstanding balances for related party transactions Ending of Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Categories of related parties [domain] Total of Categories of related parties [domain] ใ Total for all related parties ใ Parent Total for all subsidiaries Other related parties SNT Holdings CO.,LTD SNT ROBOTICS Co., LTD. SNT America Ltd. SNT Daewoo (Kunshan) Co., Ltd. SNT Motiv India Private Ltd. SNT Daewoo India Private Ltd. SNT DYNAMICS CO.,Ltd SNT AMT Co., Ltd. SNT Solution Co., Ltd. SNT Savings Bank Co., Ltd. Trade receivables, related party transactions 0 6,964 0 805,683 2,880,024 109,638 0 0 0 0 3,802,309 Other receivables, related party transactions 0 1,999 0 0 40,310 0 130,000 0 0 0 172,309 Trade payables, related party transactions 0 0 0 589,528 0 0 29,717,530 0 0 0 30,307,058 Other payables, related party transactions 527,904 0 83,612 0 0 0 1,257,313 9,753,147 1,216,412 0 12,838,388 Description of transactions with related party ์ ์ก ์์์ผ๋ก ๋์์ถฉ๋น๊ธ ์ค์ ๋์ด ์์ผ๋ฉฐ, ๋ถ ์ค์ฑ๊ถ์ผ๋ก ๋ถ๋ฅ ํ๊ณ ์์ต๋๋ค. Ending of Last Fiscal Year (Unit : thousand, KRW) ใ Categories of related parties [domain] Total of Categories of related parties [domain] ใ Total for all related parties ใ Parent Total for all subsidiaries Other related parties SNT Holdings CO.,LTD SNT ROBOTICS Co., LTD. SNT America Ltd. SNT Daewoo (Kunshan) Co., Ltd. SNT Motiv India Private Ltd. SNT Daewoo India Private Ltd. SNT DYNAMICS CO.,Ltd SNT AMT Co., Ltd. SNT Solution Co., Ltd. SNT Savings Bank Co., Ltd. Trade receivables, related party transactions 0 0 0 1,177,892 2,079,216 107,485 0 0 0 0 3,364,593 DART dart.fss.or.kr Page 198
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Other receivables, related party transactions 0 0 0 365,121 37,523 0 156,000 0 135,000 15,097,972 15,791,616 Trade payables, related party transactions 0 0 0 608,731 0 0 11,105,954 0 0 0 11,714,685 Other payables, related party transactions 622,421 0 80,291 0 0 0 592,250 9,515,804 1,250,011 0 12,060,777 Description of transactions with related party ์ ์ก ์์์ผ๋ก ๋์์ถฉ๋น๊ธ ์ค์ ๋์ด ์์ผ๋ฉฐ, ๋ถ ์ค์ฑ๊ถ์ผ๋ก ๋ถ๋ฅ ํ๊ณ ์์ต๋๋ค. Disclosure of financial transactions between related parties [table] ใ (Unit : thousand, KRW) ใ Short-term loan Long-term loan Total of Classes of financial instruments [domain] Beginning balance 28,832 432,770 461,602 Loan transactions, lending 0 30,000 30,000 Loan transactions, collection (20,165) (50,250) (70,415) Loan transactions, transfer 25,334 (25,334) 0 Ending balance 34,001 387,186 421,187 Description of transactions with related party ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์กด์ฌํ๋ ํน ์๊ด๊ณ์์ ๋ํ ๋์ฌ๊ธ ์ ๋ชจ๋ ์ข ์ ์์ ๋ํ ๋์ฌ๊ธ์ ๋๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์กด์ฌํ๋ ํน ์๊ด๊ณ์์ ๋ํ ๋์ฌ๊ธ ์ ๋ชจ๋ ์ข ์ ์์ ๋ํ ๋์ฌ๊ธ์ ๋๋ค. Disclosure of transactions in financial instruments between related parties ใ (Unit : thousand, KRW) ใ Parent Shareholder of a controlling company Name of the investment stock (์ฃผ)์ค๋งฅ (์ฃผ)์ค๋งฅ Types of Financial Products ๊ธฐํํฌ๊ด์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ง๋ถ์ฆ๊ถ ๊ธฐํํฌ๊ด์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ง๋ถ์ฆ๊ถ DART dart.fss.or.kr Page 199
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35. Contingent liabilities and commitments Transaction Type ์ง๋ถ์ฆ๊ถ ๋งค์ ์ง๋ถ์ฆ๊ถ ๋งค์ Trading shareholding ratio 12.84 7.61 Number of traded shares 8,763,140 5,197,192 Transaction amount 38,032,028 22,555,813 Disclosure of key management personnel compensation Current Fiscal Year (Half-Year) (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Key management personnel compensation, short-term employee benefits 193,270 333,290 Key management personnel compensation, post-employment benefits 7,158 14,317 Total 200,428 347,607 Quarter (or Half-Year) of Last Fiscal Year (Unit : thousand, KRW) ใ Carrying amount ใ Disclosed Amount ใ Three months Cumulative Key management personnel compensation, short-term employee benefits 124,439 335,310 Key management personnel compensation, post-employment benefits 6,733 17,686 Total 131,172 352,996 Description of key management ๋น์ฌ์ ์ฃผ์ ๊ฒฝ์์ง์๋ ๋ฑ๊ธฐ์์์ธ ์ด์ฌ(๋ ๋ฆฝ์ด์ฌ ํฌํจ) ๋ฐ ๊ฐ์ฌ๋ฅผ ํฌํจํ์์ต๋๋ค. Disclosure of commitments ใ (Unit : thousand, KRW) ใ Types of commitments [domain] ใ Line of credit agreement Transaction agreement ใ Payment guarantee in foreign currency Performance guarantee Performance bond ใ Counterparties [domain] Korea Development Bank Woori Bank KB Kookmin Bank SHINHAN BANK Defense Industry Mutual Aid Association Seoul Guarantee Insurance Korea Development Bank Woori Bank KB Kookmin Bank SHINHAN BANK Defense Industry Mutual Aid Association Seoul Guarantee Insurance Korea Development Bank Woori Bank KB Kookmin Bank SHINHAN BANK Defense Industry Mutual Aid Association Seoul Guarantee Insurance Commitments amount USD 10,000 4,000 15,000 25,097 0 0 DART dart.fss.or.kr Page 200
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Commitments amount ใ ใ ใ ใ ใ ใ 0 0 0 0 198,333,645 19,689,924 Utilized Amount Of Credit Facilities (USD)_ 0 0 3,944 13,789 0 0 Utilized Amount Of Credit Facilities (KRW) ใ ใ ใ ใ ใ ใ 0 0 0 0 4,508,352 19,689,924 Type of notes provided ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ๋ฐฑ์ง์ด์ Number of notes provided(Unit: sheets) ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ ใ 1 Description of commitments ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ ์ฌ ๋น์ฌ๋ ํ๋ ์ฝ์ ๊ณผ ๊ด๋ จํ์ฌ ํ๊ตญ์ฐ์ ์ํ์ ๋น์ฌ์ ํ ์ง์ ๊ฑด๋ฌผ ๋ฐ ๊ธฐ๊ณ์ฅ ์น(์ฅ๋ถ๊ฐ์ก: 303,049๋ฐฑ๋ง์, ๋ด๋ณด์ค์ ๊ธ์ก: 40,000๋ฐฑ๋ง์ )๋ฅผ ๋ด๋ณด๋ก ์ ๊ณต ํ๊ณ ์์ต๋๋ค. Disclosure of assets pledged as security related to commitments ใ (Unit : million, KRW) ใ Land, buildings, machinery and others Property, plant and equipment, pledged as security 303,049 Collateral amount 40,000 Name Of Secured Creditor ํ๊ตญ์ฐ์ ์ํ Disclosure of Legal Proceedings Contingent Liability [table] ใ (Unit : million, KRW) ใ Classes of contingent liabilities [domain] ใ Legal proceedings contingent liability ใ Classes of Legal Proceedings Contingent Liability [domain] DART dart.fss.or.kr Page 201
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36. Subsequent Events 6. Matters related to dividends ๊ฐ. ํ์ฌ์ ๋ฐฐ๋น์ ์ฑ ์ ๊ดํ ์ฌํญ ใ Defendant in lawsuits Plaintiff in lawsuits ใ Counterparties [domain] ใ EOSYSTEM Co., Ltd. Defense Acquisition Program Administration EOSYSTEM Co., Ltd. Defense Acquisition Program Administration Litigation Amount 46,536 0 0 63,069 Indication of uncertainties of amount or timing of outflows, contingent liabilities ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ K11 ๋ณตํฉํ ์์ด ๋ฉํ ๊ณ์ฝ ํด์ ์ ๊ด๋ จํ์ฌ ใ์ด์ค์ ์คํ ์ด ๋น์ฌ๋ฅผ ์ ๋๋ก ์ ๊ธฐํ 46,536๋ฐฑ๋ง์์ ์ ํด๋ฐฐ์์์ก๊ณผ ์ด์ ๋น์ฌ๊ฐ ๊ณ์ฝ์๋๋ฐฉ ์ธ ๋ฐฉ์์ฌ์ ์ฒญ์ ์๋๋ก ์ ๊ธฐํ 63,069๋ฐฑ๋ง์์ ์ ํด๋ฐฐ์์์ก์ด ์กด์ฌ ํฉ๋๋ค. ์ ํ์์ก ์ธ ๋ฐฉ์์ฌ์ ์ฒญ๊ณผ์ ์์ก๋ณด๋ค ๋จผ์ ์ด ์ค์์คํ ๊ณผ์ ์์ก 1์ฌ ํ๊ฒฐ ์ ๊ณ ๊ฐ ํ ์ ๋ ์๋ ์๋ ์ ํฉ์ด๋ฏ๋ก ์ด์ค์์ค ํ ๊ณผ์ ์์ก ๊ฒฐ๊ณผ ๊ฐ ์ฌ๋ฌด์ ํ์ ๋ฏธ ์น๋ ์ํฅ์ ์ค์ ํ์ง ์์ ๊ฒ์ผ๋ก ์์ํ๊ณ ์์ต๋๋ค . ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ K11 ๋ณตํฉํ ์์ด ๋ฉํ ๊ณ์ฝ ํด์ ์ ๊ด๋ จํ์ฌ ใ์ด์ค์ ์คํ ์ด ๋น์ฌ๋ฅผ ์ ๋๋ก ์ ๊ธฐํ 46,536๋ฐฑ๋ง์์ ์ ํด๋ฐฐ์์์ก๊ณผ ์ด์ ๋น์ฌ๊ฐ ๊ณ์ฝ์๋๋ฐฉ ์ธ ๋ฐฉ์์ฌ์ ์ฒญ์ ์๋๋ก ์ ๊ธฐํ 63,069๋ฐฑ๋ง์์ ์ ํด๋ฐฐ์์์ก์ด ์กด์ฌ ํฉ๋๋ค. ์ ํ์์ก ์ธ ๋ฐฉ์์ฌ์ ์ฒญ๊ณผ์ ์์ก๋ณด๋ค ๋จผ์ ์ด ์ค์์คํ ๊ณผ์ ์์ก 1์ฌ ํ๊ฒฐ ์ ๊ณ ๊ฐ ํ ์ ๋ ์๋ ์๋ ์ ํฉ์ด๋ฏ๋ก ์ด์ค์์ค ํ ๊ณผ์ ์์ก ๊ฒฐ๊ณผ ๊ฐ ์ฌ๋ฌด์ ํ์ ๋ฏธ ์น๋ ์ํฅ์ ์ค์ ํ์ง ์์ ๊ฒ์ผ๋ก ์์ํ๊ณ ์์ต๋๋ค . ๋ณด๊ณ ๊ธฐ๊ฐ ์ข ๋ฃ์ผ ์ดํ, ์๊ธฐ 35. ์ฐ๋ฐ์ฑ๋ฌด์ ์ฝ์ ์ฌํญ ์ฃผ์์ ์ธ๊ธ๋ K11 ๋ณตํฉํ ์์ด ๋ฉํ ๊ณ์ฝ ํด ์ ์ ๊ด๋ จํ์ฌ, ๋น์ฌ๊ฐ ๋ฐฉ์์ฌ์ ์ฒญ์ ์๋๋ก ์ ๊ธฐํ ์ํด๋ฐฐ์์ฒญ๊ตฌ์์ก(์ฒญ๊ตฌ๊ธ์ก: 63,069๋ฐฑ๋ง์ ๋ฐ ์ด์ ๋ํ ์ง์ฐ์ด์)์ ๋ํ์ฌ, 2026๋ 7์ 7์ผ ์ 1์ฌ ๋ฒ์์ ํผ๊ณ ๊ฐ ๋น์ฌ์ 55,767๋ฐฑ๋ง์ ๋ฐ ์ด์ ๋ํ ์ง์ฐ์ด์๋ฅผ ์ง๊ธํ๋ผ๋ ์ผ๋ถ ์ธ์ฉ ํ๊ฒฐ์ ์ ๊ณ ํ์์ต๋๋ค. ์ด์ ์๊ณ , ์๊ณ ๋ณด์กฐ์ฐธ๊ฐ์ธ ๋ฐ ํผ ๊ณ ๋ชจ๋ ์ 1์ฌ ํ๊ฒฐ์ ๋ํ์ฌ ํญ์๋ฅผ ์ ๊ธฐํ์์ผ๋ฉฐ, ์ต์ข ์์ก ๊ฒฐ๊ณผ๋ ์ถํ ํ์ ๋ ์์ ์ ๋๋ค. DART dart.fss.or.kr Page 202
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1. ๋ฐฐ๋น ๋ชฉํ ๊ฒฐ์ ์ ์ฌ์ฉํ๋ ์ฌ๋ฌด์งํ ๋ฐ ์ฐ์ถ๋ฐฉ๋ฒ ๋น์ฌ์ ๋ฐฐ๋น์ ํ๊ธ๋ฐฐ๋น์ ์ต์ฐ์ ์ผ๋ก ํ๋ฉฐ, ๋ฐฐ๋น์๊ธฐ๋ ๋ถ๊ธฐ๋ฐฐ๋น๊ณผ 12์๋ง ๊ธฐ์ค ๊ฒฐ์ฐ ์ด์ต ๋ฐฐ๋น์ ์ค์ํ๊ณ ์์ต๋๋ค. ๊ณผ๊ฑฐ 3๊ฐ๋ ๋์ ๋ถ๊ธฐ๋ฐฐ๋น๊ณผ ์ด์ต๋ฐฐ๋น์ ํฌํจํ ์ฐ ์ฃผ๋น๋ฐฐ๋น์ก ์ 1,600์~1,700์์ด๋ฉฐ, ์ด๋ ์๊ฐ ๋๋น 3.7%~4.9%์ ํด๋นํฉ๋๋ค. 2. ํฅํ ๋ฐฐ๋น ์์ค์ ๋ฐฉํฅ์ฑ ๊ณผ๊ฑฐ 10๋ ์ ๊ฒฝ์ฐ ๋งค ๊ฒฐ์ฐ๊ธฐ์ ๊ฒฐ์ฐ ์ด์ต๋ฐฐ๋น์ ์ค์ํ์์ผ๋ฉฐ, ๋น์ฌ์ ์ ๊ด์ ๋ถ๊ธฐ๋ฐฐ๋น์ด ๋ ์ ๋ 2020๋ ์ดํ๋ก 6์๋ง์ ๊ธฐ์ค์ผ์ผ๋ก ๋งค๋ ๋ถ๊ธฐ๋ฐฐ๋น์ ์ค์ํ์์ผ๋ฉฐ, ์ ๊ธฐ์๋ 3์๋ง, 6์๋ง, 9์๋ง ๊ธฐ์ค์ผ๋ก๋ ๋ถ๊ธฐ๋ฐฐ๋น์ ์ค์ํ ๋ฐ ์์ต๋๋ค. ๋น๊ธฐ์๋3์๋ง ๊ธฐ์ค ๋ถ๊ธฐ๋ฐฐ๋น์ ์ํํ์์ผ๋ฉฐ, 6์๋ง ๊ธฐ์ค ๋ถ๊ธฐ๋ฐฐ๋น์ ์ค์ ์์ ์ ๋๋ค. ๋น์ฌ์ ๋ฐฐ๋น๊ธ์ ๋ฐฐ๋น๊ฐ๋ฅ์ด์ต ๋ฒ์ ๋ด์์ ํ์ฌ์ ์ง์์ ์ฑ์ฅ์ ์ํ ํฌ์, ๊ฒฝ์ํ๊ฒฝ, ์ฃผ์ฃผ๊ฐ์น ์ ๊ณ ๋ฑ์ ๊ณ ๋ คํ์ฌ ๊ฒฐ์ ํ๊ณ ์์ต๋๋ค. ํฅํ์๋ ๋น์ฌ๋ ๋ฏธ๋ ์ฑ์ฅ์ ์ํ ํฌ์์ ์ฃผ์ฃผ๊ฐ์น ์ ๊ณ ๋ฅผ ๊ท ํ์๊ฒ ๊ณ ๋ คํ์ฌ ๋ฐฐ ๋น์ ์ค์ํ ๊ณํ์ ๋๋ค. 3. ๋ฐฐ๋น ์ ํ ๊ด๋ จ ์ ์ฑ ๋น์ฌ์ ๋ฐฐ๋น๊ธ์ ๊ฒฝ๊ธฐ ๋ถํ์ค์ฑ ๋ฐ ๊ท์ ํ๊ฒฝ, ํ์ฌ์ ๊ฒฝ์์ ๋ชฉ์ ๋ฑ์ ์ํด ๋ณ๋๋ ์ ์์ต ๋๋ค. DART dart.fss.or.kr Page 203
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๋. ๋ฐฐ๋น๊ด๋ จ ์์ธก๊ฐ๋ฅ์ฑ ์ ๊ณต์ ๊ดํ ์ฌํญ 1. ์ ๊ด์ ๋ฐฐ๋น์ ์ฐจ ๊ฐ์ ๋ฐฉ์ ์ดํ ๊ฐ๋ถ 2. ๋ฐฐ๋น์ก ํ์ ์ผ ๋ฐ ๋ฐฐ๋น๊ธฐ์ค์ผ ์ง์ ํํฉ <๋ถ๊ธฐ๋ฐฐ๋น> ๋ค. ๊ธฐํ ์ฐธ๊ณ ์ฌํญ(๋ฐฐ๋น ๊ด๋ จ ์ ๊ด์ ๋ด์ฉ ๋ฑ) ๋น์ฌ๋ ์ ๊ด์ ์๊ฑฐ ์ฃผ์ฃผ์ดํ ๊ฒฐ์ ๋ฐ ์ด์ฌํ ๊ฒฐ์๋ฅผ ํตํด ์ฐ์ฐจ ๋ฐ ๋ถ๊ธฐ๋ฐฐ๋น์ ์ค์ํ๊ณ ์ ์ต๋๋ค. ๋น์ฌ๋ ๋ฐฐ๋น ๊ด๋ จ ์ ๋ณด๋ฅผ ์ ์๊ณต์์์คํ (DART)์ ์๋ดํ๊ณ ์์ต๋๋ค. 1. ์ด์ต๋ฐฐ๋น ๊ด๋ จ ์ ๊ด๊ท์ ๋น์ฌ์ ์ ๊ด์ ๊ท์ ๋ ์ด์ต๋ฐฐ๋น๊ณผ ๊ด๋ จํ ๋ด์ฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ์ 54 ์กฐ(์ด์ต๋ฐฐ๋น) โ ์ด์ต์ ๋ฐฐ๋น์ ๊ธ์ , ์ฃผ์ ๋ฐ ๊ธฐํ์ ์ฌ์ฐ์ผ๋ก ํ ์ ์๋ค. โก ์ 1ํญ์ ๋ฐฐ๋น์ ๋งค ๊ฒฐ์ฐ๊ธฐ๋ง ํ์ฌ์ ์ฃผ์ฃผ๋ช ๋ถ์ ๊ธฐ์ฌ๋ ์ฃผ์ฃผ ๋๋ ๋ฑ๋ก๋ ์ง๊ถ์์๊ฒ ์ง ๊ธํ๋ค. Category Closing Dividend QuaterlyใInterim Dividend Entity determining dividend amount under articles of incorporation Shareholdersโ Meeting Board of Directors Whether the dividend record date can be set after the determination of dividend amount under articles of incorporation X X Future plans related to the implementation of measures for improving the dividend procedure ์์ ์์ Category Ending month of FY Whether dividend is to be paid Dividend amount determination date Dividend record date Whether dividend predictability is to be provided Note Closing dividend 2025๋ 12์ O 2026.02.27 2025.12.31 X ์ฃผ์ฃผ์ดํ ๊ฒฐ์ Closing dividend 2024๋ 12์ O 2025.02.28 2024.12.31 X ์ฃผ์ฃผ์ดํ ๊ฒฐ์ Closing dividend 2023๋ 12์ O 2024.02.29 2023.12.31 X ์ฃผ์ฃผ์ดํ ๊ฒฐ์ ์ 25๊ธฐ ๋ถ๊ธฐ ๋ฐฐ๋น 2026๋ 06์ O 2026๋ 08์ 12์ผ 2026๋ 06์ 30์ผ X ์ด์ฌํ ๊ฒฐ์ ์ 25๊ธฐ ๋ถ๊ธฐ ๋ฐฐ๋น 2026๋ 03์ O 2026๋ 05์ 12์ผ 2026๋ 03์ 31์ผ X ์ด์ฌํ ๊ฒฐ์ ์ 24๊ธฐ ๋ถ๊ธฐ ๋ฐฐ๋น 2025๋ 09์ O 2025๋ 11์ 21์ผ 2025๋ 09์ 30์ผ X ์ด์ฌํ ๊ฒฐ์ ์ 24๊ธฐ ๋ถ๊ธฐ ๋ฐฐ๋น 2025๋ 06์ O 2025๋ 08์ 11์ผ 2025๋ 06์ 30์ผ X ์ด์ฌํ ๊ฒฐ์ ์ 24๊ธฐ ๋ถ๊ธฐ ๋ฐฐ๋น 2025๋ 03์ O 2025๋ 05์ 12์ผ 2025๋ 03์ 31์ผ X ์ด์ฌํ ๊ฒฐ์ ์ 23๊ธฐ ๋ถ๊ธฐ ๋ฐฐ๋น 2024๋ 06์ O 2024๋ 08์ 08์ผ 2024๋ 06์ 30์ผ X ์ด์ฌํ ๊ฒฐ์ ์ 22๊ธฐ ๋ถ๊ธฐ ๋ฐฐ๋น 2023๋ 06์ O 2023๋ 08์ 10์ผ 2023๋ 06์ 30์ผ X ์ด์ฌํ ๊ฒฐ์ ์ 21๊ธฐ ๋ถ๊ธฐ ๋ฐฐ๋น 2022๋ 06์ O 2022๋ 08์ 11์ผ 2022๋ 06์ 30์ผ X ์ด์ฌํ ๊ฒฐ์ DART dart.fss.or.kr Page 204
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์ 54์กฐ์ 2 (๋ถ๊ธฐ๋ฐฐ๋น) โ ํ์ฌ๋ ์ฌ์ ๋ ๋ ๊ฐ์์ผ๋ถํฐ 3์, 6์ ๋ฐ 9์ ๋ง์ผ ํ์ฌ์ ์ฃผ์ฃผ์๊ฒ ์๋ณธ์์ฅ๊ณผ ๊ธ์ตํฌ์ ์ ์ ๊ดํ ๋ฒ๋ฅ ์ 165์กฐ์12์ ์ํ ๋ถ๊ธฐ๋ฐฐ๋น์ ํ ์ ์๋ค. ๋ถ๊ธฐ๋ฐฐ๋น์ ๊ธ์ ์ผ๋ก ํ๋ค. โก ์ 1ํญ์ ๋ถ๊ธฐ๋ฐฐ๋น์ ์ด์ฌํ์ ๊ฒฐ์๋ก ํ๋, ๊ทธ ๊ฒฐ์๋ ์ 1ํญ์ ๊ฐ ๊ธฐ์ค์ผ ์ดํ 45์ผ๋ด์ ํ์ฌ์ผ ํ๋ค. โข ๋ถ๊ธฐ๋ฐฐ๋น์ ์ง์ ๊ฒฐ์ฐ๊ธฐ์ ๋์ฐจ๋์กฐํ์์ ์์์ฐ์ก์์ ๋ค์ ๊ฐํธ์ ๊ธ์ก์ ๊ณต์ ํ ์ก์ ํ๋๋ก ํ๋ค. 1. ์ง์ ๊ฒฐ์ฐ๊ธฐ์ ์๋ณธ๊ธ์ ์ก 2. ์ง์ ๊ฒฐ์ฐ๊ธฐ๊น์ง ์ ๋ฆฝ๋ ์๋ณธ์ค๋น๊ธ๊ณผ ์ด์ต์ค๋น๊ธ์ ํฉ๊ณ์ก 3. ์๋ฒ์ํ๋ฒ๋ น์์ ์ ํ๋ ๋ฏธ์คํ์ด์ต 4. ์ง์ ๊ฒฐ์ฐ๊ธฐ์ ์ ๊ธฐ์ฃผ์ฃผ์ดํ์์ ์ด์ต๋ฐฐ๋นํ๊ธฐ๋ก ์ ํ ๊ธ์ก 5. ์ง์ ๊ฒฐ์ฐ๊ธฐ๊น์ง ์ ๊ด์ ๊ท์ ๋๋ ์ฃผ์ฃผ์ดํ์ ๊ฒฐ์์ ์ํ์ฌ ํน์ ๋ชฉ์ ์ ์ํด ์ ๋ฆฝํ ์ ์์ค๋น๊ธ 6. ๋ถ๊ธฐ๋ฐฐ๋น์ ๋ฐ๋ผ ๋นํด ๊ฒฐ์ฐ๊ธฐ์ ์ ๋ฆฝํ์ฌ์ผ ํ ์ด์ต์ค๋น๊ธ 7. ๋นํด ์์ ๋ ๋ ์ค์ ๋ถ๊ธฐ๋ฐฐ๋น์ด ์์๋ ๊ฒฝ์ฐ ๊ทธ ๊ธ์ก์ ํฉ๊ณ์ก โฃ ์ ๊ด ์ 9์กฐ์ ์ฐ์ ์ฃผ์์ ๋ํ ๋ถ๊ธฐ๋ฐฐ๋น๋ ๋ณดํต์ฃผ์๊ณผ ๋์ผํ ๋ฐฐ๋น๋ฅ ์ ์ ์ฉํ๋ค. ์ 55 ์กฐ(๋ฐฐ๋น๊ธ์ง๊ธ์ฒญ๊ตฌ๊ถ์ ์๋ฉธ์ํจ) โ ๋ฐฐ๋น๊ธ์ ์ง๊ธ์ฒญ๊ตฌ๊ถ์ 5๋ ๊ฐ ์ด๋ฅผ ํ์ฌํ์ง ์๋ํ๋ฉด ์๋ฉธ์ํจ๊ฐ ์์ฑํ๋ค. โก ์ 1ํญ์ ์ํจ์ ์์ฑ์ผ๋ก ์ธํ ๋ฐฐ๋น๊ธ์ ์ด ํ์ฌ์ ๊ท์ํ๋ค. DART dart.fss.or.kr Page 205
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2. ์ต๊ทผ 3์ฌ์ ์ฐ๋ ๋ฐฐ๋น์ ๊ดํ ์ฌํญ - ์๊ธฐ (์ฐ๊ฒฐ)๋น๊ธฐ์์ด์ต๊ณผ ์ฃผ๋น์์ด์ต์ ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ์ ์ง๋ฐฐ๊ธฐ์ ์์ ์ฃผ์ง๋ถ ๋น๊ธฐ์์ด์ต ๊ณผ ๊ทธ์ ๋ํ ์ฃผ๋น์์ด์ต ์ ๋๋ค. - ์๊ธฐ ์ 23๊ธฐ (์ฐ๊ฒฐ)์ฃผ๋น์์ด์ต์ ๋ฌด์์ฆ์๋ก ์ฆ๊ฐ๋ ์ฃผ์์๋ฅผ ๊ธฐ์ค์ผ๋ก ์๊ธ์ ์ฉ ๊ณ์ฐ๋ ์์น์ ๋๋ค. - ์๊ธฐ ๋น๊ธฐ(์ 25๊ธฐ) ํ๊ธ๋ฐฐ๋น๊ธ์ด์ก์ ๋ฐฐ๋น๊ธฐ์ค์ผ(2026๋ 3์ 31์ผ) ๊ถ๋ฆฌ์ฃผ์ฃผ์๊ฒ ์ง๊ธํ ๋ถ๊ธฐ๋ฐฐ๋น๊ธ 9,534๋ฐฑ๋ง์(1์ฃผ๋น 400์)๊ณผ ๋ฐฐ๋น๊ธฐ์ค์ผ(2026๋ 6์ 30์ผ) ๊ถ๋ฆฌ์ฃผ์ฃผ์๊ฒ ์ง๊ธ ์์ ์ธ ๋ถ๊ธฐ๋ฐฐ๋น๊ธ 9,534๋ฐฑ๋ง์(1์ฃผ๋น 400์)์ ํฉ์ฐํ ์ด์ก์ ๋๋ค. - ์๊ธฐ ์ ๊ธฐ(์ 24๊ธฐ) ํ๊ธ๋ฐฐ๋น๊ธ์ด์ก์ ๋ฐฐ๋น๊ธฐ์ค์ผ(2025๋ 3์ 31์ผ) ๊ถ๋ฆฌ์ฃผ์ฃผ์๊ฒ ์ง๊ธํ ๋ถ๊ธฐ๋ฐฐ๋น๊ธ 7,150๋ฐฑ๋ง์(1์ฃผ๋น 300์)๊ณผ ๋ฐฐ๋น๊ธฐ์ค์ผ(2025๋ 6์ 30์ผ) ๊ถ๋ฆฌ์ฃผ์ฃผ์๊ฒ ์ง๊ธ ํ ๋ถ๊ธฐ๋ฐฐ๋น๊ธ 14,301๋ฐฑ๋ง์(1์ฃผ๋น 600์)๊ณผ ๋ฐฐ๋น๊ธฐ์ค์ผ(2026๋ 9์ 30์ผ) ๊ถ๋ฆฌ์ฃผ์ฃผ์๊ฒ ์ง๊ธํ ๋ถ๊ธฐ๋ฐฐ๋น๊ธ 9,534๋ฐฑ๋ง์(1์ฃผ๋น 400์)๊ณผ ๋ฐฐ๋น๊ธฐ์ค์ผ(2025๋ 12์ 31์ผ) ๊ถ๋ฆฌ์ฃผ์ฃผ ์๊ฒ ์ง๊ธํ ๊ฒฐ์ฐ๋ฐฐ๋น๊ธ 9,534๋ฐฑ๋ง์(1์ฃผ๋น 400์)์ ํฉ์ฐํ ์ด์ก์ ๋๋ค. - ์๊ธฐ ์ ์ ๊ธฐ(์ 23๊ธฐ) ํ๊ธ๋ฐฐ๋น๊ธ์ด์ก์ ๋ฐฐ๋น๊ธฐ์ค์ผ(2024๋ 6์ 30์ผ)๊ถ๋ฆฌ์ฃผ์ฃผ์๊ฒ ์ง๊ธ ํ ๋ถ๊ธฐ๋ฐฐ๋น๊ธ 7,334๋ฐฑ๋ง์(1์ฃผ๋น 600์)๊ณผ ๊ฒฐ์ฐ๋ฐฐ๋น๊ธ 13,109๋ฐฑ๋ง์(1์ฃผ๋น 1,100์)์ ํฉ์ฐํ ์ด์ก์ ๋๋ค. Category Type of shares Current term Previous term Two fiscal years prior ์ 25๊ธฐ ๋ฐ๊ธฐ ์ 24๊ธฐ ์ 23๊ธฐ Par value (KRW) 5,000 5,000 5,000 (Consolidated) Profit (KRW million) 48,688 69,627 104,346 (Separate) Profit (KRW million) 50,426 76,040 105,183 (Consolidated) Earnings per share (KRW) 2,043 2,921 4,299 Total cash dividends (KRW million) 19,067 40,519 20,443 Total stock dividends (KRW million) - - - (Consolidated) Cash dividend payout ratio (%) 39.2 58.2 19.6 Cash dividend yield (%) ๋ณดํต์ฃผ 3.0 4.9 4.2 ์ฐ์ ์ฃผ - - - Stock dividend yield (%) ๋ณดํต์ฃผ - - - ์ฐ์ ์ฃผ - - - Cash dividend per share (KRW) ๋ณดํต์ฃผ 800 1,700 1,700 ์ฐ์ ์ฃผ - - - Stock dividend per share (shrs.) ๋ณดํต์ฃผ - - - ์ฐ์ ์ฃผ - - - DART dart.fss.or.kr Page 206
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- ์๊ธฐ (์ฐ๊ฒฐ)ํ๊ธ๋ฐฐ๋น์ฑํฅ(%)์ ์ง๋ฐฐ๊ธฐ์ ์์ ์ฃผ์ง๋ถ ๋น๊ธฐ์์ด์ต์ ๋ํ ํ๊ธ๋ฐฐ๋น๊ธ์ด์ก ์ ๋น์จ์ ๋๋ค. - ์๊ธฐ ํ๊ธ๋ฐฐ๋น์์ต๋ฅ (%)์ ๋นํด ๋ฐฐ๋น๊ณผ ๊ด๋ จ๋ ์ฃผ์ฃผ๋ช ๋ถ ํ์์ผ ์ 2๋งค๋งค๊ฑฐ๋์ผ ์ ๋ถํฐ ๊ณผ ๊ฑฐ 1์ฃผ์ผ๊ฐ์ ๊ฑฐ๋์ ์์ฅ์์ ํ์ฑ๋ ์ต์ข ๊ฐ๊ฒฉ์ ์ฐ์ ํ๊ท ๊ฐ๊ฒฉ์ ๋ํ 1์ฃผ๋น ๋ฐฐ๋น๊ธ์ ๋น ์จ์ ๋ฐฑ๋ถ์จ๋ก ์ฐ์ ํ ๊ฒ์ ๋๋ค. 3. ๊ณผ๊ฑฐ ๋ฐฐ๋น ์ด๋ ฅ - ์๊ธฐ ํ๊ท ๋ฐฐ๋น์์ต๋ฅ ์ 3๋ , 5๋ ๊ฐ ๋ฐฐ๋น์์ต๋ฅ (์ฐ) ํฉ์ 3, 5๋ก ๋๋ ์์น์ ๋๋ค. - ์๊ธฐ ํ๊ท ๋ฐฐ๋น์์ต๋ฅ ์ ๋ถ๊ธฐ ๋ฐฐ๋น์์ต๋ฅ ์ ํฌํจํ์ฌ ์ฐ์ ํ์์ผ๋ฉฐ, ์ต๊ทผ 3๋ ๊ฐ์ 2023๋ (์ 22๊ธฐ)๋ถํฐ 2025๋ (์ 24๊ธฐ)๊น์ง ๊ธฐ๊ฐ์ด๋ฉฐ, ์ต๊ทผ 5๋ ๊ฐ์ 2021๋ (์ 20๊ธฐ)๋ถํฐ2025๋ (์ 24๊ธฐ)๊น์ง ๊ธฐ๊ฐ์ ๋๋ค. โป 2021๋ 6์ 30์ผ ๊ธฐ์ค์ฃผ์ฃผ, 2022๋ 6์ 30์ผ ๊ธฐ์ค์ฃผ์ฃผ, 2023๋ 6์ 30์ผ ๊ธฐ์ค์ฃผ์ฃผ, 2024๋ 6์ 30์ผ ๊ธฐ์ค์ฃผ์ฃผ, 2025๋ 3์ 31์ผ ๊ธฐ์ค์ฃผ์ฃผ, 2025๋ 6์ 30์ผ ๊ธฐ์ค์ฃผ์ฃผ, 2025๋ 9์ 30์ผ ๊ธฐ์ค์ฃผ์ฃผ, 2026๋ 3์ 31์ผ ๊ธฐ์ค์ฃผ์ฃผ, 2026๋ 6์ 30์ผ ๊ธฐ์ค์ฃผ์ฃผ๋ฅผ ๋์ ์ผ๋ก ๋ถ๊ธฐ๋ฐฐ๋น์ ์ค์ํ์์ต๋๋ค. (Unit: times, %) Number of consecutive dividends Average dividend yield Quarterly (interim) dividends Closing dividend Last 3 years Last 5 years 5 23 4.26 3.97 DART dart.fss.or.kr Page 207
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7. Matters related to financing through issuance of securities 7-1. Performance of financing through securities issuance ๋น์ฌ์ ์ค๋ฆฝ์ดํ ์ฆ์(๊ฐ์)ํํฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. [Matters related to the issuance, etc. of equity securities] (Record date: 2026.06.30 ) (Unit: KRW, shares) Stock issuance (reduction) date Issuance (reduction) Type Details of issued (reduced) stocks Type Number of shares Par value Issued (reduced) value Note 2002.02.26 - ๋ณดํต์ฃผ 1,375,693 5,000 5,000 - 2002.12.18 Debt-equity swap ๋ณดํต์ฃผ 8,293,800 5,000 5,000 - 2002.12.18 Debt-equity swap ์ฐ์ ์ฃผ 2,764,600 5,000 5,000 - 2006.08.04 Debt-equity swap ๋ณดํต์ฃผ 659,250 5,000 5,000 - 2006.08.04 Debt-equity swap ์ฐ์ ์ฃผ 219,750 5,000 5,000 - 2006.12.27 Paid-in capital increase(third-party allotment) ๋ณดํต์ฃผ 1,310,043 5,000 22,900 - 2012.12.18 Exercise of conversion rights ์ฐ์ ์ฃผ 2,764,600 5,000 5,000 ์ ํ์ผ๋ก ์ธํ ๊ฐ์ 2012.12.18 Exercise of conversion rights ๋ณดํต์ฃผ 2,764,600 5,000 5,000 ์ ํ์ผ๋ก ์ธํ ์ฆ๊ฐ 2016.08.04 Exercise of conversion rights ์ฐ์ ์ฃผ 219,750 5,000 5,000 ์ ํ์ผ๋ก ์ธํ ๊ฐ์ 2016.08.04 Exercise of conversion rights ๋ณดํต์ฃผ 219,750 5,000 5,000 ์ ํ์ผ๋ก ์ธํ ์ฆ๊ฐ 2025.01.31 Capital increase without consideration ๋ณดํต์ฃผ 11,917,136 5,000 5,000 - DART dart.fss.or.kr Page 208
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๊ฐ. ์ฑ๋ฌด์ฆ๊ถ ๋ฐํ์ค์ - ํด๋น์ฌํญ ์์ ๋. ๊ธฐ์ ์ด์์ฆ๊ถ ๋ฏธ์ํ ์์ก - ํด๋น์ฌํญ ์์ ๋ค. ๋จ๊ธฐ์ฌ์ฑ ๋ฏธ์ํ ์์ก - ํด๋น์ฌํญ ์์ [Matters related to issuance of debt securities, etc.] (Record date: 2026.06.30 ) (Unit: KRW, %) Issuing company Securities type Method of issuance Issue date Total face (or electronicall y registered) value (KRW) Interest rate Rating (assessment institution) Maturity date Redemptio n status Underwriter - - - - - - - - - - Total - - - - - - - - - (Record date: 2026.06.30 ) (Unit: KRW) Remainder to maturity 10 days or less 10 to 30 days 30 to 90 days 90 to 180 days 180 days to 1 year 1 to 2 years Over two years and up to three years Over three years Total Outstan ding balance Public offering - - - - - - - - - Private placem ent - - - - - - - - - Total - - - - - - - - - (Record date: 2026.06.30 ) (Unit: KRW) Remainder to maturity 10 days or less 10 to 30 days 30 to 90 days 90 to 180 days 180 days to 1 year Total Issuance limit Remaining limit Outstand ing balance Public offering - - - - - - - - Private placeme nt - - - - - - - - Total - - - - - - - - DART dart.fss.or.kr Page 209
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๋ผ. ํ์ฌ์ฑ ๋ฏธ์ํ ์์ก - ํด๋น์ฌํญ ์์ ๋ง. ์ ์ข ์๋ณธ์ฆ๊ถ ๋ฏธ์ํ ์์ก - ํด๋น์ฌํญ ์์ ๋ฐ. ์กฐ๊ฑด๋ถ์๋ณธ์ฆ๊ถ ๋ฏธ์ํ ์์ก (Record date: 2026.06.30 ) (Unit: KRW) Remainder to maturity 1 year or less 1 to 2 years Over two years and up to three years Over three years and up to four years 4 to 5 years Over five years and up to 10 years Over 10 years Total Outstand ing balance Public offering - - - - - - - - Private placeme nt - - - - - - - - Total - - - - - - - - (Record date: 2026.06.30 ) (Unit: KRW) Remainder to maturity 1 year or less 1 to 5 years Over five years and up to 10 years 10 to 15 years 15 to 20 years Over 20 years and up to 30 years Over 30 years Total Outstand ing balance Public offering - - - - - - - - Private placeme nt - - - - - - - - Total - - - - - - - - (Record date: 2026.06.30 ) (Unit: KRW) Remainder to maturity 1 year or less 1 to 2 years Over two years and up to three years Over three years and up to four years 4 to 5 years Over five years and up to 10 years 10 to 20 years Over 20 years and up to 30 years Over 30 years Total Outstan ding balance Public offering - - - - - - - - - - Private placeme nt - - - - - - - - - - DART dart.fss.or.kr Page 210
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- ํด๋น์ฌํญ ์์ 7-2. Performance of fund utilization from securities issuance - ํด๋น์ฌํญ ์์ Total - - - - - - - - - - DART dart.fss.or.kr Page 211
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8. Other financial matters ๊ฐ. ์ฌ๋ฌด์ ํ ์ฌ์์ฑ ๋ฑ ์ ์์ฌํญ (1) ์ฌ๋ฌด์ ํ ์ฌ์์ฑ ํด๋น์ฌํญ ์์ต๋๋ค. (2) ํฉ๋ณ, ๋ถํ , ์์ฐ์์๋, ์์ ์์๋์ ๊ดํ ์ฌํญ ํด๋น์ฌํญ ์์ต๋๋ค. (3) ์์ฐ์ ๋ํ์ ๊ด๋ จํ ์์ฐ๋งค๊ฐ์ ํ๊ณ์ฒ๋ฆฌ ๋ฐ ์ฐ๋ฐ์ฑ๋ฌด ๋ฑ์ ๊ดํ ์ฌํญ ํด๋น์ฌํญ ์์ต๋๋ค. (์ฐ๋ฐ์ฑ๋ฌด ๋ฑ์ ๊ดํ ์ฌํญ) ์ฐ๋ฐ์ฑ๋ฌด ๋ฑ์ ๊ดํ ์ฌํญ์ 'III. ์ฌ๋ฌด์ ๊ดํ ์ฌํญ'์ '3. ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ ์ฃผ์'์ ์ฐธ์กฐํ์๊ธฐ ๋ฐ๋๋๋ค. (4) ๊ธฐํ ์ฌ๋ฌด์ ํ ์ด์ฉ์ ์ ์ํ์ฌ์ผ ํ ์ฌํญ (๊ฐ์ฌ๋ณด๊ณ ์์ ๊ฐ์กฐ์ฌํญ๊ณผ ํต์ฌ๊ฐ์ฌ์ฌํญ) ์ฌ์ ์ฐ๋ ๊ฐ์กฐ์ฌํญ ๋ฑ ํต์ฌ๊ฐ์ฌ์ฌํญ ์ 25๊ธฐ ๋ฐ๊ธฐ(๋น๊ธฐ) ํด๋น์ฌํญ ์์ ํด๋น์ฌํญ ์์ ์ 24๊ธฐ(์ ๊ธฐ) ํด๋น์ฌํญ ์์ ์๋์ฐจ๋ถํ์ฌ์ ํด์ธ๋งค์ถ ์์ต์ธ์ ๊ธฐ๊ฐ๊ท์์ ์ ์ ์ฑ ์ 23๊ธฐ(์ ์ ๊ธฐ) ํด๋น์ฌํญ ์์ ์๋์ฐจ๋ถํ์ฌ์ ํด์ธ๋งค์ถ ์์ต์ธ์ ๊ธฐ๊ฐ๊ท์์ ์ ์ ์ฑ DART dart.fss.or.kr Page 212
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๋. ์ฐ๊ฒฐ๋์์ถฉ๋น๊ธ ์ค์ ํํฉ 1) ๊ณ์ ๊ณผ๋ชฉ๋ณ ๋์์ถฉ๋น๊ธ ์ค์ ๋ด์ฉ ์ฅใ๋จ๊ธฐ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ์ ๋์์ถฉ๋น๊ธ์ด ์ฐจ๊ฐ๋ ์์ก์ผ๋ก ์ฐ๊ฒฐ์ฌ๋ฌด์ํํ์ ํ์๋์ ๋๋ฐ, ๋์์ถฉ๋น๊ธ ์ฐจ๊ฐ์ ์ด์ก ๊ธฐ์ค์ ์ํ ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ๊ณผ ๋์์ถฉ๋น๊ธ์ ๋ด์ญ์ ๋ค ์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์ : ๋ฐฑ๋ง์) ๊ตฌ ๋ถ ๊ณ ์ ๊ณผ ๋ชฉ ์ด์ฅ๋ถ๊ธ์ก ๋์์ถฉ๋น๊ธ ์ถฉ๋น๊ธ์ค์ ๋ฅ ์ 25๊ธฐ ๋ฐ๊ธฐ ๋งค์ถ์ฑ๊ถ 185,816 (2,929) 1.6% ๋ฏธ์๊ธ 14,627 - - ๋ฏธ์์์ต 3,287 - - ๋ณด์ฆ๊ธ 209 - - ๋์ฌ๊ธ 421 - - ํฉ๊ณ 204,360 (2,929) 1.6% ์ 24๊ธฐ ๋งค์ถ์ฑ๊ถ 187,830 (2,506) 1.3% ๋ฏธ์๊ธ 6,995 - - ๋ฏธ์์์ต 4,687 - - ๋ณด์ฆ๊ธ 233 - - ๋์ฌ๊ธ 462 - - ํฉ๊ณ 200,207 (2,506) 1.3% ์ 23๊ธฐ ๋งค์ถ์ฑ๊ถ 173,609 (3,170) 1.8% ๋ฏธ์๊ธ 26,717 - - ๋ฏธ์์์ต 4,721 - - ๋ณด์ฆ๊ธ 110 - - ๋์ฌ๊ธ 326 - ํฉ๊ณ 205,483 (3,170) 1.5% DART dart.fss.or.kr Page 213
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2) ๋์์ถฉ๋น๊ธ ๋ณ๋๋ด์ฉ ๋น๊ธฐ ๋ฐ๊ธฐ์ ์ ๊ธฐ ์ค ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ์ ๋์์ถฉ๋น๊ธ์ ๋ณ๋์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์ : ๋ฐฑ๋ง์) 3) ๋์์ถฉ๋น๊ธ ์ค์ ๋ฐฉ์นจ (1) ๋์์ถฉ๋น๊ธ ์ค์ ๋ฐฉ์นจ ๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1109ํธ(๊ธ์ต์ํ)๋ฅผ ์ ์ฉํ์ฌ ๋ค์ ์์ฐ์ ๊ธฐ๋์ ์ฉ์์ค์ ๋ํด ์์ค์ถฉ ๋น๊ธ์ ์ธ์ํฉ๋๋ค. - ์๊ฐํ์๊ฐ ์ธก์ ๊ธ์ต์์ฐ - ๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1115ํธ์์ ์ ์๋ ๊ณ์ฝ์์ฐ ๋งค์ถ์ฑ๊ถ๊ณผ ๊ณ์ฝ์์ฐ์ ๋ํ ์์ค์ถฉ๋น๊ธ์ ํญ์ ์ ์ฒด๊ธฐ๊ฐ ๊ธฐ๋์ ์ฉ์์ค์ ํด๋นํ๋ ๊ธ์ก์ผ ๋ก ์ธก์ ๋ฉ๋๋ค. (2) ๋์๊ฒฝํ๋ฅ ๋ฐ ๋์์์์ก ์ฐ์ ๊ทผ๊ฑฐ - ๊ณ ๊ฐ์ ๊ณ์์ ์ธ ์ง๊ธ์ฌ๋ถ, ๋ฒ์ ๋ฐ๋ฅธ ์๋ฉธ์ํจ ๋ฑ์ ๊ณ ๋ คํ์ฌ ํ์์ ๋ํ ํฉ๋ฆฌ์ ์ธ ๊ธฐ๋ ๊ฐ ์๋์ง๋ฅผ ํ๊ฐํ๊ณ ์ ๊ฐ์ ์๊ธฐ์ ๊ธ์ก์ ๊ฐ๋ณ์ ์ผ๋ก ํ๊ฐ - ๊ณ์ฝ์ ํ๊ธํ๋ฆ ์ ์ฒด ๋๋ ์ผ๋ถ์ ํ์์ ๋ํ ํฉ๋ฆฌ์ ์ธ ๊ธฐ๋๊ฐ ์๋ ๊ฒฝ์ฐ ํด๋น์์ฐ์ ์ ๊ฑฐ - ๋งค์ถ์ฑ๊ถ์ ๊ฐ๋ณ์์ํ๊ฐ๋ฅผ ์ํํ ํ ์งํฉ์์ํ๊ฐ๋ฅผ ์ค์ - ๊ฐ๋ณ์ ์ผ๋ก ์ค์ํ์ง ์์ ์ฑ๊ถ, ๊ฐ๋ณ์์ํ๊ฐ ๊ฒฐ๊ณผ ์์์งํ๊ฐ ์๋ ์ฑ๊ถ, ์ผ๋ฐ์ ์์ฑ๊ถ ์ ๋ํด์๋ 3๊ฐ์ ๋จ์ ๊ตฌ๊ฐ์ผ๋ก ๊ตฌ๋ถํ๊ณ , ๊ณผ๊ฑฐ 3๋ ๊ฐ์ ๊ตฌ๊ฐ๋ณ ๋์์จ(roll rate)์ ๊ณ์ฐ ํ์ฌ ์์ค์ธ์ ๊ตฌ ๋ถ ๋น๊ธฐ ๋ฐ๊ธฐ ์ ๊ธฐ ์ ๋ ๋น์ ๋ ์ ๋ ๋น์ ๋ ๊ธฐ์ด๊ธ์ก 2,506 - 3,170 - ๋์์๊ฐ๋น(ํ์ ) 294 - (619) - ์ ๊ฐ - - - - ๊ธฐํ 129 - (45) - ๊ธฐ๋ง๊ธ์ก 2,929 - 2,506 - DART dart.fss.or.kr Page 214
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(3) ๋์์ฒ๋ฆฌ๊ธฐ์ค ๊ฐ๋ณ์์ํ๊ฐ ๋์(๊ฐ๋ณ์ ์ผ๋ก ์์์งํ๊ฐ ๋ฐ๊ฒฌ๋ ์ฑ๊ถ) - ๋ถ๋, ํ์ฐ, ํ์์ ์ฐจ ๋ฑ์ผ๋ก ์ฑ๊ถํ์ ๊ฐ๋ฅ์ฑ์ด ์๋ค๊ณ ํ๋จ๋๋ ๊ฒฝ์ฐ - ์ฑ๋ฌด์์ ์ฌ๋ง, ์ค์ข , ๋์ฃผ ๋ฑ์ผ๋ก ์ฑ๊ถํ์ ๊ฐ๋ฅ์ฑ์ด ์๋ค๊ณ ํ๋จ๋๋ ๊ฒฝ์ฐ - ์ธ๋ถ ์ฑ๊ถํ์ ์ ๋ฌธ๊ธฐ๊ด์ด ํ์๊ฐ ๋ถ๊ฐ๋ฅํ๋ค๊ณ ํต์งํ ๊ฒฝ์ฐ - ์์ก ๋ฑ์ผ๋ก ๋ฒ์ ์ฒญ๊ตฌ๊ถ์ด ์๋ฉธํ ๊ฒฝ์ฐ - ๊ธฐํ ์ ์์ฑ๊ถ์ด๋ผ๋ ํ์๊ฐ ๋ถ๊ฐ๋ฅ ํ๋ค๊ณ ์์๋๋ ๊ฒฝ์ฐ ๋ค. ๋น๊ธฐ ๋ฐ๊ธฐ ํ์ฌ ๊ฒฝ๊ณผ๊ธฐ๊ฐ๋ณ ๋งค์ถ์ฑ๊ถ ์์กํํฉ (๋จ์ : ๋ฐฑ๋ง์) ๊ตฌ๋ถ 6์ ์ดํ 6์ ์ด๊ณผ 1๋ ์ดํ 1๋ ์ด๊ณผ 2๋ ์ดํ 2๋ ์ด๊ณผ ๊ณ ์ผ๋ฐ 175,823 7,019 29 15 182,886 ํน์๊ด๊ณ์ - - - - - ๊ณ 175,823 7,019 29 15 182,886 ๊ตฌ์ฑ๋น์จ 96.14% 3.84% 0.01% 0.01% 100.00% DART dart.fss.or.kr Page 215
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๋ผ. ์ฐ๊ฒฐ์ฌ๊ณ ์์ฐ์ ๋ณด์ ๋ฐ ์ค์ฌ๋ด์ญ ๋ฑ 1) ์ฌ๊ณ ์์ฐ์ ์ฌ์ ๋ถ๋ฌธ๋ณ ๋ณด์ ํํฉ (๋จ์ : ๋ฐฑ๋ง์) 2) ์ฌ๊ณ ์์ฐ์ ์ค์ฌ๋ด์ญ ๋ฑ (1) ์ค์ฌ์ผ์ ๋ฐ ๊ฐ์ฌ์ธ ์ ํ์ฌ๋ถ . ์ค์ฌ ์ผ์ : 2026. 01. 01. . ์ ํ ์ : ์ผ์ ํ๊ณ๋ฒ์ธ ํ๊ณ์ฌ ์ด 5๋ช ๋น์ฌ๋ ๋งค์๋ง ์ ๊ธฐ ์ฌ๊ณ ์ค์ฌ๋ฅผ ์์ฒด์ ์ผ๋ก ์ค์ํ๊ณ ์์ผ๋ฉฐ, ๋งค ์ฌ์ ๋ ๋ ์ข ๋ฃ ์ผ ๊ธฐ์ค ์ฌ๊ณ ์์ฐ ์กฐ์ฌ์๋ ์ธ๋ถ๊ฐ์ฌ์ธ ์ ํํ์ ์ค์ํ๊ณ ์์ต๋๋ค. ์ฌ์ ๋ถ๋ฌธ ๊ณ์ ๊ณผ๋ชฉ ์ 25๊ธฐ ๋ฐ๊ธฐ ์ 24๊ธฐ ์ 23๊ธฐ ์ฐจ๋ ๋ถํ ์ํ 1,117 1,177 2,764 ์ ํ 53,357 49,207 47,076 ๋ฐ์ ํ 2,873 2,823 3,215 ์ฌ๊ณตํ 464 1,328 540 ์์ฌ๋ฃ 25,036 23,944 27,881 ์ ์ฅํ 66 16 7 ๋ฏธ์ฐฉํ 2,968 4,230 2,364 ์ ๊ณ 85,881 82,725 83,847 ๊ธฐํ ์ํ 24,204 9 476 ์ ํ 9,173 935 2,429 ๋ฐ์ ํ 36,476 32,106 25,399 ์ฌ๊ณตํ 25,890 14,058 12,732 ์์ฌ๋ฃ 30,083 28,450 30,164 ์ ์ฅํ 2,266 1,877 962 ๋ฏธ์ฐฉํ 3,208 7,415 1,810 ์ ๊ณ 131,300 84,850 73,972 ํฉ๊ณ ์ํ 25,321 1,186 3,240 ์ ํ 62,530 50,142 49,505 ๋ฐ์ ํ 39,349 34,929 28,614 ์ฌ๊ณตํ 26,354 15,386 13,272 ์์ฌ๋ฃ 55,119 52,394 58,045 ์ ์ฅํ 2,332 1,893 969 ๋ฏธ์ฐฉํ 6,176 11,645 4,174 ๊ณ 217,181 167,575 157,819 ์ด์์ฐ๋๋น ์ฌ๊ณ ์์ฐ ๊ตฌ์ฑ๋น์จ(%) [์ฌ๊ณ ์์ฐํฉ๊ณรท๊ธฐ๋ง์์ฐ์ด๊ณร100] 16.5% 13.1% 12.7% ์ฌ๊ณ ์์ฐํ์ ์จ(ํ์) [์ฐํ์ฐ ๋งค์ถ์๊ฐรท{(๊ธฐ์ด์ฌ๊ณ +๊ธฐ๋ง์ฌ๊ณ )รท2}] 4.08ํ 5.02ํ 5.02ํ DART dart.fss.or.kr Page 216
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(2) ์ฌ๊ณ ์์ฐ ํ๊ฐ๋ด์ญ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ์ฌ๊ณ ์์ฐ์ ๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์ : ๋ฐฑ๋ง์) (3) ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ๋ด๋ณด๋ก ์ ๊ณต๋ ์ฌ๊ณ ์์ฐ์ ์์ต๋๋ค. ๊ตฌ ๋ถ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์ ๊ธฐ๋ง ํ๊ฐ์ ๊ธ์ก ํ๊ฐ์ถฉ๋น๊ธ ์ฅ๋ถ๊ธ์ก ํ๊ฐ์ ๊ธ์ก ํ๊ฐ์ถฉ๋น๊ธ ์ฅ๋ถ๊ธ์ก ์ํ 26,233 (912) 25,321 3,268 (2,082) 1,186 ์ ํ 64,415 (1,885) 62,530 52,027 (1,885) 50,142 ๋ฐ์ ํ 46,580 (7,231) 39,349 41,800 (6,871) 34,929 ์ฌ๊ณตํ 31,660 (5,306) 26,354 23,221 (7,835) 15,386 ์์ฌ๋ฃ 62,368 (7,249) 55,119 58,336 (5,942) 52,394 ์ ์ฅํ 2,332 - 2,332 1,893 - 1,893 ๋ฏธ์ฐฉํ 6,176 - 6,176 11,645 - 11,645 ํฉ ๊ณ 239,764 (22,583) 217,181 192,190 (24,615) 167,575 DART dart.fss.or.kr Page 217
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๋ง. ๊ณต์ ๊ฐ์นํ๊ฐ ๋ด์ญ ์ฐ๊ฒฐ์ค์ฒด์ ํ๊ณ์ ์ฑ ๊ณผ ๊ณต์์ฌํญ์ ๋ค์์ ๊ธ์ต ๋ฐ ๋น๊ธ์ต์์ฐ๊ณผ ๋ถ์ฑ์ ๋ํด ๊ณต์ ๊ฐ์น ์ธก ์ ์ ์๊ตฌํ๊ณ ์๋ ๋ฐ, ์ฐ๊ฒฐ์ค์ฒด๋ ๊ณต์ ๊ฐ์นํ๊ฐ ์ ์ฑ ๊ณผ ์ ์ฐจ๋ฅผ ์๋ฆฝํ๊ณ ์์ต๋๋ค. ๋ ์ ์ฑ ๊ณผ ์ ์ฐจ์๋ ๊ณต์ ๊ฐ์น ์์ด์ฒด๊ณ์์ ์์ค 3์ผ๋ก ๋ถ๋ฅ๋๋ ๊ณต์ ๊ฐ์น๋ฅผ ํฌํจํ ๋ชจ๋ ์ ์์ ์ธ ๊ณต์ ๊ฐ์น ์ธก์ ์ ๊ฒํ ๋ฅผ ์ฑ ์์ง๋ ํ๊ฐ๋ถ์์ ์ด์์ ํฌํจํ๊ณ ์์ผ๋ฉฐ, ๊ทธ ๊ฒฐ๊ณผ๋ ์ฌ๋ฌด๋ด๋น ์์์๊ฒ ์ง์ ๋ณด๊ณ ๋๊ณ ์์ต๋๋ค. ํ๊ฐ๋ถ์๋ ์ ๊ธฐ์ ์ผ๋ก ๊ด์ธก๊ฐ๋ฅํ์ง ์์ ์ ์์ ์ธ ํฌ์ ๋ณ์์ ํ๊ฐ ์กฐ์ ์ ๊ฒํ ํ๊ณ ์์ต ๋๋ค. ๊ณต์ ๊ฐ์น ์ธก์ ์์ ์ค๊ฐ์ธ ๊ฐ๊ฒฉ์ด๋ ํ๊ฐ๊ธฐ๊ด๊ณผ ๊ฐ์ ์ 3์ ์ ๋ณด๋ฅผ ์ฌ์ฉํ๋ ๊ฒฝ์ฐ, ํ ๊ฐ๋ถ์์์ ์ 3์๋ก๋ถํฐ ์ ์ํ ์ ๋ณด์ ๊ทผ๊ฑฐํ ํ๊ฐ๊ฐ ๊ณต์ ๊ฐ์น ์์ด์ฒด๊ณ ๋ด ์์ค๋ณ ๋ถ๋ฅ๋ฅผ ํฌํจํ๊ณ ์์ผ๋ฉฐ ํด๋น ๊ธฐ์ค์์ ์๊ตฌ์ฌํญ์ ์ถฉ์กฑํ๋ค๊ณ ๊ฒฐ๋ก ์ ๋ด๋ฆด ์ ์๋์ง ์ฌ๋ถ๋ฅผ ํ๋จ ํ๊ณ ์์ต๋๋ค. DART dart.fss.or.kr Page 218
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๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ๊ธ์ต์ํ์ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ณต์ ๊ฐ์น๋ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (*1) ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ์ฅ๊ธฐ๊ธ์ต์์ฐ ์ค ๋น๊ธฐ์์ต-๊ณต์ ๊ฐ์น์ธก์ ์ฑ๋ฌด์ฆ๊ถ์ ๊ณต์ ๊ฐ์น๋ฅผ ๊ฒฐ์ ํ๊ธฐ ์ํด ์ด์ฉํ ์ ์๋ ์ ๋ณด๊ฐ ๋ถ์ถฉ๋ถํ๊ณ ๊ฐ๋ฅํ ๊ณต์ ๊ฐ์น ์ธก์ ์น์ ๋ฒ์๊ฐ ๋์ผ๋ฏ๋ก, ๊ทธ ๋ฒ์ ๋ด์์ ์ทจ๋์๊ฐ์ ์๋ณธ์ ์ ์ ๋ ๋ฐฐ๋น์์ต์ ๊ฐ์ฐํ ๋์ ๊ธ์ก์ ๊ณต์ ๊ฐ ์น์ ์ต์ ์ ์ถ์ ์น๋ก ๊ฐ์ฃผํ์ฌ ์๊ฐ๋ฅผ ๊ณต์ ๊ฐ์น๋ก ํ์์ต๋๋ค. (*2) ์๊ฐํ์๊ฐ๋ก ์ธก์ ๋๋ ๊ธ์ต์์ฐ ๋ฐ ๊ธ์ต๋ถ์ฑ๋ ๊ณต์ ๊ฐ์น๊ฐ ์ฅ๋ถ๊ธ์ก๊ณผ ๊ทผ์ฌํฉ๋๋ค. (*3) ๋ถ๊ฐ์ธ๋ฏธ์๊ธ์ ์ ์ธํ ๊ธ์ก์ ๋๋ค. (*4) ๋ฆฌ์ค๋ถ์ฑ ๋ฐ ์ข ์ ์ ๊ด๋ จ ์ฑ๋ฌด๋ฅผ ์ ์ธํ ๊ธ์ก์ ๋๋ค. (๋จ์:์ฒ์) ๊ตฌ ๋ถ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์ ๊ธฐ๋ง ์ฅ๋ถ๊ธ์ก ๊ณต์ ๊ฐ์น ์ฅ๋ถ๊ธ์ก ๊ณต์ ๊ฐ์น ๊ธ์ต์์ฐ: ๊ณต์ ๊ฐ์น๋ก ์ธ์๋ ๊ธ์ต์์ฐ ์ฅ๊ธฐ๊ธ์ต์์ฐ(*1) 42,290,698 42,290,698 4,823,175 4,823,175 ์๊ฐํ์๊ฐ๋ก ์ธ์๋ ๊ธ์ต์์ฐ(*2) ํ๊ธ๋ฐํ๊ธ์ฑ์์ฐ 165,571,372 165,571,372 233,364,727 233,364,727 ๋จ๊ธฐ๊ธ์ต์ํ 192,968,350 192,968,350 221,380,010 221,380,010 ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ(*3) 188,327,068 188,327,068 192,116,396 192,116,396 ์ฅ๊ธฐ๊ธ์ต์ํ 3,000 3,000 3,000 3,000 ์ฅ๊ธฐ๋งค์ถ์ฑ๊ถ๋ฐ๊ธฐํ์ฑ๊ถ 595,999 595,999 665,865 665,865 ์ ๊ณ 547,465,789 547,465,789 647,529,998 647,529,998 ๊ธ์ต์์ฐ ํฉ๊ณ 589,756,487 589,756,487 652,353,173 652,353,173 ๊ธ์ต๋ถ์ฑ: ์๊ฐํ์๊ฐ๋ก ์ธ์๋ ๊ธ์ต๋ถ์ฑ(*2) ๋งค์ ์ฑ๋ฌด๋ฐ๊ธฐํ์ฑ๋ฌด(*4) 217,363,041 217,363,041 185,264,942 185,264,942 ์ฅ๊ธฐ๋งค์ ์ฑ๋ฌด๋ฐ๊ธฐํ์ฑ๋ฌด(*4) 115,900 115,900 115,900 115,900 ๊ธ์ต๋ถ์ฑ ํฉ๊ณ 217,478,941 217,478,941 185,380,842 185,380,842 DART dart.fss.or.kr Page 219
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IV. Directorโs Management Assessment and Analysis Opinion 1. Forward-Looking Statements ๊ธฐ์ ๊ณต์์์ ์์ฑ๊ธฐ์ค์ ๋ฐ๋ผ ๋ถ,๋ฐ๊ธฐ๋ณด๊ณ ์์ ๋ณธ ํญ๋ชฉ์ ๊ธฐ์ฌํ์ง ์์ต๋๋ค. 2. Overview ๊ธฐ์ ๊ณต์์์ ์์ฑ๊ธฐ์ค์ ๋ฐ๋ผ ๋ถ,๋ฐ๊ธฐ๋ณด๊ณ ์์ ๋ณธ ํญ๋ชฉ์ ๊ธฐ์ฌํ์ง ์์ต๋๋ค. 3. Financial Condition and Results of Operations ๊ธฐ์ ๊ณต์์์ ์์ฑ๊ธฐ์ค์ ๋ฐ๋ผ ๋ถ,๋ฐ๊ธฐ๋ณด๊ณ ์์ ๋ณธ ํญ๋ชฉ์ ๊ธฐ์ฌํ์ง ์์ต๋๋ค. 4. Liquidity, Capital Resources and Expenditures ๊ธฐ์ ๊ณต์์์ ์์ฑ๊ธฐ์ค์ ๋ฐ๋ผ ๋ถ,๋ฐ๊ธฐ๋ณด๊ณ ์์ ๋ณธ ํญ๋ชฉ์ ๊ธฐ์ฌํ์ง ์์ต๋๋ค. 5. Off-Balance Sheet Arrangements ๊ธฐ์ ๊ณต์์์ ์์ฑ๊ธฐ์ค์ ๋ฐ๋ผ ๋ถ,๋ฐ๊ธฐ๋ณด๊ณ ์์ ๋ณธ ํญ๋ชฉ์ ๊ธฐ์ฌํ์ง ์์ต๋๋ค. 6. Other Matters Material to Investment Decisions ๊ธฐ์ ๊ณต์์์ ์์ฑ๊ธฐ์ค์ ๋ฐ๋ผ ๋ถ,๋ฐ๊ธฐ๋ณด๊ณ ์์ ๋ณธ ํญ๋ชฉ์ ๊ธฐ์ฌํ์ง ์์ต๋๋ค. DART dart.fss.or.kr Page 220
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V. Accounting Auditorโs Audit Opinion, etc. 1. Matters related to external audit ๊ฐ. ํ๊ณ๊ฐ์ฌ์ธ์ ๋ช ์นญ ๋ฐ ๊ฐ์ฌ์๊ฒฌ ๋. ๊ฐ์ฌ์ฉ์ญ ์ฒด๊ฒฐํํฉ ๋ค. ํ๊ณ๊ฐ์ฌ์ธ๊ณผ์ ๋น๊ฐ์ฌ์ฉ์ญ ๊ณ์ฝ์ฒด๊ฒฐ ํํฉ ๋ผ. ํ๊ณ๊ฐ์ฌ์ธ์ ๋คํธ์ํฌ ํ๊ณ๋ฒ์ธ๊ณผ์ ๋น๊ฐ์ฌ์ฉ์ญ ๊ณ์ฝ์ฒด๊ฒฐ ํํฉ Fiscal year Category Auditors Audit opinion Reasons for change in opinion Significant uncertainty related to going concern Matters of emphasis Key audit matters ์ 25๊ธฐ ๋ฐ๊ธฐ (๋น๊ธฐ) Audit Report ์ผ์ ํ๊ณ๋ฒ์ธ - ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ Consolidated Audit Report ์ผ์ ํ๊ณ๋ฒ์ธ - ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ์ 24๊ธฐ (์ ๊ธฐ) Audit Report ์ผ์ ํ๊ณ๋ฒ์ธ Unqualified opinion ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ์๋์ฐจ๋ถํ์ฌ์ ํด์ธ๋งค์ถ ์์ต์ธ์ ๊ธฐ๊ฐ๊ท์์ ์ ์ ์ฑ Consolidated Audit Report ์ผ์ ํ๊ณ๋ฒ์ธ Unqualified opinion ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ์๋์ฐจ๋ถํ์ฌ์ ํด์ธ๋งค์ถ ์์ต์ธ์ ๊ธฐ๊ฐ๊ท์์ ์ ์ ์ฑ ์ 23๊ธฐ (์ ์ ๊ธฐ) Audit Report ์ผ์ ํ๊ณ๋ฒ์ธ Unqualified opinion ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ์๋์ฐจ๋ถํ์ฌ์ ํด์ธ๋งค์ถ ์์ต์ธ์ ๊ธฐ๊ฐ๊ท์์ ์ ์ ์ฑ Consolidated Audit Report ์ผ์ ํ๊ณ๋ฒ์ธ Unqualified opinion ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ํด๋น์ฌํญ์์ ์๋์ฐจ๋ถํ์ฌ์ ํด์ธ๋งค์ถ ์์ต์ธ์ ๊ธฐ๊ฐ๊ท์์ ์ ์ ์ฑ (Unit: KRW million, hours) Fiscal year Auditors Details Audit contract details Actual performance details Remuneratio n Hours Remuneratio n Hours ์ 25๊ธฐ ๋ฐ๊ธฐ(๋น๊ธฐ) ์ผ์ ํ๊ณ๋ฒ์ธ ์ 25๊ธฐ ์ฐ๊ฒฐ ๋ฐ ๋ณ๋ ํ๊ณ๊ฐ์ฌ ๋ฐ ๋ถ๋ฐ๊ธฐ๊ฒํ , ๋ด๋ถํ๊ณ๊ด๋ฆฌ์ ๋ ๊ฐ์ฌ 260 2,910 65 780 ์ 24๊ธฐ(์ ๊ธฐ) ์ผ์ ํ๊ณ๋ฒ์ธ ์ 24๊ธฐ ์ฐ๊ฒฐ ๋ฐ ๋ณ๋ ํ๊ณ๊ฐ์ฌ ๋ฐ ๋ถ๋ฐ๊ธฐ๊ฒํ , ๋ด๋ถํ๊ณ๊ด๋ฆฌ์ ๋ ๊ฐ์ฌ 306 3,034 306 3,028 ์ 23๊ธฐ(์ ์ ๊ธฐ) ์ผ์ ํ๊ณ๋ฒ์ธ ์ 23๊ธฐ ์ฐ๊ฒฐ ๋ฐ ๋ณ๋ ํ๊ณ๊ฐ์ฌ ๋ฐ ๋ถ๋ฐ๊ธฐ๊ฒํ , ๋ด๋ถํ๊ณ๊ด๋ฆฌ์ ๋ ๊ฐ์ฌ 298 2,980 298 2,917 (๋จ์ : ๋ฐฑ๋ง์) Fiscal year Contract conclusion date Service details Service performance period Service remuneration Note ์ 25๊ธฐ ๋ฐ๊ธฐ(๋น๊ธฐ) - - - - - ์ 24๊ธฐ(์ ๊ธฐ) - - - - - ์ 23๊ธฐ(์ ์ ๊ธฐ) - - - - - Fiscal year Network Firm Contract conclusion date Service details Service performance period Service remuneration Note ์ 25๊ธฐ ๋ฐ๊ธฐ(๋น๊ธฐ) - - - - - - DART dart.fss.or.kr Page 221
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์ 24๊ธฐ(์ ๊ธฐ) - - - - - - ์ 23๊ธฐ(์ ์ ๊ธฐ) - - - - - - DART dart.fss.or.kr Page 222
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๋ง. ๋ด๋ถ๊ฐ์ฌ๊ธฐ๊ตฌ๊ฐ ํ๊ณ๊ฐ์ฌ์ธ๊ณผ ๋ ผ์ํ ๊ฒฐ๊ณผ ๋ฐ. ํ๊ณ๊ฐ์ฌ์ธ์ ๋ณ๊ฒฝ ๋น์ฌ๋ 2023๋ 2์ 8์ผ ๊ฐ์ฌ์ธ์ ์์์ํ์์ ์ ์๋ ์ผ์ ํ๊ณ๋ฒ์ธ๊ณผ์ ๊ฐ์ฌ๊ธฐ๊ฐ์ด ์ข ๋ฃ๋จ ์ ๋ฐ๋ผ 2026๋ 2์ 5์ผ ๊ฐ์ฌ์ธ์ ์์์ํ๋ฅผ ๊ฐ์ตํ์ฌ ์ 25๊ธฐ๋ถํฐ ์ 27๊ธฐ๊น์ง(2026๋ ~2028๋ )์ ์ธ๋ถ๊ฐ์ฌ์ธ์ผ๋ก ์ผ์ ํ๊ณ๋ฒ์ธ์ ์ ์ํ์์ต๋๋ค. Categor y Date Attendees Method Key discussions 1 2026.02.10 ํ์ฌ: ์๊ทผ๊ฐ์ฌ ๊ฐ์ฌ์ธ: ์ ๋ฌด์ํ์ด์ฌ ์ธ 1๋ช ์๋ฉด - ๊ฐ์ฌ ์งํ ์ฌํญ ๋ฐ ๊ฒฐ๊ณผ - ๋ด๋ถํ๊ณ๊ด๋ฆฌ์ ๋ ์ด์ํ๊ฐ ๊ฒฐ๊ณผ - ๊ฒฝ์์ง๊ณผ์ ์ค์ํ ์๋ฉด์ง์ ์ฌํญ - ๊ฐ์ฌ์์๋ฃ ๋ฐ ๋ ๋ฆฝ์ฑ ๋ฑ DART dart.fss.or.kr Page 223
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2. Matters related to internal control ๊ฐ. ๊ฒฝ์์ง์ ๋ด๋ถํ๊ณ ๊ด๋ฆฌ์ ๋ ํจ๊ณผ์ฑ ํ๊ฐ ๊ฒฐ๊ณผ ๋. ๊ฐ์ฌ์ ๋ด๋ถํ๊ณ๊ด๋ฆฌ์ ๋ ํจ๊ณผ์ฑ ํ๊ฐ ๊ฒฐ๊ณผ Fiscal year Category Date of Operational Status Report Results of assessment Significant weaknesses Corrective actions to be taken, etc. ์ 25๊ธฐ ๋ฐ๊ธฐ (๋น๊ธฐ) Internal accounting control system - - - - Consolidated internal accounting control system - - - - ์ 24๊ธฐ (์ ๊ธฐ) Internal accounting control system 2026๋ 01์ 29์ผ Deemed to be effective in design and operation from the perspective of materiality ํด๋น์ฌํญ ์์ ํด๋น์ฌํญ ์์ Consolidated internal accounting control system - - - - ์ 23๊ธฐ (์ ์ ๊ธฐ) Internal accounting control system 2025๋ 02์ 04์ผ Deemed to be effective in design and operation from the perspective of materiality ํด๋น์ฌํญ ์์ ํด๋น์ฌํญ ์์ Consolidated internal accounting control system - - - - Fiscal year Category Date of Evaluation Report Results of assessment Significant weaknesses Corrective actions to be taken, etc. ์ 25๊ธฐ ๋ฐ๊ธฐ (๋น๊ธฐ) Internal accounting control system - - - - Consolidated internal accounting control system - - - - ์ 24๊ธฐ (์ ๊ธฐ) Internal accounting 2026.01.29 Deemed to be effective in design ํด๋น์ฌํญ ์์ ํด๋น์ฌํญ ์์ DART dart.fss.or.kr Page 224
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๋ค. ๊ฐ์ฌ์ธ์ ๋ด๋ถํ๊ณ๊ด๋ฆฌ์ ๋ ๊ฐ์ฌ์๊ฒฌ ๋ผ. ๋ด๋ถํ๊ณ๊ด๋ฆฌยท์ด์์กฐ์ง ์ธ๋ ฅ ๋ฐ ๊ณต์ธํ๊ณ์ฌ ๋ณด์ ํํฉ control system and operation from the perspective of materiality Consolidated internal accounting control system - - - - ์ 23๊ธฐ (์ ์ ๊ธฐ) Internal accounting control system 2025.02.04 Deemed to be effective in design and operation from the perspective of materiality ํด๋น์ฌํญ ์์ ํด๋น์ฌํญ ์์ Consolidated internal accounting control system - - - - Fiscal year Category Auditors Type (Audit/Review) Audit opinion or review conclusion Issues raised Actions of the company ์ 25๊ธฐ ๋ฐ๊ธฐ (๋น๊ธฐ) Internal accounting control system - - - - - Consolidated internal accounting control system - - - - - ์ 24๊ธฐ (์ ๊ธฐ) Internal accounting control system ์ผ์ ํ๊ณ๋ฒ์ธ Audit Unqualified opinion ํด๋น์ฌํญ ์์ ํด๋น์ฌํญ ์์ Consolidated internal accounting control system - - - - - ์ 23๊ธฐ (์ ์ ๊ธฐ) Internal accounting control system ์ผ์ ํ๊ณ๋ฒ์ธ Audit Unqualified opinion ํด๋น์ฌํญ ์์ ํด๋น์ฌํญ ์์ Consolidated internal accounting control system - - - - - Affiliated institution Total Proportion of internal accounting personnel holding Average DART dart.fss.or.kr Page 225
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or department number of persons certified public accountant certification experience in months of internal accounting personnel Number of personnel responsible for internal accounting (A) Number of certified public accountant certificate holders (B) Ratio (B/A*100) ๊ฐ์ฌ(์์ํ) 1 1 0 0 27 ์ด์ฌํ 4 1 0 0 276 ํ๊ณ์๊ธ์ฒ๋ฆฌ๋ถ์ 9 9 0 0 282 ์ ์ฐ์ด์๋ถ์ 12 4 0 0 252 DART dart.fss.or.kr Page 226
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๋ง. ํ๊ณ๋ด๋น์์ ๊ฒฝ๋ ฅ ๋ฐ ๊ต์ก์ค์ - ๋ด๋ถํ๊ณ๊ด๋ฆฌ์์ ํ๊ณ๋ด๋น์์์ด ๋์ผ์ธ์ด์ด์ ํ๊ณ๋ด๋น์์์ ๊ธฐ์ฌ๋ฅผ ์๋ตํจ - ๊ฒฝ๋ ฅ์ ๋ ๋จ์๋ก ์์ฑํจ Position in company (Position) Name Registration status of accounting personnel Experience (Unit: years, months) Training record (Unit: hours) Years of service Professional background in accounting Current term Cumula tive ๋ด๋ถํ๊ณ๊ด๋ฆฌ์(์ด์ฌ) ํ์์ธ ๋ฑ๋ก 29 29 4 60 ํ๊ณ๋ด๋น์์ - - - - - - ํ๊ณ๋ด๋น์ง์(ํ์ฅ) ํ์์ ๋ฑ๋ก 23 23 - 102 ํ๊ณ๋ด๋น์ง์(์ฑ ์) ์กฐ์์ฐ ๋ฑ๋ก 26 26 - 110 ํ๊ณ๋ด๋น์ง์(์ฑ ์) ์์ฐ์ง ๋ฑ๋ก 15 13 - 84 ํ๊ณ๋ด๋น์ง์(๋งค๋์ ) ๊นํ๋ฏผ ๋ฑ๋ก 4 1 8 8 ํ๊ณ๋ด๋น์ง์(๋งค๋์ ) ์ ์ฐฌ์ ๋ฑ๋ก 3 3 - 8 DART dart.fss.or.kr Page 227
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VI. Matters Related to Corporate Bodies Including the Board of Directors, etc. 1. Matters related to the board of directors ๊ฐ. ์ด์ฌํ ๊ตฌ์ฑ ๊ฐ์ ๋ณธ ๋ณด๊ณ ์ ์ ์ถ์ผ ํ์ฌ ๋น์ฌ์ ์ด์ฌํ๋ 2๋ช ์ ์ฌ๋ด์ด์ฌ, 1๋ช ์ ๋ ๋ฆฝ์ด์ฌ ๋ฑ 3๋ช ์ ์ด์ฌ๋ก ๊ตฌ์ฑ๋์ด ์์ผ๋ฉฐ ๋ํ์ด์ฌ๊ฐ ์ด์ฌํ์์ฅ์ ํ๊ณ ์์ต๋๋ค. ๋ํ ์ด์ฌํ๊ท์ ์ ์๊ฑฐ ํ์์ ๋ฐ๋ผ ์ด์ฌํ๋ด์ ์์ํ๋ฅผ ๋ ์ ์๋๋ก ๊ท์ ํ๊ณ ์์ต๋๋ค. ๊ฐ ์ด์ฌ์ ์ฃผ์ ์ด๋ ฅ ๋ฐ ์ ๋ฌด๋ถ์ฅ์ "VIII. ์์ ๋ฐ ์ง์ ๋ฑ์ ๊ดํ ์ฌํญ" ์ค ์์ ๋ฐ ์ง์์ ํํฉ์ ์ฐธ์กฐํ์๊ธฐ ๋ฐ๋๋๋ค. ๋. ์ฃผ์ ์๊ฒฐ์ฌํญ (*) 2026๋ 07์ 24์ผ ๊นํ์ญ ์ฌ๋ด์ด์ฌ๊ฐ ์ผ์ ์์ ์ด์ ๋ก ์ฌ์ํ์์ต๋๋ค. ๋ค. ์ด์ฌํ ๋ด ์์ํ ํ์ฌ๋ ์ด์ฌํ๊ท์ ์ ๋๊ณ ํ์์ ์ด์ฌํ๋ด์ ๋ณ๋์ ์์ํ๋ฅผ ๋ ์ ์๋๋ก ํ๊ณ ์์ผ๋, ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์กด์ฌํ๋ ๋ณ๋์ ์์ํ๋ ์์ต๋๋ค. ํ์ฐจ ๊ฐ์ต์ผ์ ์ ์ ๋ด ์ฉ ๊ฐ๊ฒฐ ์ฌ๋ถ ์ฌ๋ด์ด์ฌ ์ฌ์ธ ์ด์ฌ ์ฐธ์ ์ฌ๋ถ ๋ ๋ฆฝ(์ฌ์ธ)์ด์ฌ* ๊ถํ์ (์ถ์๋ฅ : 100%) ๊น๋ํ (์ถ์๋ฅ : 100%) ๊นํ์ญ (์ถ์๋ฅ : 100%) ํ์ฐ (์ถ์๋ฅ : 100%) ์ฐฌ๋ฐ์ฌ๋ถ ์ฐฌ๋ฐ์ฌ๋ถ ์ฐฌ๋ฐ์ฌ๋ถ ์ฐฌ๋ฐ์ฌ๋ถ ์ 1ํ '26.01.29 2025๋ ๋ ๊ฒฐ์ฐ(์) ์น์ธ์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 2ํ ์ 24๊ธฐ ํ๊ธ๋ฐฐ๋น์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 3ํ ์ 24๊ธฐ ์ ๊ธฐ์ฃผ์ฃผ์ดํ ์์ง์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 4ํ 2025๋ ๋ด๋ถํ๊ณ๊ด๋ฆฌ์ ๋์ด์์คํ ํ๊ฐ ๋ณด๊ณ ๋ณด๊ณ ๋ณด๊ณ ๋ณด๊ณ ๋ณด๊ณ ์ฐธ์ ๋ณด๊ณ ์ 5ํ 2026๋ ์์ ๋ฐ ๋ณด๊ฑด์ ๊ดํ๊ณํ ๋ณด๊ณ ยท์น ์ธ ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 6ํ ์๊ธฐ์ฃผ์๋ณด๊ณ ์ ์น์ธ์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 7ํ '26.02.20 ์ธ๋๋ฒ์ธ ์ถ๊ฐ ์ถ์์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 8ํ '26.03.13 ๋ถ๊ธฐ๋ฐฐ๋น์ ์ํ ๊ธฐ์ค์ผ ๊ฒฐ์ ์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 9ํ '26.03.16 ์์์ฃผ์ฃผ์ดํ ์์ง์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 10ํ '26.03.23 (์ฃผ)์ค๋งฅ ์ง๋ถ ์ทจ๋์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ - ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 11ํ (์ฃผ)SNT๋ก๋ณดํฑ์ค ์ง๋ถ ์ทจ๋์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ - ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 12ํ '26.04.22 (์ฃผ)์ค๋งฅ ์ง๋ถ ์ทจ๋์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ - ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 13ํ '26.05.12 ๋ถ๊ธฐ ํ๊ธ๋ฐฐ๋น์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 14ํ '26.06.15 ๋ถ๊ธฐ๋ฐฐ๋น์ ์ํ ๊ธฐ์ค์ผ ์ค์ ์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐฌ์ฑ ์ฐธ์ ์ฐฌ์ฑ ์ 15ํ '06.08.12 ๋ถ๊ธฐ ํ๊ธ๋ฐฐ๋น์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ -(*) ์ฐธ์ ์ฐฌ์ฑ ์ 16ํ ์๊ธฐ์ฃผ์๋ณด๊ณ ์ ์น์ธ์ ๊ฑด ๊ฐ๊ฒฐ ์ฐฌ์ฑ ์ฐฌ์ฑ -(*) ์ฐธ์ ์ฐฌ์ฑ DART dart.fss.or.kr Page 228
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๋ผ. ์ด์ฌ์ ๋ ๋ฆฝ์ฑ ๋น์ฌ๋ ๋ ๋ฆฝ์ด์ฌ๋ฅผ ํฌํจํ ๋ชจ๋ ์ด์ฌ์ ๋ ๋ฆฝ์ฑ ๊ฐํ๋ฅผ ์ํด ์ด์ฌ ์ ์์ ์ฃผ์ฃผ์ดํ ์ ์ด์ฌ์ ๋ํ ๋ชจ๋ ์ ๋ณด๋ฅผ ํฌ๋ช ํ๊ฒ ๊ณต๊ฐํ์ฌ ์ถ์ฒ์ธ, ์ต๋์ฃผ์ฃผ์์ ๊ด๊ณ, ํ์ฌ์์ ๊ฑฐ๋ ๋ฑ์ ๋ํ ๋ด์ญ์ ์ธ๋ถ์ ๊ณต์ํ๊ณ ์์ต๋๋ค. ์ด์ฌ ์ ์๊ณผ ๊ด๋ จํ์ฌ ์ฃผ์ฃผ์ดํ์ ์์์ ์ ์ถํ์ฌ ์ ์ ํ๊ณ ์์ต๋๋ค. ์ด๋ฌํ ์ ์ฐจ์ ๋ฐ๋ผ ์ฃผ์ฃผ์ดํ์์ ์ ์๋ ์ด์ฌ๋ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. โป 2026๋ 07์ 24์ผ ๊นํ์ญ ์ฌ๋ด์ด์ฌ๊ฐ ์ผ์ ์์ ์ด์ ๋ก ์ฌ์ํ์์ต๋๋ค. โป ์๊ธฐ ์์์ ์ ์ ์ดํ ใ๊ธ์ตํ์ฌ์ ์ง๋ฐฐ๊ตฌ์กฐ์ ๊ดํ ๋ฒ๋ฅ ์ํ๋ นใ์ 3์กฐ ์ 1ํญ 2ํธ์ ๋ฐ๋ผ ์ต๋์ฃผ์ฃผ์ ํน์๊ด๊ณ์ธ์ ํด๋นํฉ๋๋ค. ๋ง. ๋ ๋ฆฝ์ด์ฌ ๋ฐ ๊ทธ ๋ณ๋ํํฉ โป 2026๋ 07์ 24์ผ ๊นํ์ญ ์ฌ๋ด์ด์ฌ๊ฐ ์ผ์ ์์ ์ด์ ๋ก ์ฌ์ํ์์ต๋๋ค. ๋ฐ. ๋ ๋ฆฝ์ด์ฌ ๊ต์ก ๋ฏธ์ค์ ๋ด์ญ ์ฑ ๋ช ์ง ์ ์ถ์ฒ์ธ ๋ด๋น์ ๋ฌด ํ์ฌ์์ ๊ฑฐ๋ ์ต๋์ฃผ์ฃผ ๋๋ ์ฃผ์์ฃผ์ฃผ์์ ๊ด๊ณ ์๊ธฐ ์ฐ์์ฌ๋ถ(ํ์) ๊ถํ์ ๋ํ์ด์ฌ ์ด์ฌํ ์ด ๊ด ์์ - 3๋ 1ํ ๊น๋ํ ์ฌ๋ด์ด์ฌ ์ด์ฌํ - ์์ ์ต๋์ฃผ์ฃผ์ ์์ 3๋ 2ํ ํ ์ฐ ๋ ๋ฆฝ์ด์ฌ ์ด์ฌํ ๋ ๋ฆฝ์ด์ฌ ์์ - 3๋ ์ ๊ท (Unit: persons) Number of directors Number of independent(outsid e) directors Status of changes in independent(outside) directors Appointment Dismissal Early retirement 3 1 - - - ๋ ๋ฆฝ(์ฌ์ธ)์ด์ฌ* ๊ต์ก ์ค์์ฌ๋ถ ๋ ๋ฆฝ(์ฌ์ธ)์ด์ฌ* ๊ต์ก ๋ฏธ์ค์ ์ฌ์ ๋ฏธ์ค์ ๋น๊ธฐ(์ 25๊ธฐ)์ค ์ค์ํ ๊ณํ์ DART dart.fss.or.kr Page 229
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2. Matters related to the audit system ๊ฐ. ๊ฐ์ฌ์ ๊ดํ ์ฌํญ ๋น์ฌ๋ ๋ณธ ๋ณด๊ณ ์ ์ ์ถ์ผ ํ์ฌ ๊ฐ์ฌ์์ํ๋ฅผ ๋ณ๋๋ก ์ค์นํ๊ณ ์์ง ์๋ํ๋ฉฐ, ์ฃผ์ฃผ์ดํ ๊ฒฐ์ ์ ์ํ์ฌ ์ ์๋ ๊ฐ์ฌ 1๋ช (ํ์๋ณด)์ด ๊ฐ์ฌ์ ๋ฌด๋ฅผ ์ํํ๊ณ ์์ต๋๋ค. ์ด๋ฌํ ์ ์ฐจ์ ๋ฐ๋ผ ์ ์๋ ๊ฐ์ฌ์ ํํฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. โป ์๊ธฐ ์์์ ์ ์ ์ดํ ใ๊ธ์ตํ์ฌ์ ์ง๋ฐฐ๊ตฌ์กฐ์ ๊ดํ ๋ฒ๋ฅ ์ํ๋ นใ์ 3์กฐ ์ 1ํญ 2ํธ์ ๋ฐ๋ผ ์ต๋์ฃผ์ฃผ์ ํน์๊ด๊ณ์ธ์ ํด๋นํฉ๋๋ค. ๊ฐ์ฌ๋ ์ด์ฌํ์ ์ฐธ์ํ์ฌ ๋ ๋ฆฝ์ ์ผ๋ก ์ด์ฌ์ ์ ๋ฌด๋ฅผ ๊ฐ๋ ํ ์ ์์ผ๋ฉฐ, ์ ๋ฐ์ ๋ฌด์๊ด๋ จํ ์ฌ ๊ด๋ จ ์ฅ๋ถ ๋ฐ ๊ด๊ณ์๋ฅ๋ฅผ ํด๋น๋ถ์์ ์ ์ถ์ ์๊ตฌํ ์ ์์ต๋๋ค. ๋ํ ํ์์ ํ์ฌ๋ก๋ถ ํฐ ์์ ์ ๊ดํ ์ฌํญ์ ๋ณด๊ณ ๋ฐ์ ์ ์์ผ๋ฉฐ, ์ ์ ํ ๋ฐฉ๋ฒ์ผ๋ก ๊ฒฝ์์ ๋ณด์ ์ ๊ทผํ ์ ์์ต๋ ๋ค. ๊ฐ์ฌ์ ์ธ์ ์ฌํญ์ ๋ํด์๋ "VIII. ์์ ๋ฐ ์ง์ ๋ฑ์ ๊ดํ ์ฌํญ"์ ์ฐธ์กฐํ์๊ธฐ ๋ฐ๋๋๋ค. ์ง ๋ช ์ฑ ๋ช ์๋ ์ ์ถ์ฒ์ธ ํ์ฌ์์ ๊ฑฐ๋๋ด์ญ ์ต๋์ฃผ์ฃผ ๋๋ ์ฃผ์์ฃผ์ฃผ์์ ๊ด๊ณ ๊ฐ ์ฌ ํ์๋ณด 1965.05 ์ด์ฌํ ์์ - DART dart.fss.or.kr Page 230
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๋. ๊ฐ์ฌ์ ์ฃผ์ํ๋๋ด์ญ ๋ค. ๊ฐ์ฌ ๊ต์ก ๋ฏธ์ค์ ๋ด์ญ ๋ผ. ๊ฐ์ฌ ์ง์์กฐ์ง ํํฉ ๋ง. ์ค๋ฒ์ง์์ธ๋ฑ์ ๊ดํ ์ฌํญ - ๋ณธ ๋ณด๊ณ ์ ์ ์ถ์ผ ํ์ฌ ๋น์ฌ์ ์ ์๋ ์ค๋ฒ์ง์์ธ์ ์์ต๋๋ค. ํ์ฐจ ๊ฐ์ต์ผ์ ์ ์ ๋ด ์ฉ ๊ฐ๊ฒฐ ์ฌ๋ถ ์ฐธ์ ์ฌ๋ถ ์ 1ํ '26.01.29 2025๋ ๋ ๊ฒฐ์ฐ(์) ์น์ธ์ ๊ฑด ๊ฐ๊ฒฐ ์ฐธ์ ์ 2ํ ์ 24๊ธฐ ํ๊ธ๋ฐฐ๋น์ ๊ฑด ๊ฐ๊ฒฐ ์ฐธ์ ์ 3ํ ์ 24๊ธฐ ์ ๊ธฐ์ฃผ์ฃผ์ดํ ์์ง์ ๊ฑด ๊ฐ๊ฒฐ ์ฐธ์ ์ 4ํ 2025๋ ๋ด๋ถํ๊ณ๊ด๋ฆฌ์ ๋์ด์์คํ ํ๊ฐ๋ณด๊ณ ๋ณด๊ณ ์ฐธ์ ์ 5ํ 2026๋ ์์ ๋ฐ ๋ณด๊ฑด์ ๊ดํ๊ณํ ๋ณด๊ณ ยท์น์ธ ๊ฐ๊ฒฐ ์ฐธ์ ์ 6ํ ์๊ธฐ์ฃผ์๋ณด๊ณ ์ ์น์ธ์ ๊ฑด ๊ฐ๊ฒฐ ์ฐธ์ ์ 7ํ '26.02.20 ์ธ๋๋ฒ์ธ ์ถ๊ฐ ์ถ์์ ๊ฑด ๊ฐ๊ฒฐ ์ฐธ์ ์ 8ํ '26.03.13 ๋ถ๊ธฐ๋ฐฐ๋น์ ์ํ ๊ธฐ์ค์ผ ๊ฒฐ์ ์ ๊ฑด ๊ฐ๊ฒฐ ๊ณต์ ์ 9ํ '26.03.16 ์์์ฃผ์ฃผ์ดํ ์์ง์ ๊ฑด ๊ฐ๊ฒฐ ๊ณต์ ์ 10ํ '26.03.23 (์ฃผ)์ค๋งฅ ์ง๋ถ ์ทจ๋์ ๊ฑด ๊ฐ๊ฒฐ ๊ณต์ ์ 11ํ '26.03.23 (์ฃผ)SNT๋ก๋ณดํฑ์ค ์ง๋ถ ์ทจ๋์ ๊ฑด ๊ฐ๊ฒฐ ๊ณต์ ์ 12ํ '26.04.22 (์ฃผ)์ค๋งฅ ์ง๋ถ ์ทจ๋์ ๊ฑด ๊ฐ๊ฒฐ ๊ณต์ ์ 13ํ '26.05.12 ๋ถ๊ธฐ ํ๊ธ๋ฐฐ๋น์ ๊ฑด ๊ฐ๊ฒฐ ์ฐธ์ ์ 14ํ '26.06.15 ๋ถ๊ธฐ๋ฐฐ๋น์ ์ํ ๊ธฐ์ค์ผ ์ค์ ์ ๊ฑด ๊ฐ๊ฒฐ ์ฐธ์ ์ 15ํ '26.08.12 ๋ถ๊ธฐ ํ๊ธ๋ฐฐ๋น์ ๊ฑด ๊ฐ๊ฒฐ ์ฐธ์ ์ 16ํ ์๊ธฐ์ฃผ์๋ณด๊ณ ์ ์น์ธ์ ๊ฑด ๊ฐ๊ฒฐ ์ฐธ์ Whether training is provided for audits Reasons for non-implementation of training for audits Non-implementation ๋น๊ธฐ(์ 25๊ธฐ)์ค ์ค์ํ ๊ณํ์ Department (Team) name Number of employees (persons) Position (years of service) Main activities ์ธ๋ฌดํ๊ณํ 2 ํ์ฅ, ์ฑ ์ - ์ฌ๋ฌด์ ํ, ์ด์ฌํ ๋ฑ ๊ฒฝ์์ ๋ฐ์ ๊ดํ ๊ฐ์ฌ์ง๋ฌด ์ํ์ง์ - ๋ด๋ถํ๊ณ๊ด๋ฆฌ์ ๋ ์ด์์คํ ํ๊ฐ์ง์ DART dart.fss.or.kr Page 231
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3. Matters related to general shareholdersโ meeting, etc. ๊ฐ. ํฌํ์ ๋ ํํฉ ๋. ์๊ฒฐ๊ถ ํํฉ (Record date: 2026.06.30 ) Types of voting system Concentrated voting system Paper voting system Electronic voting system Introduction status Not Adopted Not Introduced Not Introduced Implementation status - - - (Record date: 2026.06.30 ) (Unit: shares) Category Type of shares Number of shares Note Total number of shares issued (A) ๋ณดํต์ฃผ 26,540,272 - ์ฐ์ ์ฃผ - - Number of non-voting shares (B) ๋ณดํต์ฃผ 2,706,000 ์๊ธฐ์ฃผ์ ์ฐ์ ์ฃผ - - Number of shares excluded from exercising voting rights under the articles of incorporation(C) ๋ณดํต์ฃผ - - ์ฐ์ ์ฃผ - - Number of shares restricted from exercising voting rights by other laws (D) ๋ณดํต์ฃผ - ์ต๋์ฃผ์ฃผ๋ฑ์ ๊ฐ์ฌ, ๊ฐ์ฌ์์ํ ์ ์ ์ ํ ์ฐ์ ์ฃผ - - Number of shares with restored voting rights (E) ๋ณดํต์ฃผ - - ์ฐ์ ์ฃผ - - Number of voting shares (F = A - B - C - D + E) ๋ณดํต์ฃผ 23,834,272 - ์ฐ์ ์ฃผ - - DART dart.fss.or.kr Page 232
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๋ค. ์ฃผ์์ฌ๋ฌด ๋น์ฌ ์ ๊ด์์ ์ ์ฃผ์ธ์๊ถ ๋ด์ฉ ๋ฐ ์ฃผ์์ ์ฌ๋ฌด์ ๊ด๋ จ๋ ์ฃผ์์ฌํญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ์ ๊ด์ ์ ์ฃผ์ธ์๊ถ์ ๋ด์ฉ ์ 11์กฐ(์ฃผ์์ ๋ฐํ ๋ฐ ๋ฐฐ์ ) โ ํ์ฌ์ ์ ์ฃผ๋ฐํ์ ํ์ํ ์ฌํญ์ ์ด์ฌํ๊ฐ ์ ํ๋ค. โก ํ์ฌ๊ฐ ์ด์ฌํ์ ๊ฒฐ์๋ก ์ ์ฃผ๋ฅผ ๋ฐํํ๋ ๊ฒฝ์ฐ ๋ค์ ๊ฐ ํธ์ ๋ฐฉ์์ ์ํ๋ค. 1. ์ฃผ์ฃผ์๊ฒ ๊ทธ๊ฐ ๊ฐ์ง ์ฃผ์ ์์ ๋น๋กํ์ฌ ์ ์ฃผ๋ฅผ ๋ฐฐ์ ํ๊ธฐ ์ํ์ฌ ์ ์ฃผ์ธ์์ ์ฒญ์ฝ์ ํ ๊ธฐํ๋ฅผ ๋ถ์ฌํ๋ ๋ฐฉ์ 2. ๋ฐํ์ฃผ์์ด์์ 100๋ถ์ 50์ ์ด๊ณผํ์ง ์๋ ๋ฒ์ ๋ด์์(๋ณธ ํธ์ ๋ฐํ์ฃผ์์ด์๋ ๋ณธ ํธ์ ๋ฐ๋ผ ์ ๊ท๋ก ๋ฐํ๋๋ ์ฃผ์์ ํฉ์ฐํ์ฌ ๊ณ์ฐํจ) ์ 1ํธ ์ธ์ ๋ฐฉ๋ฒ์ผ๋ก ๋ถํน์ ๋ค์์ธ(๋ณธ ํ์ฌ์ ์ฃผ์ฃผ๋ฅผ ํฌํจํ๋ค)์๊ฒ ์ ์ฃผ์ธ์์ ์ฒญ์ฝ์ ํ ๊ธฐํ๋ฅผ ๋ถ์ฌํ๊ณ ์ด์ ๋ฐ๋ผ ์ฒญ์ฝ์ ํ ์์ ๋ํ์ฌ ์ ์ฃผ๋ฅผ ๋ฐฐ์ ํ๋ ๋ฐฉ์ 3. ๋ฐํ์ฃผ์์ด์์ 100๋ถ์ 30์ ์ด๊ณผํ์ง ์๋ ๋ฒ์ ๋ด์์(๋ณธ ํธ์ ๋ฐํ์ฃผ์์ด์๋ ๋ณธ ํธ์ ๋ฐ๋ผ ์ ๊ท๋ก ๋ฐํ๋๋ ์ฃผ์์ ํฉ์ฐํ์ฌ ๊ณ์ฐํจ) ์ฌ๋ฌด๊ตฌ์กฐ์ ๊ฐ์ , ์ ๊ธฐ์ ์ ๋ ์ , ์ ๋ต์ ์ ํด, ์ฐ๊ตฌ๊ฐ๋ฐ, ๊ธด๊ธํ ์๊ธ์กฐ๋ฌ ๋ฑ ํ์ฌ์ ๊ฒฝ์์ ๋ชฉ์ ์ ๋ฌ์ฑํ๊ธฐ์ํ์ฌ ํ์ํ ๊ฒฝ์ฐ ์ 1ํธ ์ธ์ ๋ฐฉ๋ฒ์ผ๋ก ํน์ ํ ์(๋ณธ ํ์ฌ์ ์ฃผ์ฃผ๋ฅผ ํฌํจํ๋ค)์๊ฒ์ ์ฃผ์ธ์ ์ ์ฒญ์ฝ์ ํ ๊ธฐํ๋ฅผ ๋ถ์ฌํ๊ณ ์ด์ ๋ฐ๋ผ ์ฒญ์ฝ์ ํ ์์ ๋ํ์ฌ ์ ์ฃผ๋ฅผ ๋ฐฐ์ ํ๋ ๋ฐฉ์ 4. ๋ฐํ์ฃผ์์ด์์ 100๋ถ์ 20์ ์ด๊ณผํ์ง ์๋ ๋ฒ์ ๋ด์์ ์ฃผ์์ํ์ฆ์(DR) ๋ฐํ ์ ๋ฐ๋ผ ์ ์ฃผ๋ฅผ ๋ฐํํ๋ ๊ฒฝ์ฐ โข ์ 2ํญ ์ 2ํธ์ ๋ฐฉ์์ผ๋ก ์ ์ฃผ๋ฅผ ๋ฐฐ์ ํ๋ ๊ฒฝ์ฐ์๋ ์ด์ฌํ์ ๊ฒฐ์๋ก ๋ค์ ๊ฐ ํธ์ ์ด๋ ํ๋์ ํด๋นํ๋ ๋ฐฉ์์ผ๋ก ์ ์ฃผ๋ฅผ ๋ฐฐ์ ํ์ฌ์ผ ํ๋ค. 1. ์ ์ฃผ์ธ์์ ์ฒญ์ฝ์ ํ ๊ธฐํ๋ฅผ ๋ถ์ฌํ๋ ์์ ์ ํ์ ๋ถ๋ฅํ์ง ์๋ํ๊ณ ๋ถํน์ ๋ค์ ์ ์ฒญ์ฝ์์๊ฒ ์ ์ฃผ๋ฅผ ๋ฐฐ์ ํ๋ ๋ฐฉ์ 2. ๊ด๊ณ ๋ฒ๋ น์ ๋ฐ๋ผ ์ฐ๋ฆฌ์ฌ์ฃผ์กฐํฉ์์ ๋ํ์ฌ ์ ์ฃผ๋ฅผ ๋ฐฐ์ ํ๊ณ ์ฒญ์ฝ๋์ง ์๋ํ ์ฃผ์ ๊น์ง ํฌํจํ์ฌ ๋ถํน์ ๋ค์์ธ์๊ฒ ์ ์ฃผ์ธ์์ ์ฒญ์ฝ์ ํ ๊ธฐํ๋ฅผ ๋ถ์ฌํ๋ ๋ฐฉ์ 3. ์ฃผ์ฃผ์ ๋ํ์ฌ ์ฐ์ ์ ์ผ๋ก ์ ์ฃผ์ธ์์ ์ฒญ์ฝ์ ํ ์ ์๋ ๊ธฐํ๋ฅผ ๋ถ์ฌํ๊ณ ์ฒญ์ฝ๋์ง ์๋ํ ์ฃผ์์ด ์๋ ๊ฒฝ์ฐ ์ด๋ฅผ ๋ถํน์ ๋ค์์ธ์๊ฒ ์ ์ฃผ๋ฅผ ๋ฐฐ์ ๋ฐ์ ๊ธฐํ๋ฅผ ๋ถ์ฌํ๋ ๋ฐฉ ์ 4. ํฌ์๋งค๋งค์ ์ ๋๋ ํฌ์์ค๊ฐ์ ์๊ฐ ์ธ์์ธ ๋๋ ์ฃผ์ ์ธ์ผ๋ก์ ๋ง๋ จํ ์์์์ธก ๋ฑ ๊ด๊ณ๋ฒ๊ท์์ ์ ํ๋ ํฉ๋ฆฌ์ ์ธ ๊ธฐ์ค์ ๋ฐ๋ผ ํน์ ํ ์ ํ์ ์์๊ฒ ์ ์ฃผ์ธ์์ ์ฒญ์ฝ์ ํ ์ ์๋ ๊ธฐํ๋ฅผ ๋ถ์ฌํ๋ ๋ฐฉ์ โฃ ์ 2ํญ์ ๋ฐ๋ผ ์ฃผ์ฃผ์ธ์ ์์๊ฒ ์ ์ฃผ๋ฅผ ๋ฐฐ์ ํ๋ ๊ฒฝ์ฐ ์๋ฒ ์ 416์กฐ ์ 1ํธ, ์ 2ํธ,์ 2ํธ์2, ์ 3ํธ ๋ฐ ์ 4ํธ์์ ์ ํ๋ ์ฌํญ์ ๊ทธ ๋ฉ์ ๊ธฐ์ผ์ 2์ฃผ ์ ๊น์ง ์ฃผ์ฃผ์๊ฒํต์งํ ๊ฑฐ๋ ๊ณต๊ณ ํ์ฌ์ผ ํ๋ค. ๋ค๋ง, ์๋ณธ์์ฅ๊ณผ ๊ธ์ตํฌ์์ ์ ๊ดํ ๋ฒ๋ฅ ์ 165์กฐ์9์๋ฐ๋ผ ์ฃผ์์ฌํญ๋ณด๊ณ ์๋ฅผ ๊ธ์ต์์ํ ๋ฐ ๊ฑฐ๋์์ ๊ณต์ํจ์ผ๋ก์จ ๊ทธ ํต์ง ๋ฐ ๊ณต๊ณ ์ ๊ฐ์ํ ์ ์๋ค. โค ์ 2ํญ ๊ฐํธ์ ์ด๋ ํ๋์ ๋ฐฉ์์ ์ํด ์ ์ฃผ๋ฅผ ๋ฐํํ ๊ฒฝ์ฐ์๋ ๋ฐํํ ์ฃผ์์ ์ข ๋ฅ ์ ์ ๋ฐ ๋ฐํ๊ฐ๊ฒฉ ๋ฑ์ ์ด์ฌํ์ ๊ฒฐ์๋ก ์ ํ๋ค. โฅ ์ฃผ์ฃผ๊ฐ ์ ์ฃผ์ธ์๊ถ์ ํฌ๊ธฐ ๋๋ ์์คํ๊ฑฐ๋ ์ ์ฃผ๋ฐฐ์ ์์ ๋จ์ฃผ๊ฐ ๋ฐ์ํ๋ ๊ฒฝ์ฐ๊ทธ ์ฒ๋ฆฌ๋ฐฉ๋ฒ์ ์ด์ฌํ์ ๊ฒฐ์๋ก ์ ํ๋ค. ๊ฒฐ ์ฐ ์ผ 12์ 31์ผ ์ ๊ธฐ์ฃผ์ฃผ์ดํ ์ฌ์ ๋ ๋ ์ข ๋ฃ ํ 3์์ด๋ด ๊ธฐ ์ค ์ผ ๋งค๋ 12์31์ผ ์ฃผ์ ๋ฐ ์ ์ฃผ์ธ์๊ถ์ฆ ์์ ํ์๋์ด์ผ ํ ๊ถ๋ฆฌ์ ์ ์๋ฑ๋ก ์ฃผ๊ถ ๋ฐ ์ ์ฃผ์ธ์๊ถ์ฆ์๋ฅผ ๋ฐํํ๋ ๋์ ์ ์๋ฑ๋ก๊ธฐ๊ด์ ์ ์๋ฑ๋ก๊ณ์ข๋ถ์ ์ฃผ์ ๋ฐ์ ์ฃผ์ธ์๊ถ์ฆ์์ ํ์๋์ด์ผ ํ ๊ถ๋ฆฌ๋ฅผ ์ ์๋ฑ๋กํ๋ค. ๋ช ์๊ฐ์๋๋ฆฌ์ธ ์ทจ๊ธ์ฅ์ : ๊ตญ๋ฏผ์ํ ์ฆ๊ถ๋ํ์ฌ์ ๋ถ, ๋๋ฆฌ์ธ : ๊ตญ๋ฏผ์ํ DART dart.fss.or.kr Page 233
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์ฃผ์ฃผ์ ํน์ ์ ์ ๊ณต๊ณ ๋ฐฉ๋ฒ ํ์ฌ์ ๊ณต๊ณ ๋ ํ์ฌ์ ์ธํฐ๋ท ํํ์ด ์ง(http://www.sntmotiv.com)์ ๊ฒ์ฌ ํ๋ค. ๋ค๋ง, ์ ์ฐ์ฅ์ ๋๋ ๊ทธ ๋ฐ์ ๋ถ ๋์ดํ ์ฌ์ ๋ก ํ์ฌ์ ์ธํฐ๋ท ํํ์ด ์ง์ ๊ณต๊ณ ๋ฅผ ํ ์ ์์ ๋์๋ ์์ธํน ๋ณ์๋ด์์๋ฐํ๋๋ ์ผ๊ฐ ํ๊ตญ๊ฒฝ์ ์ ๋ฌธ์ ํ๋ค. DART dart.fss.or.kr Page 234
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๋ผ. ์ฃผ์ฃผ์ดํ ์์ฌ๋ก ์์ฝ ๋น์ฌ๋ ์ต๊ทผ 3๋ ๊ฐ ์ ๊ธฐ์ฃผ์ฃผ์ดํ 3ํ, ์์์ฃผ์ฃผ์ดํ 1ํ๋ฅผ ๊ฐ์ตํ์์ผ๋ฉฐ ๊ฐ ์ฃผ์ฃผ์ดํ์์ ๊ฒฐ์ํ ๋ด์ฉ๋ค์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. - ๋น์ฌ๋ ์ต๊ทผ 3๋ ๊ฐ ์ฃผ์ฃผ์ดํ์์ ์ฃผ์ฃผ์ ์ ๋ฐ ์๊ฑด์ ๋ด์ฉ์ ๋ํ ์ฐฌ๋ฐํ ๋ก ์ด ์์์ต๋๋ค. ์ฃผ์ด์ผ์ ์ ๊ฑด ๊ฒฐ ์ ๋ด ์ฉ ๋น ๊ณ ์์์ฃผ์ฃผ์ดํ (2026.4.30.) ์ 1ํธ ์์ : ๊ฐ์ฌ ์ ์์ ๊ฑด โ ์๊ทผ๊ฐ์ฌ 1๋ช ์์๋๋ก ์น์ธ ใ๊ฐ์ฌ ์ ์์ฌ์ ์ค๋ช ใ๊ฐ์ฌ ์ ์์ ๋ํ ์ฃผ์ฃผ ์๊ฒฌ ๊ฐ์ง ์ 24๊ธฐ ์ฃผ์ฃผ์ดํ (2026.2.27.) ์ 1ํธ ์์ : ์ 24๊ธฐ ์ฌ๋ฌด์ ํ(์ด์ต์์ฌ๊ธ์ฒ๋ถ ๊ณ์ฐ์ ํฌํจ) ๋ฐ ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ ์น์ธ์ ๊ฑด ์์๋๋ก ์น์ธ ใ24๊ธฐ ์์ ์ฑ๊ณผ ๋ฐ ๋ฐฐ๋น ๊ด๋ จ ์ค๋ช ใ์ฃผ์ฃผ๊ฐ์น ์ ๊ณ ๋ฐฉ์ ์ง์์๋ต ใ์ฌ์ ํํฉ ๊ด๋ จ ์ง์์๋ต ์ 2ํธ ์์ : ์ ๊ด ์ผ๋ถ ๋ณ๊ฒฝ์ ๊ฑด ์์๋๋ก ์น์ธ ใ๊ฐ์ ์๋ฒ ๋ฐ์(๋ฒ๋ฅ ์ 20991ํธ, 25. 7. 22. ๊ณตํฌ) ์ 3ํธ ์์ : ์ด์ฌ ๋ณด์ ํ๋ ์น์ธ์ ๊ฑด โ ๋ณด์ํ๋ ์น์ธ : 40์ต์ ์์๋๋ก ์น์ธ ใ์ด์ฌ๋ณด์ ์งํ์ค์ ๋ฐ ์ด์ฌ๋ณด์ํ๋ ๋ด์ฉ ์ค๋ช ใ์ด์ฌ๋ณด์ํ๋ ์น์ธ ๊ด๋ จ ์ฃผ์ฃผ ์๊ฒฌ ๊ฐ์ง ์ 4ํธ ์์ : ๊ฐ์ฌ ๋ณด์ ํ๋ ์น์ธ์ ๊ฑด โ ๋ณด์ํ๋ ์น์ธ : 2์ต์ ์์๋๋ก ์น์ธ ใ๊ฐ์ฌ๋ณด์ ์งํ์ค์ ๋ฐ ๊ฐ์ฌ๋ณด์ํ๋ ๋ด์ฉ ์ค๋ช ใ๊ฐ์ฌ๋ณด์ํ๋ ์น์ธ ๊ด๋ จ ์ฃผ์ฃผ ์๊ฒฌ ๊ฐ์ง ์ 23๊ธฐ ์ฃผ์ฃผ์ดํ (2025.2.28.) ์ 1ํธ ์์ : ์ 23๊ธฐ ์ฌ๋ฌด์ ํ(์ด์ต์์ฌ๊ธ์ฒ๋ถ ๊ณ์ฐ์ ํฌํจ) ๋ฐ ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ ์น์ธ์ ๊ฑด ์์๋๋ก ์น์ธ ใ23๊ธฐ ์์ ์ฑ๊ณผ ๋ฐ ๋ฐฐ๋น ๊ด๋ จ ์ค๋ช ใ์ฃผ์ฃผ๊ฐ์น ์ ๊ณ ๋ฐฉ์ ์ง์์๋ต ใ์ฌ์ ํํฉ ๊ด๋ จ ์ง์์๋ต ์ 2ํธ ์์ : ์ด์ฌ ์ ์์ ๊ฑด โ ์ฌ๋ด์ด์ฌ 2๋ช , ๋ ๋ฆฝ์ด์ฌ 1๋ช ์์๋๋ก ์น์ธ ใ์ฌ๋ด์ด์ฌ/๋ ๋ฆฝ์ด์ฌ ์ ์์ฌ์ ์ค๋ช ใ์ฌ๋ด์ด์ฌ/๋ ๋ฆฝ์ด์ฌ ์ ์์ ๋ํ ์ฃผ์ฃผ ์๊ฒฌ ๊ฐ์ง ์ 3ํธ ์์ : ์ด์ฌ ๋ณด์ ํ๋ ์น์ธ์ ๊ฑด โ ๋ณด์ํ๋ ์น์ธ : 40์ต์ ์์๋๋ก ์น์ธ ใ์ด์ฌ๋ณด์ ์งํ์ค์ ๋ฐ ์ด์ฌ๋ณด์ํ๋ ์ฆ์ก์ฌ์ ์ค๋ช ใ์ด์ฌ๋ณด์ํ๋ ์น์ธ ๊ด๋ จ ์ฃผ์ฃผ ์๊ฒฌ ๊ฐ์ง ์ 4ํธ ์์ : ๊ฐ์ฌ ๋ณด์ ํ๋ ์น์ธ์ ๊ฑด โ ๋ณด์ํ๋ ์น์ธ : 2์ต์ ์์๋๋ก ์น์ธ ใ๊ฐ์ฌ๋ณด์ ์งํ์ค์ ๋ฐ ๊ฐ์ฌ ๋ณด์ ํ๋ ๋ด์ฉ ์ค๋ช ใ๊ฐ์ฌ๋ณด์ํ๋ ์น์ธ ๊ด๋ จ ์ฃผ์ฃผ ์๊ฒฌ ๊ฐ์ง ์ 22๊ธฐ ์ฃผ์ฃผ์ดํ (2024.2.29.) ์ 1ํธ ์์ : ์ 22๊ธฐ ์ฌ๋ฌด์ ํ(์ด์ต์์ฌ๊ธ์ฒ๋ถ ๊ณ์ฐ์ ํฌํจ) ๋ฐ ์ฐ๊ฒฐ์ฌ๋ฌด์ ํ ์น์ธ์ ๊ฑด ์์๋๋ก ์น์ธ ใ22๊ธฐ ์์ ์ฑ๊ณผ ๋ฐ ๋ฐฐ๋น ๊ด๋ จ ์ค๋ช ใ์ฃผ์ฃผ๊ฐ์น ์ ๊ณ ๋ฐฉ์ ์ง์์๋ต ใ์ฌ์ ํํฉ ๊ด๋ จ ์ง์์๋ต ์ 2ํธ ์์ : ์ด์ฌ ์ ์์ ๊ฑด โ ์ฌ๋ด์ด์ฌ 1๋ช , ๋ ๋ฆฝ์ด์ฌ 1๋ช ์์๋๋ก ์น์ธ ใ์ฌ๋ด์ด์ฌ/๋ ๋ฆฝ์ด์ฌ ์ ์์ฌ์ ์ค๋ช ใ์ฌ๋ด์ด์ฌ/๋ ๋ฆฝ์ด์ฌ ์ ์์ ๋ํ ์ฃผ์ฃผ ์๊ฒฌ ๊ฐ์ง ์ 3ํธ ์์ : ๊ฐ์ฌ ์ ์์ ๊ฑด โ ์๊ทผ๊ฐ์ฌ 1๋ช ์์๋๋ก ์น์ธ ใ๊ฐ์ฌ ์ ์์ฌ์ ์ค๋ช ใ๊ฐ์ฌ ์ ์์ ๋ํ ์ฃผ์ฃผ ์๊ฒฌ ๊ฐ์ง ์ 4ํธ ์์ : ์ด์ฌ ๋ณด์ ํ๋ ์น์ธ์ ๊ฑด โ ๋ณด์ํ๋ ์น์ธ : 15์ต์ ์์๋๋ก ์น์ธ ใ์ด์ฌ๋ณด์ ์งํ์ค์ ๋ฐ ์ด์ฌ๋ณด์ํ๋ ๋ด์ฉ ์ค๋ช ใ์ด์ฌ๋ณด์ํ๋ ์น์ธ ๊ด๋ จ ์ฃผ์ฃผ ์๊ฒฌ ๊ฐ์ง ์ 5ํธ ์์ : ๊ฐ์ฌ ๋ณด์ ํ๋ ์น์ธ์ ๊ฑด โ ๋ณด์ํ๋ ์น์ธ : 2์ต์ ์์๋๋ก ์น์ธ ใ๊ฐ์ฌ๋ณด์ ์งํ์ค์ ๋ฐ ๊ฐ์ฌ๋ณด์ํ๋ ๋ด์ฉ ์ค๋ช ใ๊ฐ์ฌ๋ณด์ํ๋ ์น์ธ ๊ด๋ จ ์ฃผ์ฃผ ์๊ฒฌ ๊ฐ์ง DART dart.fss.or.kr Page 235
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VII. Matters Related to Shareholders 1. ์ต๋์ฃผ์ฃผ ๋ฐ ๊ทธ ํน์๊ด๊ณ์ธ์ ์ฃผ์์์ ํํฉ ๋ณด๊ณ ์ ์์ฑ๊ธฐ์ค์ผ ํ์ฌ ๋น์ฌ์ ์ต๋์ฃผ์ฃผ๋ (์ฃผ)SNTํ๋ฉ์ค๋ก ์ด 45.12%๋ฅผ ์์ ํ๊ณ ์์ผ๋ฉฐ, ํน์๊ด๊ณ์ธ 1.17%๋ฅผ ํฌํจํ ์ต๋์ฃผ์ฃผ์ ํน์๊ด๊ณ์ธ์ ์ง๋ถ ํฉ๊ณ๋ 46.29%์ ๋๋ค. ์ต๋์ฃผ์ฃผ์ ํน์๊ด๊ณ์ธ์ '์๊ธฐ์ฃผ์์ ์ ์ธํ ์๊ฒฐ๊ถ ์๋ ์ฃผ์โ์ 51.55%๋ฅผ ๋ณด์ ํ๊ณ ์์ด ์๊ฒฐ๊ถ์ ๊ณผ๋ฐ์๋ฅผ ์์ ํ๊ณ ์์ต๋๋ค. 2. ์ต๋์ฃผ์ฃผ์ ๊ฐ์ ๋น์ฌ์ ์ต๋์ฃผ์ฃผ์ธ (์ฃผ)SNTํ๋ฉ์ค๋ 1979๋ 8์ 15์ผ์ ์ผ์๊ธฐ๊ณ๊ณต์ ์ฌ๋ผ๋ ์ฌ๋ช ์ผ๋ก ์ค ๋ฆฝ๋์ด 2000๋ 3์ 3์ผ์ KOSDAQ์ ์ฃผ์์ ์์ฅํ์์ผ๋ฉฐ, 2002๋ 10์ 22์ผ์ ์ ๊ฐ์ฆ ๊ถ์์ฅ(KOSPI)์ ์ฃผ์์ ์ด๊ด, ์์ฅํ์์ผ๋ฉฐ ์ํ์ฌ์ ๋ํ ์ฌ์ ์ง๋ฐฐ ๋ฑ์ ์ง์ฃผ์ฌ์ ์ ์ ์ํ๋ ํ์ฌ์ ๋๋ค. ๊ฐ. ์ฃผ์ ์์ธ์ ๊ฐ๋จ๊ตฌ ํ ํค๋๋ก 305, ํ๊ตญ๊ธฐ์ ์ผํฐ 20์ธต ๋. ์ฌ์ ํํฉ ๋น์ฌ์ ์ต๋์ฃผ์ฃผ์ธ (์ฃผ)SNTํ๋ฉ์ค๋ ํ์ฌ์ ์ฃผ์ ์์ ๋ฅผ ํตํด ์ค์ง์ ์ธ ์ง๋ฐฐ๊ถ ์ทจ๋์ ์ฃผ๋ ๋ชฉ์ ์ฌ์ ์ผ๋ก ํ๋ ๋ ์ ๊ท์ ๋ฐ ๊ณต์ ๊ฑฐ๋์ ๊ดํ ๋ฒ๋ฅ ์์ ์ง์ฃผํ์ฌ(HoldingCompany)์ด๊ณ , ํ ํ์ฌ ์ฃผ์์์ ๋ฅผ ํตํ ์ค์ง์ ์ธ ์ง๋ฐฐ ์ธ์๋ ๋ ์์ ์ธ ์ฌ์ ์ ๋ณ๋๋ก ์์ํ์ง ์๋ํ ๋ ์์์ง์ฃผํ์ฌ์ ๋๋ค. ์ต๋์ฃผ์ฃผ์ธ (์ฃผ)SNTํ๋ฉ์ค์ ์ฃผ ์์ ์์ผ๋ก ์ํ์ฌ๋ก๋ถํฐ ๋ฐ๋ ๋ฐฐ๋น๊ธ๊ณผ SNT๋ธ๋๋ ๊ถ๋ฆฌ ๋ฅผ ์์ ํ๋ฉฐ ์ฌ์ฉ์๋ก๋ถํฐ ๋ฐ๋ ๋ธ๋๋์ฌ์ฉ๋ฃ ๋ฑ์ด ์์ผ๋ฉฐ, SNT๋ธ๋๋ ๊ฐ์น ์ ๊ณ ๋ฅผ ์ํ ๋ธ ๋๋ ๊ด๋ฆฌ์ ๋ฌด์ ์ํ์ฌ ์ง๋ถ๊ฐ์น ์ฆ๋๋ฅผ ์ํ ์ํ์ฌ์ ๊ฒฝ์๊ด๋ฆฌ์ปจ์คํ ์ ๋ฌด๋ฅผ ์ํํ๊ณ ์ ์ต๋๋ค. ๋ค. ๋ฒ์ธ์ ๊ธฐ๋ณธ์ ๋ณด 1) ์ต๋์ฃผ์ฃผ(๋ฒ์ธ ๋๋ ๋จ์ฒด)์ ๊ธฐ๋ณธ์ ๋ณด (Record date: 2026.06.30 ) (Unit: shares, %) Name Relationship Type of shares Number of shares held and shareholding ratio Note Beginning of the period End of the period Number of shares Shareholding ratio Number of shares Shareholding ratio (์ฃผ)SNTํ๋ฉ์ค ์ต๋์ฃผ์ฃผ ๋ณดํต์ฃผ 11,975,536 45.12 11,975,536 45.12 - (์ฌ)์ดํด์ฅํ์ฌ๋จ ์ต๋์ฃผ์ฃผ์ ํน์๊ด๊ณ์ธ ๋ณดํต์ฃผ 311,042 1.17 311,042 1.17 - Total ๋ณดํต์ฃผ 12,286,578 46.29 12,286,578 46.29 - - - - - - - Name Number of CEO (Representative Executor (Executive Largest shareholder DART dart.fss.or.kr Page 236
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โป ์ถ์์์๋ 2026๋ 06์ 30์ผ ์ฃผ์ฃผ๋ช ๋ถ ๊ธฐ์ค์ ๋๋ค. 2) ์ต๋์ฃผ์ฃผ(๋ฒ์ธ ๋๋ ๋จ์ฒด)์ ์ต๊ทผ ๊ฒฐ์ฐ๊ธฐ ์ฌ๋ฌดํํฉ ์ฃผ) ์๊ธฐ ์ฌ๋ฌด์ ๋ณด๋ 2026๋ 06์ 30์ผ ์ฐ๊ฒฐ๊ธฐ์ค ์ ๋๋ค. 3) ์ฌ์ ํํฉ ๋ฑ ํ์ฌ ๊ฒฝ์ ์์ ์ฑ์ ์ํฅ์ ๋ฏธ์น ์ ์๋ ์ฃผ์ ๋ด์ฉ - ํน์ด์ฌํญ ์์ investors (persons) member) member) (Largest investor) Name Ratio (%) Name Ratio (%) Name Ratio (%) (์ฃผ)SNTํ๋ฉ์ค 7,030 ๊น๋ํ 0.67 - 0.00 ์ตํ๊ท 50.76 - - - - - - (Unit: KRW million) Category Name of corporation or organization (์ฃผ)SNTํ๋ฉ์ค Total assets 3,386,855 Total liabilities 841,512 Total equity 2,545,343 Sales 1,004,261 Operating income 128,593 Profit 78,906 DART dart.fss.or.kr Page 237
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3. ์ฃผ์๋ถํฌํํฉ ๋น์ฌ์ 5% ์ด์ ์ง๋ถ์ ๋ณด์ ํ๊ณ ์๋ ์ฃผ์ฃผ๋ ์๋์ ๊ฐ์ต๋๋ค. 4. ์์ก์ฃผ์ฃผํํฉ Status of Minority Shareholders โป ์์ก์ฃผ์ฃผ๋ ์๊ฒฐ๊ถ ์๋ ๋ฐํ์ฃผ์ ์ด์์ 100๋ถ์ 1์ ๋ฏธ๋ฌํ๋ ์ฃผ์์ ์์ ํ ์ฃผ์ฃผ๋ฅผ ๋งํ๋ฉฐ, ์ด๋ฐํ์ฃผ์์๋ ์๊ฒฐ๊ถ ์๋ ๋ฐํ์ฃผ์ ์ด์(์์ฌ์ฃผ ์ ์ธ)์ ๋๋ค. 5. ์ฃผ๊ฐ ๋ฐ ์ฃผ์๊ฑฐ๋์ค์ ๋น์ฌ ์ฃผ์์ ์ต๊ทผ 6๊ฐ์๊ฐ ์ฃผ๊ฐ ๋ฐ ๊ฑฐ๋๋์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (Record date: 2026.06.30 ) (Unit: shares) Category Shareholder name Number of shares held Shareholding ratio (%) Note Shareholders holding a 5% or more stake (์ฃผ)SNTํ๋ฉ์ค 11,975,536 45.12 - ๊ตญ๋ฏผ์ฐ๊ธ๊ณต๋จ 2,135,287 8.05 - Employee Stock Ownership Association - - - (Record date: 2026.06.30 ) (Unit: shares) Category Shareholders Shares held Note Number of minority shareholders Total number of shareholders Ratio (%) Number of minority shares Total number of shares issued Ratio (%) Minority shareholders 20,352 20,359 99.97 9,316,359 23,834,272 39.09 - (๋จ์ : ์ฃผ,์) ์ข ๋ฅ '26.01์ '26.02์ '26.03์ '26.04์ '26.05์ '26.06์ ๋ณดํต์ฃผ ์ฃผ๊ฐ ์ต ๊ณ 39,450 37,250 35,800 37,250 34,500 31,100 ์ต ์ 32,000 33,200 31,200 32,900 29,750 25,900 ํ ๊ท 35,893 35,374 33,164 34,486 32,478 28,402 ๊ฑฐ๋๋ ์ต๊ณ (์ผ) 336,448 195,500 195,500 120,340 223,503 142,777 ์ต์ (์ผ) 59,909 53,080 53,080 27,833 54,274 30,903 ์ ๊ฐ 3,470,647 1,786,007 1,786,007 1,450,903 2,000,188 1,431,640 DART dart.fss.or.kr Page 238
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VIII. Matters Related to Executives and Employees, etc. 1. Status of executives and employees, etc. ๊ฐ. ์์์ ํํฉ 2026๋ 07์ 31์ผ ํ์ฌ ๋น์ฌ์ ์์์ ๋ฑ๊ธฐ์์ 4๋ช , ๋ฏธ๋ฑ๊ธฐ์์ 13๋ช ๋ฑ ์ด 17๋ช ์ ๋๋ค. ์์์ ์์ธํํฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (1) ๋ฑ๊ธฐ์์ โป ์๊ธฐ ์์์ ์ ์ ์ดํใ๊ธ์ตํ์ฌ์ ์ง๋ฐฐ๊ตฌ์กฐ์ ๊ดํ ๋ฒ๋ฅ ์ํ๋ นใ์ 3์กฐ ์ 1ํญ 2ํธ์ ๋ฐ๋ผ ์ต๋์ฃผ์ฃผ์ ํน์๊ด๊ณ์ธ์ ํด๋นํฉ๋๋ค. โป 2026๋ 07์ 24์ผ ๊นํ์ญ ์ฌ๋ด์ด์ฌ๊ฐ ์ผ์ ์์ ์ด์ ๋ก ์ฌ์ํ์์ต๋๋ค. (Record date: 2026.07.31 ) (Unit: shares) Name Gen der Birth year and month Position Whether registered executive Whether full-time Responsibilitie s Major career Number of shares held Relationship to the largest shareholder Period of employm ent Term expiration date Voting share Non- voting share ๊ถํ์ Male 1963.11 ๋ํ์ด์ฌ Executive Directors Full-time ๊ฒฝ์์ด๊ด - ์์ธ๋ - SNT๋ชจํฐ๋ธ(์ฃผ) ๋ชจ๋น๋ฆฌํฐ์ฌ์ ๋ณธ๋ถ์ฅ - - - 5๋ 5์ 2027.03.31 ๊น๋ํ Male 1972.02 ์ด์ฌ Executive Directors Part- time - - ์ฑ๊ท ๊ด๋ - ๋ณํธ์ฌ - (์ฃผ)SNTํ๋ฉ์ค ๋ํ์ด์ฌ - - ์ต๋์ฃผ์ฃผ์ ์์ 6๋ 7์ 2028.03.31 ํ์ฐ Male 1963.01 ์ด์ฌ Independe nt director Part- time ๋ ๋ฆฝ์ด์ฌ - ํ์๋ - KB์ฆ๊ถ ๋ถ์ฌ์ฅ - ํ๊ตญESG์ฐ๊ตฌ์ ๊ณ ๋ฌธ - - - 1๋ 5์ 2028.03.31 ํ์๋ณด Male 1965.05 ๊ฐ์ฌ Auditor Full-time ๊ฐ์ฌ - ๋ถ์ฐ์ง๋ฐฉ๊ฒ์ฐฐ์ฒญ ๋๋ถ์ง์ฒญ ์ฐจ์ฅ๊ฒ์ฌ - ๋ณํธ์ฌ - ์ฃผ์ํ์ฌ ํ์น์ฝํผ๋ ์ด์ ๋ ๋ฆฝ์ด์ฌ(๊ฐ์ฌ์์ํ) - - - 3์ 2029.03.31 DART dart.fss.or.kr Page 239
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(2) ๋ฏธ๋ฑ๊ธฐ์์ โป ์๊ธฐ ๋ฏธ๋ฑ๊ธฐ์์ ์ค ๊น๋ํ ์ด์ฌ๋ 2026๋ 07์ 01์ผ์๋ก ์๋ช ๋์์ต๋๋ค. (๊ธฐ์ค์ผ : 2026๋ 07์ 31์ผ ) (๋จ์ : ์ฃผ) ์ฑ๋ช ์ฑ๋ณ ์ถ์๋ ์ ์ง์ ๋ฑ๊ธฐ์์ ์ฌ๋ถ ์๊ทผ ์ฌ๋ถ ๋ด๋น ์ ๋ฌด ์ฃผ์๊ฒฝ๋ ฅ ์์ ์ฃผ์์ ์ฌ์ง๊ธฐ๊ฐ (๊ฐ์) ์๊ฒฐ๊ถ ์๋ ์ฃผ์ ์๊ฒฐ๊ถ ์๋ ์ฃผ์ ์ด๋ณ์ ๋จ 1957.11 C.T.O ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ C.T.O - ๋ถ์ฐ๋ ์์ฌ - SNT๋ชจํฐ๋ธ(์ฃผ) CTO - - 44๋ 7์ ์ค๋ณ์กฐ ๋จ 1974.04 ์๋ฌด ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ํน์์ฌ์ ๋ณธ๋ถ์ฅ - ์ก๊ตฐ์ฌ๊ดํ๊ต / ๋ฐ์ฌ - - 1๋ ์ค์ค์ ๋จ 1971.06 ์๋ฌด ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ๋ด๋น - ๋๊ตญ๋ - ํ๋ํธ๋์์ค ๋ชจ๋น๋ฆฌํฐํ์ง๋ณด์ฆ์ค ์๋ฌด - - 8์ ๊ถ์๋ ๋จ 1968.01 ์ด์ฌ ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ํน์์์ฐ๋ด๋น - ์์ฃผ๋ - SNT๋ชจํฐ๋ธ(์ฃผ) ํ์ฅ - - 32๋ 7์ ๊ตฌ๋ํ ๋จ 1967.02 ์ด์ฌ ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ๋ชจ๋น๋ฆฌํฐ์์ฐ1๋ด๋น - ๋ถ์ฐ๋ - SNT๋ชจํฐ๋ธ(์ฃผ) ํ์ฅ - - 34๋ 5์ ์์ฃผํ ๋จ 1979.08 ์ด์ฌ ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ๋ชจ๋น๋ฆฌํฐ์์ ๋ด๋น - Cracow University ๋ํ์ ์์ฌ - SNT๋ชจํฐ๋ธ(์ฃผ) ํ์ฅ - - 21๋ 5์ ๊น์์ฒ ๋จ 1978.01 ์ด์ฌ ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ๋ชจ๋น๋ฆฌํฐ์์ฐ2๋ด๋น - ๋ถ์ฐ๋๋ํ์ ์์ฌ - SNT๋ชจํฐ๋ธ(์ฃผ) ํ์ฅ - - 23๋ 6์ ํ์์ธ ๋จ 1971.12 ์ด์ฌ ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ๊ฒฝ์์ง์๋ณธ๋ถ์ฅ - ์์ฃผ๋ - SNT๋ชจํฐ๋ธ(์ฃผ) ํ์ฅ - - 29๋ 7์ ์ํจ์ง ๋จ 1976.11 ์ด์ฌ ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ2๋ด๋น - ๋ถ๊ฒฝ๋๋ํ์ ์์ฌ - SNT๋ชจํฐ๋ธ(์ฃผ) ํ์ฅ - - 24๋ 8์ ์ ์ฐฝ์จ ๋จ 1976.02 ์ด์ฌ ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ๋ชจ๋น๋ฆฌํฐ๊ฐ๋ฐ1๋ด๋น - ๋์๋๋ํ์ ์์ฌ - SNT๋ชจํฐ๋ธ(์ฃผ) ํ์ฅ - - 21๋ 2์ ๊น์ธ์ค ๋จ 1972.12 ์ด์ฌ ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ํ์ง๋ด๋น - ๋ถ์ฐ๋๋ํ์ ์์ฌ - SNT๋ชจํฐ๋ธ(์ฃผ) ํ์ฅ - - 28๋ 5์ ์ค์์ข ๋จ 1976.11 ์ด์ฌ ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ SCMC๋ด๋น - ๋ถ๊ฒฝ๋ - SNT๋ชจํฐ๋ธ(์ฃผ) ํ์ฅ - - 16๋ 5์ ๊น๋ํ ๋จ 1975.03 ์ด์ฌ ๋ฏธ๋ฑ๊ธฐ์์ ์๊ทผ ํน์๊ฐ๋ฐ/๊ด๋ฆฌ๋ด๋น - ์ก๊ตฐ์ฌ๊ดํ๊ต / ์์ฌ - - 1์ DART dart.fss.or.kr Page 240
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๋. ํํ์ฌ ์์๊ฒธ์งํํฉ (2026. 07. 31. ํ์ฌ) ์ง ๋ช ์ฑ ๋ช ํ ์ฌ ๋ช ๋น ๊ณ ๋ํ์ด์ฌ ๊ถํ์ SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ ์ฌ๋ด์ด์ฌ SNT America Ltd ์ฌ๋ด์ด์ฌ ๊น๋ํ (์ฃผ)SNTํ๋ฉ์ค ๋ํ์ด์ฌ SNT๋ค์ด๋ด๋ฏน์ค(์ฃผ) ์ฌ๋ด์ด์ฌ(์ฃผ)SNT์ ์ถ์ํ (์ฃผ)SNT๋ก๋ณดํฑ์ค DART dart.fss.or.kr Page 241
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๋ค. ์ง์์ ํํฉ 1) ๋น์ฌ๋ ๋ณด๊ณ ์ ์์ฑ๊ธฐ์ค์ผ ํ์ฌ ์ด 525๋ช ์ ์ง์์ ๊ณ ์ฉํ๊ณ ์์ผ๋ฉฐ ํ๊ท ๊ทผ์๋ ์๋ 22.7๋ ์ด๊ณ ๋น๊ธฐ ๊ธ์ฌ ์ด์ก์ 20,816๋ฐฑ๋ง์, 1์ธ๋น ํ๊ท ๊ธ์ฌ๋ 40๋ฐฑ๋ง์์ ๋๋ค. โป ์ง์์๋ 2026๋ 06์ 30์ผ ๊ธฐ์ค์ด๋ฉฐ, 1์ธ ํ๊ท ๊ธ์ฌ์ก์ ๋น๊ธฐ ์ง๊ธ์ด์ก์ ํ๊ท ์ธ์ (522๋ช )์ผ๋ก ๋๋ ๊ธ์ก์ ๋๋ค. โป ๊ธฐ์ ๊ณต์ ์์์์ฑ ๊ธฐ์ค์ ๋ฐ๋ผ ๋ถ/๋ฐ๊ธฐ ๋ณด๊ณ ์์๋ '์์ ์ธ ๊ทผ๋ก์' ํญ๋ชฉ์ ๊ธฐ์ฌํ์ง ์์ต๋๋ค. ๋ผ. ๋ฏธ๋ฑ๊ธฐ์์ ๋ณด์ ํํฉ (Record date: 2026.06.30 ) (Unit: KRW million) Employees Non-affiliated workers NoteBusiness division Gender Number of employees Average years of service Total annual salary Average salary per person Male Female Total Workers with no fixed term Fixed-term workers Total Total (Short-hour workers) Total (Short-hour workers) ์ฐจ๋๋ถํ์ธ Male 483 0 17 0 500 23.0 19,989 40 - - - - ์ฐจ๋๋ถํ์ธ Female 23 0 2 0 25 17.1 827 33 - Total 506 0 19 0 525 22.7 20,816 40 - (Record date: 2026.06.30 ) (Unit: KRW million) Category Headcount Total annual salary Average salary per person Note Unregistered executive 12 1,327 111 - DART dart.fss.or.kr Page 242
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๋ง. ์ก์์ง์์ ๋ ์ฌ์ฉ ํํฉ โป ์ก์ํด์ง ์ฌ์ฉ๋ฅ ๊ณ์ฐ๋ฒ ์ฐ์ : (๋นํด ์ถ์ฐ ์ดํ 1๋ ์ด๋ด์ ์ก์ํด์ง์ ์ฌ์ฉํ ๊ทผ๋ก์ )/(๋นํด ์ถ์์ผ๋ก๋ถํฐ 1๋ ์ด๋ด์ ์๋ ๊ฐ ์๋ ๊ทผ๋ก์) ๊ตฌ๋ถ ๋น๊ธฐ(25๊ธฐ) ๋ฐ๊ธฐ ์ ๊ธฐ(24๊ธฐ) ์ ์ ๊ธฐ(23๊ธฐ) ์ก์ํด์ง ์ฌ์ฉ์์(๋จ) 3 2 1 ์ก์ํด์ง ์ฌ์ฉ์์(์ฌ) 0 3 1 ์ก์ํด์ง ์ฌ์ฉ์์(์ ์ฒด) 3 5 2 ์ก์ํด์ง ์ฌ์ฉ๋ฅ (๋จ) 17% 0 11% ์ก์ํด์ง ์ฌ์ฉ๋ฅ (์ฌ) 0 0 33% ์ก์ํด์ง ์ฌ์ฉ๋ฅ (์ ์ฒด) 17% 0 17% ์ก์ํด์ง ๋ณต๊ท ํ 12๊ฐ์ ์ด์ ๊ทผ์์(๋จ) 2 0 1 ์ก์ํด์ง ๋ณต๊ท ํ 12๊ฐ์ ์ด์ ๊ทผ์์(์ฌ) 0 0 1 ์ก์ํด์ง ๋ณต๊ท ํ 12๊ฐ์ ์ด์ ๊ทผ์์(์ ์ฒด) 2 0 2 ์ก์๊ธฐ ๋จ์ถ๊ทผ๋ฌด์ ์ฌ์ฉ์ ์ 1 0 2 ๋ฐฐ์ฐ์ ์ถ์ฐํด๊ฐ ์ฌ์ฉ์ ์ 2 6 9 DART dart.fss.or.kr Page 243
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๋ฐ. ์ ์ฐ๊ทผ๋ฌด์ ๋ ์ฌ์ฉ ํํฉ (๋จ์: ๋ช ) - ์ ์ฐ๊ทผ๋ฌด์ ํ์ฉ ์ฌ๋ถ์ ๋ํ ์ค๋ช (์์ฐจ์ถํด๊ทผ์ , ์ ํ๊ทผ๋ฌด์ , ์๊ฒฉ๊ทผ๋ฌด(์ฌํ๊ทผ๋ฌด ํฌํจ)) ์ค 1๊ฐ ์ด์ ์ ๋์ ๋์ ใํ์ฉ ์ฌ๋ถ - ์ ํ๊ทผ๋ฌด์ ์ ๋ํ ์ค๋ช (1๊ฐ์(์ ์ํยท์ ๊ธฐ์ ์ ์ฐ๊ตฌ๊ฐ๋ฐ ์ ๋ฌด๋ 3๊ฐ์) ์ด๋ด์ ์ ์ฐ๊ธฐ ๊ฐ์ ํ๊ท ํ์ฌ 1์ฃผ๊ฐ์ ์์ ๊ทผ๋ก์๊ฐ์ด 40์๊ฐ์ ์ด๊ณผํ์ง ์๋ ๋ฒ์์์ ๊ทผ๋ฌด์ ์์ใ์ข ๋ฃ์๊ฐ ๋ฐ 1์ผ ๊ทผ๋ฌด์๊ฐ์ ์กฐ์ ํ๋ ์ ๋) โป ์ ์ฐ๊ทผ๋ฌด์ ํ์ฉ ์ฌ๋ถ : ๋น์ฌ๋ ์์ฐจ์ถํด๊ทผ์ , ์ ํ๊ทผ๋ฌด์ , ์๊ฒฉ๊ทผ๋ฌด(์ฌํ๊ทผ๋ฌด ํฌํจ)๋ฅผ ๋ ์ ํ๊ณ ์์ง ์์ต๋๋ค. ๊ตฌ๋ถ ๋น๊ธฐ(25๊ธฐ) ๋ฐ๊ธฐ ์ ๊ธฐ(24๊ธฐ) ์ ์ ๊ธฐ(23๊ธฐ) ์ ์ฐ๊ทผ๋ฌด์ ํ์ฉ ์ฌ๋ถ ๋ถ ๋ถ ๋ถ ์์ฐจ์ถํด๊ทผ์ ์ฌ์ฉ์ ์ 0 0 0 ์ ํ๊ทผ๋ฌด์ ์ฌ์ฉ์ ์ 0 0 0 ์๊ฒฉ๊ทผ๋ฌด์ (์ฌํ๊ทผ๋ฌด ํฌํจ) ์ฌ์ฉ์ ์ 0 0 0 DART dart.fss.or.kr Page 244
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2. Executive remuneration, etc. <์ด์ฌยท๊ฐ์ฌ ์ ์ฒด์ ๋ณด์ํํฉ> ๊ฐ. ์์์ ๋ณด์ ํํฉ ๋น์ฌ๋ ์๋ฒ ์ 388์กฐ ๋ฐ ๋น์ฌ ์ ๊ด์ ์๊ฑฐํ์ฌ ์ด์ฌ์ ๋ณด์ํ๋๋ฅผ ์ฃผ์ฃผ์ดํ์ ๊ฒฐ์๋ก์จ ์ ํ๊ณ ์์ผ๋ฉฐ 2026๋ 2์ 27์ผ ์ ๊ธฐ์ฃผ์ฃผ์ดํ๋ฅผ ํตํ์ฌ ์ 25๊ธฐ ์ด์ฌ์ ๋ณด์ํ๋๋ฅผ 4,000๋ฐฑ ๋ง์์ผ๋ก ์ ํ ๋ฐ ์์ต๋๋ค. ๋น๊ธฐ์ค ์ธ๋ถ ์ง๊ธ๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค (1) ์ฃผ์ฃผ์ดํ ์น์ธ๊ธ์ก (2). ๋ณด์์ง๊ธ๊ธ์ก (2)-1. ์ด์ฌใ๊ฐ์ฌ ์ ์ฒด Remuneration status of all directors and auditors (Unit: KRW million) Fiscal year Category Headcount Amount approved by general shareholdersโ meeting Note Current term ์ด์ฌ 4 4,000 - ๊ฐ์ฌ 1 200 - Previous term ์ด์ฌ 4 4,000 - ๊ฐ์ฌ 1 200 - Two fiscal years prior ์ด์ฌ 4 2,000 - ๊ฐ์ฌ 1 200 - (Unit: KRW million, shares) Fiscal year Headcount Total remuneratio n amount Average remuneratio n amount per person Stock-based compensation paid out of total remuneration Remuneration not included in total remuneration(Balance basis) Note Stock options Other stock-based compensation Number of exercisable shares(Qua ntity) Number of unexercisabl e shares(Qua ntity) Remaining balance Unpaid quantity Market value Current term 5 333 67 - - - - - - - Previous term 5 703 141 - - - - - - - Two fiscal years prior 5 1,050 210 - - - - - - - DART dart.fss.or.kr Page 245
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(2)-2. ์ ํ๋ณ (Unit: KRW million, shares) Category Fiscal year Headcount Total remunerati on amount Average remunerati on amount per person Stock-based compensatio n paid out of total remuneration Remuneration not included in total remuneration(Balance basis) Note Stock options Other stock-based compensation Number of exercisabl e shares(Qu antity) Number of unexercis able shares(Qu antity) Remaining balance Unpaid quantity Market value Registered directors (excluding independent( outside) directors and member of the Audit Committee) Current term 3 245 82 - - - - - - - Previous term 3 531 177 - - - - - - - Two fiscal years prior 3 927 309 - - - - - - - Independent( Outside) directors (excluding members of the Audit Committee) Current term 1 43 43 - - - - - - - Previous term 1 78 78 - - - - - - - Two fiscal years prior 1 61 61 - - - - - - - Audit committee members Current term - - - - - - - - - - Previous term - - - - - - - - - - Two fiscal years prior - - - - - - - - - - Audit Current term 1 45 45 - - - - - - - Previous term 1 94 94 - - - - - - - Two fiscal years prior 1 62 62 - - - - - - - DART dart.fss.or.kr Page 246
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(2)-3. ์๋ ์ข ๋ฅ๋ณ (Unit: KRW million) Category Fiscal Year Salary Bonus Gains from exercise of stock options Amount of other stock- based compensation paid Other earned income Retirement income Other income Registered directors (excluding independent(outside) directors and member of the Audit Committee) Current term 175 60 - - 10 - - Previous term 421 100 - - 10 - - Two fiscal years prior 820 90 - - 17 - - Independent(Outside) directors (excluding members of the Audit Committee) Current term 40 - - - 3 - - Previous term 77 - - - 1 - - Two fiscal years prior 60 - - - 1 - - Audit committee members Current term - - - - - - - Previous term - - - - - - - Two fiscal years prior - - - - - - - Audit Current term 36 - - - 9 - - Previous term 93 - - - 1 - - Two fiscal years prior 60 - - - 2 - - DART dart.fss.or.kr Page 247
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(3). ์ด์ฌใ๊ฐ์ฌ์ ๋ณด์์ง๊ธ๊ธฐ์ค ๋ฑ (3)-1. ์ด์ฌใ๊ฐ์ฌ์ ๋ณด์์ง๊ธ๊ธฐ์ค (3)-2. ์ด์ฌใ๊ฐ์ฌ ๋ณด์ ๋ฐ ์ฑ๊ณผ ๊ฐ ์ฐ๋ ๊ตฌ ๋ถ ๋ณด์ ์ข ๋ฅ ๋ณด์ ๋ช ์นญ ์ง๊ธ ๊ธฐ์ค ๋ฑ๊ธฐ์ด์ฌ (๋ ๋ฆฝ(์ฌ์ธ)์ด์ฌ, ๊ฐ์ฌ์์ํ ์์ ์ ์ธ) ๊ทผ๋ก์๋ ๊ธ์ฌ ํ์ฌ์ ๋ด๋ถ๊ท์ ์ ๊ธฐ์ดํ์ฌ ์ฃผ์ฃผ์ดํ ๊ฒฐ์๋ก ์ ํ ์ด์ฌ๋ณด์ ํ๋๋ด์์ ์ฐ๋ด ์ง๊ธ ํน๋ณ์์ฌ ํ์ฌ์ ๋ด๋ถ๊ท์ ์ ๊ธฐ์ด๋ก ๋งค์ถ, ์์ ์ด์ต, ๋น๊ธฐ์์ด์ต์ ๊ณ๋์งํ์ ๋ฆฌ๋์ญ, ์ ๋ฌธ์ฑ, ์ค ๋ฆฌ๊ฒฝ์, ๊ธฐํ ํ์ฌ๊ธฐ์ฌ๋๋ก ๊ตฌ์ฑ๋ ๋น๊ณ๋์งํ๋ฅผ ์ข ํฉ์ ์ผ๋ก ํ๊ฐํ์ฌ ์ง๊ธ ๊ธฐํ๊ทผ๋ก์๋ ํ์ฌ๊ท์ ์ ๋ฐ๋ผ ๊ทํฅ๋น, ์ ๋ฌผ๋น ๋ฑ ๋ณต๋ฆฌํ์๋น๋ก ์ง๊ธ๋ ๊ธ์ก ํด์ง์๋ ํด์ง์ฐ๊ธ ๊ทผ์์ฐ์ 1๋ ์ ๋ํ์ฌ ํ๊ท ์๊ธ 1๊ฐ์๋ถ ์ง๊ธ ๋ ๋ฆฝ(์ฌ์ธ)์ด์ฌ (๊ฐ์ฌ์์ํ ์์ ์ ์ธ) ๊ทผ๋ก์๋ ๊ธ์ฌ ํ์ฌ์ ๋ด๋ถ๊ท์ ์ ๊ธฐ์ดํ์ฌ ์ฃผ์ฃผ์ดํ ๊ฒฐ์๋ก ์ ํ ์ด์ฌ๋ณด์ ํ๋๋ด์์ ์ฐ๋ด ์ง๊ธ ํน๋ณ์์ฌ ๋ ๋ฆฝ์ฑ ์ ์ง ์ฐจ์์์ ํ์ฌ์ ์ฑ๊ณผ์ ๋ณด์๋ฅผ ์ฐ๋ํ์ง ์์ ๊ธฐํ๊ทผ๋ก์๋ - ํด์ง์๋ ํด์ง์ฐ๊ธ ๊ทผ์์ฐ์ 1๋ ์ ๋ํ์ฌ ํ๊ท ์๊ธ 1๊ฐ์๋ถ ์ง๊ธ ๊ฐ์ฌ ๊ทผ๋ก์๋ ๊ธ์ฌ ํ์ฌ์ ๋ด๋ถ๊ท์ ์ ๊ธฐ์ดํ์ฌ ์ฃผ์ฃผ์ดํ ๊ฒฐ์๋ก ์ ํ ์ด์ฌ๋ณด์ ํ๋๋ด์์ ์ฐ๋ด ์ง๊ธ ํน๋ณ์์ฌ ๋ ๋ฆฝ์ฑ ์ ์ง ์ฐจ์์์ ํ์ฌ์ ์ฑ๊ณผ์ ๋ณด์๋ฅผ ์ฐ๋ํ์ง ์์ ๊ธฐํ๊ทผ๋ก์๋ - ํด์ง์๋ ํด์ง์ฐ๊ธ ๊ทผ์์ฐ์ 1๋ ์ ๋ํ์ฌ ํ๊ท ์๊ธ 1๊ฐ์๋ถ ์ง๊ธ (๋จ์ : ๋ฐฑ๋ง์, %) ์ฌ์ ์ฐ๋ ์ด์ฌ์ ๋ณด์ ์ด์ก* ์ด์ฌ์ 1์ธ๋น ํ ๊ท ๋ณด์์ก ๊ฐ์ฌ์ ๋ณด์์ด์ก** ๊ฐ์ฌ์ 1์ธ๋น ํ ๊ท ๋ณด์์ก ์์ ์ด์ต ์ด ์ฃผ์ฃผ ์์ต๋ฅ (TSR)*** ๊ธฐํ ์งํ ๋น๊ธฐ 245 82 45 45 49,982 -21.93 - ์ ๊ธฐ 531 177 94 94 109,161 -10.28 - ์ ์ ๊ธฐ 927 309 62 62 99,150 -1.41 - DART dart.fss.or.kr Page 248
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1. ๊ฐ์ธ๋ณ ๋ณด์์ง๊ธ๊ธ์ก - ํด๋น์ฌํญ ์์ ๋. ์ฃผ์๋งค์์ ํ๊ถ์ ๋ถ์ฌ ๋ฐ ํ์ฌํํฉ ๋ณธ ๋ณด๊ณ ์ ์ ์ถ์ผ ํ์ฌ ์ฃผ์๋งค์์ ํ๊ถ ๊ด๋ จ ํด๋น์ฌํญ ์์ต๋๋ค. (1). ์ฃผ์๋งค์์ ํ๊ถ ๋ถ์ฌ ํํฉ - ํด๋น์ฌํญ ์์ (2). ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ ๋ถ์ฌ ํํฉ Remuneration status of directors and auditors receiving KRW 500 million or more (Unit: KRW million, shares) Name Fiscal Year Position Total remunerati on amount Stock-based compensation paid out of total remuneration Remuneration not included in total remuneration(Balance basis) Note Type Number of shares Amount Stock options Other stock-based compensation Number of exercisab le shares(Q uantity) Number of unexercis able shares(Q uantity) Exercise price Remainin g balance Unpaid quantity Market value - Current term - - - - - - - - - - - - - - - - - - - - - - Previous term - - - - - - - - - - - - - - - - - - - - - - Two fiscal years prior - - - - - - - - - - - - - - - - - - - - - - (Record date: 2026.06.30 ) (Unit: KRW million, shares) Name Grant date Stock option granting method Type of shares Initial grant quantity Change in quantity during the current term Total change in quantity Remainin g unexerci sed quantity at the end of the period Exercise period Exercise price Mandato ry holding status Mandato ry holding period Exercise d Cancele d Exercise d Cancele d - - - - - - - - - - - - - - - - - - - - - - - - - - - - (Record date: 2026.06.30 ) (Unit: shares) DART dart.fss.or.kr Page 249
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- ํด๋น์ฌํญ ์์ Name Grant date/Paym ent date(Date of cancellatio n) Title Number of newly granted shares Cumulative nember of granted shares Number of shares issued during the current period Cumulative change in quantity Unpaid quantity at the end of the period Vesting conditions Timing of payment Basis and procedure for grantPayment Canceled - - - - - - - - - - - - - - - - - - - - - - - - DART dart.fss.or.kr Page 250
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(3). ์ฐ์ ๊ธฐ์ค ๋ฐ ๋ฐฉ๋ฒ - ํด๋น์ฌํญ ์์ (๋จ์ : ๋ฐฑ๋ง์) ์ฌ์ ์ฐ๋ ์ด๋ฆ ๋ณด์์ ์ข ๋ฅ ์ด์ก ์ฐ์ ๊ธฐ์ค ๋ฐ ๋ฐฉ๋ฒ ๋น๊ธฐ - ๊ทผ๋ก์๋ ๊ธ์ฌ - - ์์ฌ - - ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - - ๊ธฐํ ๊ทผ๋ก์๋ - - ํด์ง์๋ - - ๊ธฐํ์๋ - - ๋ณด์์ด์ก์ ํฌํจ๋์ง ์๋ ๋ณด์ ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - ์ ๊ธฐ - ๊ทผ๋ก์๋ ๊ธ์ฌ - - ์์ฌ - - ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - - ๊ธฐํ ๊ทผ๋ก์๋ - - ํด์ง์๋ - - ๊ธฐํ์๋ - - ๋ณด์์ด์ก์ ํฌํจ๋์ง ์๋ ๋ณด์ ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - ์ ์ ๊ธฐ - ๊ทผ๋ก์๋ ๊ธ์ฌ - - ์์ฌ - - ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - - ๊ธฐํ ๊ทผ๋ก์๋ - - ํด์ง์๋ - - ๊ธฐํ์๋ - - ๋ณด์์ด์ก์ ํฌํจ๋์ง ์๋ ๋ณด์ ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - DART dart.fss.or.kr Page 251
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(1). ๊ฐ์ธ๋ณ ๋ณด์์ง๊ธ๊ธ์ก - ํด๋น์ฌํญ ์์ (1)-1. ์ฃผ์๋งค์์ ํ๊ถ ๋ถ์ฌ ํํฉ - ํด๋น์ฌํญ ์์ (1)-2. ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ ๋ถ์ฌ ํํฉ Remuneration status of the top 5 individuals with payments of KRW 500 million or more (Unit: KRW million, shares) Name Fiscal Year Position Total remunera tion amount Stock-based compensation paid out of total remuneration Remuneration not included in total remuneration(Balance basis) Note Type Number of shares Amount Stock options Other stock-based compensation Number of exercisabl e shares(Q uantity) Number of unexercis able shares(Q uantity) Exercise price Remainin g balance Unpaid quantity Market value - Current term - - - - - - - - - - - - - - - - - - - - - - Previous term - - - - - - - - - - - - - - - - - - - - - - Two fiscal years prior - - - - - - - - - - - - - - - - - - - - - - (Record date: 2026.06.30 ) (Unit: KRW million, shares) Name Grant date Stock option granting method Type of shares Initial grant quantity Change in quantity during the current term Total change in quantity Remainin g unexerci sed quantity at the end of the period Exercise period Exercise price Mandato ry holding status Mandato ry holding period Exercise d Cancele d Exercise d Cancele d - - - - - - - - - - - - X - - - - - - - - - - - - - X - (Record date: 2026.06.30 ) (Unit: shares) DART dart.fss.or.kr Page 252
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- ํด๋น์ฌํญ ์์ Name Grant date/Paym ent date(Date of cancellatio n) Title Number of newly granted shares Cumulative nember of granted shares Number of shares issued during the current period Cumulative change in quantity Unpaid quantity at the end of the period Vesting conditions Timing of payment Basis and procedure for grantPayment Canceled - - - - - - - - - - - - - - - - - - - - - - - - DART dart.fss.or.kr Page 253
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(2). ์ฐ์ ๊ธฐ์ค ๋ฐ ๋ฐฉ๋ฒ - ํด๋น์ฌํญ ์์ (๋จ์ : ๋ฐฑ๋ง์) ์ฌ์ ์ฐ๋ ์ด๋ฆ ๋ณด์์ ์ข ๋ฅ ์ด์ก ์ฐ์ ๊ธฐ์ค ๋ฐ ๋ฐฉ๋ฒ ๋น๊ธฐ - ๊ทผ๋ก์๋ ๊ธ์ฌ - - ์์ฌ - - ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - - ๊ธฐํ ๊ทผ๋ก์๋ - - ํด์ง์๋ - - ๊ธฐํ์๋ - - ๋ณด์์ด์ก์ ํฌํจ๋์ง ์๋ ๋ณด์ ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - ์ ๊ธฐ - ๊ทผ๋ก์๋ ๊ธ์ฌ - - ์์ฌ - - ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - - ๊ธฐํ ๊ทผ๋ก์๋ - - ํด์ง์๋ - - ๊ธฐํ์๋ - - ๋ณด์์ด์ก์ ํฌํจ๋์ง ์๋ ๋ณด์ ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - ์ ์ ๊ธฐ - ๊ทผ๋ก์๋ ๊ธ์ฌ - - ์์ฌ - - ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - - ๊ธฐํ ๊ทผ๋ก์๋ - - ํด์ง์๋ - - ๊ธฐํ์๋ - - ๋ณด์์ด์ก์ ํฌํจ๋์ง ์๋ ๋ณด์ ์ฃผ์๋งค์์ ํ๊ถ ํ์ฌ์ด์ต - ๊ทธ ์ธ ์ฃผ์๊ธฐ์ค๋ณด์ - DART dart.fss.or.kr Page 254
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(3). ์ฃผ์๋งค์์ ํ๊ถ์ ๋ถ์ฌ ๋ฐ ํ์ฌํํฉ - ํด๋น์ฌํญ ์์ (4). ์ฃผ์๋งค์์ ํ๊ถ์ ํ์ฌํํฉ - ํด๋น์ฌํญ ์์ (Unit: KRW million) Category Number of persons granted Total fair value of stock options Note Registered directors (excluding independent(outside) directors and member of the Audit Committee) - - - Independent(Outside) directors (excluding members of the Audit Committee) - - - Audit committee member or auditor - - - Executive directors, etc. - - - Total - - - (Record date: 2026.06.30 ) (Unit: KRW million, shares) Grantee Relationshi p Grant date Stock option granting method Type of shares Initial grant quantity Change in quantity during the current term Total change in quantity Remainin g unexercis ed quantity at the end of the period Exercise period Exercise price Mandator y holding status Mandator y holding period Exercised Canceled Exercised Canceled - - - - - - - - - - - - - X - DART dart.fss.or.kr Page 255
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IX. Matters Related to Affiliated Companies, etc. ๊ฐ. ๊ณ์ดํ์ฌ ํํฉ(์์ฝ) ๋. ํ๋ฒ์ธ์ถ์ ํํฉ(์์ฝ) (Record date: 2026.06.30 ) (Unit: company) Name of business group Number of affiliates Listed Unlisted Total SNT ๊ทธ๋ฃน 4 17 21 โ Move to detailed table (Record date: 2026.06.30 ) (Unit: KRW million) Purpose of investment Number of investment companies Total investment amount Listed Unlisted Total Beginning book value Increase (Decrease) Ending book valueAcquisition (Disposal) Gain (Loss) on valuation Management participation 1 7 8 86,351 91,968 -22,704 155,615 General investment 0 1 1 1,513 - 13 1,526 Simple investment 1 0 1 3,310 - -447 2,863 Total 2 8 10 91,174 91,968 -23,138 160,004 โ Move to detailed table DART dart.fss.or.kr Page 256
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X. Details of Transactions with Major Shareholders, etc. ๊ฐ. ๋์ฃผ์ฃผ๋ฑ๊ณผ์ ์์ ๊ฑฐ๋ (1) ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ๋น์ฌ์ ์ง๋ฐฐใ์ข ์๊ธฐ์ , ๊ธฐํ ํน์๊ด๊ณ์ ํ์ฌ์ ๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต ๋๋ค. ๊ตฌ๋ถ ํ์ฌ๋ช ์ง๋ฐฐ๊ธฐ์ ใSNTํ๋ฉ์ค ์ข ์๊ธฐ์ ใSNT๋ก๋ณดํฑ์ค SNT Global INC SNT USA Ltd. SNT Defense LLC SNT Property LLC SNT America Ltd. SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ SNT Motiv India Private Ltd. SNT Daewoo India Private Ltd. ๊ธฐํ ํน์๊ด๊ณ์ SNT์๋์งใ SNT๋ค์ด๋ด๋ฏน์คใ SNT AMTใ SNT์๋ฃจ์ ใ SNT Gulf for Industry Co., Ltd. SNT Energy Solutions LLC ๊ด์ฃผSNT๋๋ ฅ๊ธฐ๊ณ์ ํ๊ณต์ฌ SNT Polska Sp. z o.o. ๊ฐ์SNT๊ธฐ์ฐจ๋ฐฐ๊ฑด์ ํ๊ณต์ฌ ใSNT์ ์ถ์ํ (์ฌ)์ดํด์ฅํ์ฌ๋จ DART dart.fss.or.kr Page 257
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(2) ๋น๊ธฐ ๋ฐ๊ธฐ์ ์ ๊ธฐ ๋ฐ๊ธฐ ์ค ํน์๊ด๊ณ์์์ ๊ฑฐ๋๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (*1) ์ง๋ฐฐ๊ธฐ์ ์ธ ใSNTํ๋ฉ์ค์ ์ง๊ธํ ๋ฐฐ๋น๊ธ์ ๋น๊ธฐ ๋ฐ๊ธฐ์ ์ ๊ธฐ ๋ฐ๊ธฐ์ ๊ฐ๊ฐ 9,580๋ฐฑ๋ง ์, 10,179๋ฐฑ๋ง์์ด๋ฉฐ ๋ ๋ฐฐ๋น๊ธ ์ง๊ธ์ก์ ์๊ธฐ ํน์๊ด๊ณ์ ๊ฑฐ๋๋ด์ญ์ ํฌํจ๋์ด ์์ง ์์ต ๋๋ค. (*2) ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ๋น์ฌ๊ฐ ใSNTํ๋ฉ์ค๋ก๋ถํฐ ์ทจ๋ํ ์ข ์๊ธฐ์ ํฌ์์ฃผ์ 30,048๋ฐฑ๋ง์์ ์๊ธฐ ํน์๊ด๊ณ์ ๊ฑฐ๋๋ด์ญ์ ํฌํจ๋์ด ์์ง ์์ต๋๋ค. (*3) ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ๋น์ฌ๊ฐ SNT Motiv India Private Ltd.์ ์ถ๊ฐ๋ก ์ถ์ํ ํฌ์๊ธ INR 82,000,000์ ์๊ธฐ ํน์๊ด๊ณ์ ๊ฑฐ๋๋ด์ญ์ ํฌํจ๋์ด ์์ง ์์ต๋๋ค. (*4) ๋น๊ธฐ ๋ฐ๊ธฐ ์ค ์ฒญ์ฐ์ ์ฐจ์ ๋ฐ๋ผ ์์ฌ์ฌ์ฐ ๋ถ๋ฐฐ๊ฐ ์๋ฃ๋์ด ํน์๊ด๊ณ์์์ ์ ์ธ๋์์ต๋ ๋ค. (๋จ์:์ฒ์) ๊ตฌ๋ถ ํน์๊ด๊ณ์๋ช ๋น๊ธฐ ๋ฐ๊ธฐ ์ ๊ธฐ ๋ฐ๊ธฐ ๋งค์ถ ๋ฑ ์ฌ๊ณ ์์ฐ ๋งค์ ์ ํ์์ฐ ์ทจ๋ ๊ธฐํ ๋งค์ ๋งค์ถ ๋ฑ ์ฌ๊ณ ์์ฐ ๋งค์ ์ ํ์์ฐ ์ทจ๋ ๊ธฐํ ๋งค์ ์ง๋ฐฐ๊ธฐ์ ใSNTํ๋ฉ์ค(*1)(*2) 97,661 - - 887,386 - - - 940,036 ์ข ์๊ธฐ์ ใSNT๋ก๋ณดํฑ์ค 112,095 - - 24,300 - - - - SNT Defense LLC - - 34,675 74,416 - - - - SNT America Ltd. - - - 515,631 - - - 518,301 SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ 2,664,023 1,690,228 - 244,567 2,705,915 5,348,544 - 49,404 SNT Motiv India Private Ltd.(*3) 735,761 - - 3,443 11,635,668 - - - ๊ธฐํ SNT์๋์งใ 114,535 - - - 3,300 - - - SNT๋ค์ด๋ด๋ฏน์คใ 1,772,833 24,161,151 - 778,273 590,200 20,466,025 - 745,674 SNT AMTใ 2,106,529 - - 28,541,753 1,374,001 1,058,022 - 23,442,204 SNT์๋ฃจ์ ใ 4,587 - 742,089 1,621,653 4,227 21,000 237,207 1,363,185 ใ์ดํด์ฐ๊ตฌ์(*4) - - - - - - - 18,000 ใSNT์ ์ถ์ํ 156,933 - - - 166,781 - - - ํฉ ๊ณ 7,764,957 25,851,379 776,764 32,691,422 16,480,092 26,893,591 237,207 27,076,804 DART dart.fss.or.kr Page 258
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(3) ๋น๊ธฐ ๋ฐ๊ธฐ๋ง๊ณผ ์ ๊ธฐ๋ง ํ์ฌ ํน์๊ด๊ณ์์ ๋ํ ์ฑ๊ถใ์ฑ๋ฌด๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (๋จ์:์ฒ์) ํน์๊ด๊ณ๊ตฌ๋ถ ํน์๊ด๊ณ์๋ช ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ์ ๊ธฐ๋ง ๋งค์ถ์ฑ๊ถ ๊ธฐํ์ฑ๊ถ ๋งค์ ์ฑ๋ฌด ๊ธฐํ์ฑ๋ฌด ๋งค์ถ์ฑ๊ถ ๊ธฐํ์ฑ๊ถ ๋งค์ ์ฑ๋ฌด ๊ธฐํ์ฑ๋ฌด ์ง๋ฐฐ๊ธฐ์ ใSNTํ๋ฉ์ค - - - 527,904 - - - 622,421 ์ข ์๊ธฐ์ ใSNT๋ก๋ณดํฑ์ค 6,964 1,999 - - - - - - SNT America Ltd. - - - 83,612 - - - 80,291 SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ 805,683 - 589,528 - 1,177,892 365,121 608,731 - SNT Motiv India Private Ltd. 2,880,024 40,310 - - 2,079,216 37,523 - - SNT Daewoo India Private Ltd. 109,638 - - - 107,485 - - - ๊ธฐํ SNT๋ค์ด๋ด๋ฏน์คใ - 130,000 29,717,530 1,257,313 - 156,000 11,105,954 592,250 SNT AMTใ - - - 9,753,147 - - - 9,515,804 SNT์๋ฃจ์ ใ - - - 1,216,412 - 135,000 - 1,250,011 ใSNT์ ์ถ์ํ - - - - - 15,097,972 - - ํฉ ๊ณ 3,802,309 172,309 30,307,058 12,838,388 3,364,593 15,791,616 11,714,685 12,060,777 DART dart.fss.or.kr Page 259
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XI. Other Matters Necessary for Investor Protection 1. Progress and changes of disclosure information - ํด๋น์ฌํญ ์์ 2. Matters related to contingent liabilities, etc. ๊ฐ. ์ค์ํ ์์ก์ฌ๊ฑด ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ๋น์ฌ๊ฐ ํผ๊ณ ์ธ ์ฌ๊ฑด์ด ์ด 1๊ฑด(์์ก๊ฐ์ก 46,536๋ฐฑ๋ง์) ๊ณ๋ฅ ์ค์ด๋ฉฐ ์ฃผ์ ๋ด์ฉ์ ๋ด์ฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (*1) ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ K11 ๋ณตํฉํ ์์ด ๋ฉํ ๊ณ์ฝ ํด์ ์ ๊ด๋ จํ์ฌ ใ์ด์ค์์คํ ์ด ์ฐ๊ฒฐ์ค ์ฒด๋ฅผ ์๋๋ก ์ ๊ธฐํ 46,536๋ฐฑ๋ง์์ ์ํด๋ฐฐ์์์ก๊ณผ ์ด์ ์ฐ๊ฒฐ์ค์ฒด๊ฐ ๊ณ์ฝ์๋๋ฐฉ์ธ ๋ฐฉ์์ฌ ์ ์ฒญ์ ์๋๋ก ์ ๊ธฐํ 63,069๋ฐฑ๋ง์์ ์ํด๋ฐฐ์์์ก์ด ์กด์ฌํฉ๋๋ค. ์ ํ์์ก์ธ ๋ฐฉ์์ฌ์ ์ฒญ ๊ณผ์ ์์ก๋ณด๋ค ๋จผ์ ์ด์ค์์คํ ๊ณผ์ ์์ก 1์ฌ ํ๊ฒฐ ์ ๊ณ ๊ฐ ํ์ ๋ ์๋ ์๋ ์ํฉ์ด๋ฏ๋ก ์ด ์ค์์คํ ๊ณผ์ ์์ก ๊ฒฐ๊ณผ๊ฐ ์ฌ๋ฌด์ ํ์ ๋ฏธ์น๋ ์ํฅ์ ์ค์ํ์ง ์์ ๊ฒ์ผ๋ก ์์ํ๊ณ ์์ต ๋๋ค. (๋จ์:๋ฐฑ๋ง์) ์์ก๋ด์ญ ์ ๊ณ ํผ ๊ณ ์์ก๊ธ์ก ๋น ๊ณ ์ํด๋ฐฐ์ ์ฒญ๊ตฌ (์ฃผ)์ด์ค์์คํ SNT๋ชจํฐ๋ธ(์ฃผ) 46,536 - DART dart.fss.or.kr Page 260
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๋. ๊ฒฌ์ง ๋๋ ๋ด๋ณด์ฉ ์ด์ใ์ํ ํํฉ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์ฐ๊ฒฐ์ค์ฒด์ ๊ฑฐ๋์ฝ์ ๊ณผ ๊ด๋ จํ์ฌ ๊ฒฌ์ง๋ก ์ ๊ณต๋ ์ด์์ ๋ด์ฉ์ ๋ค์๊ณผ ๊ฐ ์ต๋๋ค. ๋ค. ๊ทธ๋ฐ์ ์ฐ๋ฐ์ฑ๋ฌด ๋ฑ (1) ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์ฐ๊ฒฐ์ค์ฒด์ ๊ธ์ต๊ธฐ๊ด๊ณผ์ ํ๋ ์ฝ์ ๋ด์ญ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. (*) ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ์ฐ๊ฒฐ์ค์ฒด๋ ํ๋์ฝ์ ๊ณผ ๊ด๋ จํ์ฌ ํ๊ตญ์ฐ์ ์ํ์ ํ ์ง์ ๊ฑด๋ฌผ ๋ฐ ๊ธฐ๊ณ ์ฅ์น(์ฅ๋ถ๊ฐ์ก: 303,049๋ฐฑ๋ง์, ๋ด๋ณด์ค์ ๊ธ์ก: 40,000๋ฐฑ๋ง์)๋ฅผ ๋ด๋ณด๋ก ์ ๊ณตํ๊ณ ์์ต๋๋ค. 3. Matters related to sanctions, etc. - ํด๋น์ฌํญ ์์ต๋๋ค. (๊ธฐ์ค์ผ : 2026๋ 06์ 30์ผ) (๋จ์ : ๋งค, ๋ฐฑ๋ง์) ์ ์ถ ์ฒ ๋งค ์ ๊ธ ์ก ๋น ๊ณ ์ ํ - - - ๊ธ์ต๊ธฐ๊ด(์ํ์ ์ธ) - - - ๋ฒ ์ธ 1 ๋ฐฑ์ง ์ดํ๋ณด์ฆ๋ด๋ณด ๊ธฐํ(๊ฐ์ธ) - - - (์ํ๋จ์:์ฒ์, ์ธํ๋จ์:์ฒUSD) ๊ธ์ต๊ธฐ๊ด ๋ด ์ญ ํ๋๊ธ์ก ์คํ๊ธ์ก ํ๊ตญ์ฐ์ ์ํ(*) ์ธํ์ง๊ธ๋ณด์ฆ USD 10,000 - ์ฐ๋ฆฌ์ํ ์ธํ์ง๊ธ๋ณด์ฆ USD 4,000 - KB๊ตญ๋ฏผ์ํ ์ธํ์ง๊ธ๋ณด์ฆ USD 15,000 USD 3,944 ์ ํ์ํ ์ธํ์ง๊ธ๋ณด์ฆ USD 25,097 USD 13,789 ๋ฐฉ์์ฐ์ ๊ณต์ ์กฐํฉ ์ดํ๋ณด์ฆ 198,333,645 4,508,352 ์์ธ๋ณด์ฆ๋ณดํ ์ดํ๋ณด์ฆ 19,689,924 19,689,924 DART dart.fss.or.kr Page 261
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4. Other matters, including material matters occurred after the document preparation date ๊ฐ. ์จ์ค๊ฐ์ค ๋ฐฐ์ถ๋ ๋ฐ ์๋์ง ์ฌ์ฉ๋ ๊ด๋ฆฌ ๋น์ฌ๋ 2012๋ 6์ ์ง์๊ฒฝ์ ๋ถ ๊ณ ์์ ์๊ฑฐ ๋น์ฌ ๋ถ์ฐ๊ณต์ฅ ์ฌ์ ์ฅ์ด ์จ์ค๊ฐ์ค/์๋์ง ๋ชฉํ ๊ด๋ฆฌ์ ๊ด๋ฆฌ์ฌ์ ์ฅ์ผ๋ก ์ง์ ๋์์ต๋๋ค. ์ด์ ๋น์ฌ๋ ์ ๋ถ์ ์ง์นจ์ ๋ฐ๋ผ ๋งค๋ ์จ์ค๊ฐ์ค ๋ฐฐ์ถ๋๊ณผ ์๋์ง ์๋น๋์ ๋ํ์ฌ ์ธก์ ๋ฐ ๊ฒ์ฆ ๊ฐ๋ฅํ ๋ฐฉ์์ผ๋ก ๋ช ์ธ์๋ฅผ ์์ฑํ์ฌ ์ ๋ถ์ ๋ณด๊ณ ํ์ฌ์ผ ํฉ๋๋ค. ์ ๋ถ์ ๋ณด๊ณ ํ ๋น์ฌ ์จ์ค๊ฐ์ค ๋ฐฐ์ถ๋ ๋ฐ ์๋์ง ์ฌ์ฉ๋์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. ๋. ๋ณด๊ณ ๊ธฐ๊ฐ ํ ์ฌ๊ฑด ๋ณด๊ณ ๊ธฐ๊ฐ ์ข ๋ฃ์ผ ์ดํ, K11 ๋ณตํฉํ์์ด ๋ฉํ ๊ณ์ฝ ํด์ ์ ๊ด๋ จํ์ฌ, ์ฐ๊ฒฐ์ค์ฒด๊ฐ ๋ฐฉ์์ฌ์ ์ฒญ ์ ์๋๋ก ์ ๊ธฐํ ์ํด๋ฐฐ์์ฒญ๊ตฌ์์ก(์ฒญ๊ตฌ๊ธ์ก: 63,069๋ฐฑ๋ง์ ๋ฐ ์ด์ ๋ํ ์ง์ฐ์ด์)์ ๋ ํ์ฌ, 2026๋ 7์ 7์ผ ์ 1์ฌ ๋ฒ์์ ํผ๊ณ ๊ฐ ์ฐ๊ฒฐ์ค์ฒด์ 55,767๋ฐฑ๋ง์๋ฐ ์ด์ ๋ํ ์ง์ฐ์ด ์๋ฅผ ์ง๊ธํ๋ผ๋ ์ผ๋ถ ์ธ์ฉ ํ๊ฒฐ์ ์ ๊ณ ํ์์ต๋๋ค. ์ด์ ์๊ณ , ์๊ณ ๋ณด์กฐ์ฐธ๊ฐ์ธ ๋ฐ ํผ๊ณ ๋ชจ ๋ ์ 1์ฌ ํ๊ฒฐ์ ๋ํ์ฌ ํญ์๋ฅผ ์ ๊ธฐํ์์ผ๋ฉฐ, ์ต์ข ์์ก๊ฒฐ๊ณผ๋ ์ถํ ํ์ ๋ ์์ ์ ๋๋ค. ๊ตฌ ๋ถ 2025๋ 2024๋ 2023๋ 2022๋ 2021๋ ์จ์ค๊ฐ์ค(๋จ์ : KtonCOโ-eq) 18.6 18.8 18.4 18.8 18.3 ์๋์ง(๋จ์ : TJ) 385 387 377 385 375 DART dart.fss.or.kr Page 262
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XII. Detailed Table 1. Status of subsidiaries subject to consolidation (Detailed) โป ์ต๊ทผ์ฌ์ ์ฐ๋๋ง ์์ฐ์ด์ก์ 2025๋ ๊ธฐ๋ง K-IFRS์ ๋ฐ๋ฅธ ๋ณ๋์ฌ๋ฌด์ ํ์ ์์ฐ ์ด์ก์ ๋๋ค. โป ์ฃผ์์ข ์ํ์ฌ ์ฌ๋ถ๋ ์ต๊ทผ์ฐ๋ ์์ฐ์ด์ก์ด ์ง๋ฐฐํ์ฌ ์์ฐ์ด์ก์ 10%์ด์์ด๊ฑฐ๋์ต๊ทผ์ฐ ๋ ์์ฐ์ด์ก์ด 750์ต์ ์ด์์ธ ์ข ์ํ์ฌ๋ฅผ ๋์์ผ๋ก ํ์์ต๋๋ค. โ Move to main text (Unit: KRW million) Trade name Establishmen t date Address line 1 Main business Total assets as of the end of the latest fiscal year Basis of control relationship Whether a major subsidiary company SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ 2007.12 ์ค๊ตญ ๊ฐ์์ฑ ๊ณค์ฐ๊ฐ๋ฐ๊ตฌ ์ฐจ๋๋ถํ 28,250 ์๊ฒฐ๊ถ ๊ณผ๋ฐ์ ์์ (๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1110ํธ 7) ํด๋น์์ SNT America Ltd 2002.04 ๋ฏธ๊ตญ ๋ํธ๋ก์ดํธ ์ฐจ๋๋ถํ 1,073 ์๊ฒฐ๊ถ ๊ณผ๋ฐ์ ์์ (๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1110ํธ 7) ํด๋น์์ SNT Daewoo India Private Ltd 2008.06 ์ธ๋ ํธ๋ค ์ฐจ๋๋ถํ 59 ์๊ฒฐ๊ถ ๊ณผ๋ฐ์ ์์ (๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1110ํธ 7) ํด๋น์์ SNT USA Ltd 2024.05 ๋ฏธ๊ตญ ์บ๋ฆฌํฌ๋์ ์ง์ฃผํ์ฌ 11,363 ์๊ฒฐ๊ถ ๊ณผ๋ฐ์ ์์ (๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1110ํธ 7) ํด๋น์์ SNT Defense LLC 2024.05 ๋ฏธ๊ตญ ์บ๋ฆฌํฌ๋์ ๋ฐฉ์ฐ 2,262 ์๊ฒฐ๊ถ ๊ณผ๋ฐ์ ์์ (๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1110ํธ 7) ํด๋น์์ SNT Property LLC 2024.07 ๋ฏธ๊ตญ ์บ๋ฆฌํฌ๋์ ์์ฐ๊ด๋ฆฌ 8,171 ์๊ฒฐ๊ถ ๊ณผ๋ฐ์ ์์ (๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1110ํธ 7) ํด๋น์์ SNT Motiv India Private LTD 2024.10 ์ธ๋ ์ฒธ๋์ด ์ฐจ๋๋ถํ 20,067 ์๊ฒฐ๊ถ ๊ณผ๋ฐ์ ์์ (๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1110ํธ 7) ํด๋น์์ SNT Global INC 2025.05 ๋ฏธ๊ตญ ๋ฃจ์ง์ ๋ ์ฐจ๋๋ถํ ๋ฐฉ์ฐ ์๋์งํ๋ํธ 42,143 ์๊ฒฐ๊ถ ๊ณผ๋ฐ์ ์์ (๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1110ํธ 7) ํด๋น์์ (์ฃผ)SNT๋ก๋ณดํฑ์ค 2025.07 ๋ถ์ฐ๊ด์ญ์ ๊ธฐ์ฅ๊ตฐ ์ฐ์ ์ฉ๋ก๋ด 30,538 ์๊ฒฐ๊ถ ๊ณผ๋ฐ์ ์์ (๊ธฐ์ ํ๊ณ๊ธฐ์ค์ ์ 1110ํธ 7) ํด๋น์์ DART dart.fss.or.kr Page 263
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2. Status of affiliates (Detailed) ๊ฐ. ๊ทธ๋ฃน์กฐ์ง๋ ๋น์ฌ๋ SNT๊ทธ๋ฃน ๊ธฐ์ ์ง๋จ์ ์ํด ์์ต๋๋ค. 2026๋ 06์ 30์ผ ํ์ฌ SNT๊ทธ๋ฃน์ ์ํด์๋ ํ์ฌ๋ ์์ฅ์ฌ 4๊ฐ์ฌ, ๋น์์ฅ์ฌ 17๊ฐ์ฌ์ด๋ฉฐ, ๊ทธ ์์ํ์ฌ ํํฉ์ ๋ค์๊ณผ ๊ฐ์ต๋๋ค. โป ๋น์ฌ์ ๊ณ์ดํ์ฌ๊ฐ ์์ ๊ฒธ์ง ํํฉ์ 'โ ง. ์์ ๋ฐ ์ง์ ๋ฑ์ ๊ดํ ์ฌํญ'์ ์ฐธ์กฐํ์๊ธฐ ๋ฐ ๋๋๋ค. DART dart.fss.or.kr Page 264
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๋. ๊ณ์ดํ์ฌ ํํฉ(์์ธ) โ Move to main text (Record date: 2026.06.30 ) (Unit: company) Whether publicly listed Number of companies Company name Corporation registration No. Listed 4 (์ฃผ)SNTํ๋ฉ์ค 124411-0002907 SNT๋ค์ด๋ด๋ฏน์ค(์ฃผ) 110111-0042880 SNT๋ชจํฐ๋ธ(์ฃผ) 180111-0396069 SNT์๋์ง(์ฃผ) 194211-0090598 Unlisted 17 (์ฃผ)SNT์ ์ถ์ํ 190111-0001096 SNT์๋ฃจ์ (์ฃผ) 194211-0068793 SNT AMT(์ฃผ) 190111-0013603 (์ฃผ)SNT๋ก๋ณดํฑ์ค 180111-0162390 ๊ฐ์SNT๊ธฐ์ฐจ๋ฐฐ๊ฑด์ ํ๊ณต์ฌ - ๊ด์ฃผSNT๋๋ ฅ๊ธฐ๊ณ์ ํ๊ณต์ฌ - SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ - SNT Polska Sp. z o.o - SNT Daewoo India Private Ltd - SNT Motiv India Private Ltd - SNT America Ltd - SNT USA Ltd. - SNT Defense LLC - SNT Property LLC - SNT Global INC - SNT Gulf for Industry Co., Ltd - SNT ENERGY SOLUTIONS-L.L.C-S.P.C - DART dart.fss.or.kr Page 265
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3. Status of investment in other corporations (Detailed) โป ์๋ ๋ฐ ์ง๋ถ์จ์ ๋น๊ธฐ ๋ฐ๊ธฐ๋ง ํ์ฌ ๋น์ฌ๊ฐ ์ง์ ๋ณด์ ํ๊ณ ์๋ ์ฃผ์์ ๊ธฐ์ค์ ๋๋ค. โป ์ต๊ทผ ์ฌ์ ์ฐ๋ ์ฌ๋ฌดํํฉ์ ๋ณ๋์ฌ๋ฌด์ ํ ๊ธฐ์ค์ ๋๋ค. โ Move to main text (Record date: 2026.06.30 ) (Unit: KRW million, shares, %) Name of corporation Whether publicly listed Date of initial acquisition Purpose of investment Initial acquisiti on amount Balance at the beginning of the period Increase (Decrease) Balance at the end of the period Financial status for the latest fiscal year Number of shares Shareholdi ng ratio Book value Acquisition (Disposal) Gain (Loss) on valuation Number of shares Sharehol ding ratio Book value Total assets Profit (loss) Number of shares Amount SNT Daewoo India Private Ltd Unlisted 2008.06.16 ๊ฒฝ์์ฐธ์ฌ 515 4,683 100.00 0 - - - 4,683 100.00 0 59 -9 SNT America Ltd Unlisted 2002.02.06 ๊ฒฝ์์ฐธ์ฌ 39 3 100.00 39 - - - 3 100.00 39 1,073 41 SNT๋์ฐ๊ธฐ์ฐจ๋ถ๊ฑด(๊ณค์ฐ)์ ํ๊ณต์ฌ Unlisted 2007.12.13 ๊ฒฝ์์ฐธ์ฌ 11,128 - 100.00 16,892 - - - - 100.00 16,892 28,250 -738 SNT USA Ltd Unlisted 2024.05.20 ๊ฒฝ์์ฐธ์ฌ 8,771 10 100.00 12,855 - - - 10 100.00 12,855 11,363 -1,639 SNT Motiv India Private Ltd Unlisted 2024.10.22 ๊ฒฝ์์ฐธ์ฌ 5,755 128,800 100.00 21,161 8,200 1,314 - 137,000 100.00 22,475 20,067 -2,903 SNT Global INC Unlisted 2025.06.18 ๊ฒฝ์์ฐธ์ฌ 35,404 26 86.67 35,404 - - - 26 86.67 35,404 42,143 -896 SNT ๋ก๋ณดํฑ์ค Unlisted 2026.03.24 ๊ฒฝ์์ฐธ์ฌ 30,048 - - - 6,000 30,048 - 6,000 100.00 30,048 29,615 -1,075 ๋ฐฉ์์ฐ์ ๊ณต์ ์กฐํฉ Unlisted 2002.02.06 ์ฌ์ ๊ด๋ จ 263 6 0.50 1,513 - - 13 6 0.50 1,526 397,763 2,687 ์ค๋งฅ Listed 2026.04.24 ๊ฒฝ์์ฐธ์ฌ 60,606 - - - 13,960 60,606 -22,704 13,960 20.46 37,902 314,526 -11,280 ๋์ผ์ฐ์ (์ฃผ) Listed 2023.07.05 ํฌ์ - 84 3.48 3,310 - - -447 84 3.48 2,863 435,927 7,763 Total 133,612 - 91,174 28,160 91,968 -23,138 161,772 - 160,004 - - DART dart.fss.or.kr Page 266
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4. Status of intellectual property ownership[Detailed] ๋น์ฌ๋ ์์ํ๋ ์ฌ์ ๊ณผ ๊ด๋ จํ์ฌ ํนํ๊ถ์ ์ทจ๋ํ์ฌ ๋ณด์ ํ๊ณ ์์ผ๋ฉฐ ์์ธ ๋ด์ฉ์ ๋ค์์ ์ฐธ๊ณ ํ์๊ธฐ ๋ฐ๋๋๋ค. โ Move to main text ์ข ๋ฅ ์ทจ๋์ผ ๋ด์ฉ ๊ทผ๊ฑฐ๋ฒ๋ น ์์ฉํ ์ฌ๋ถ๋ฐ ๋งค์ถ๊ธฐ์ฌ๋ ๊ณ๊ธฐํ 2001-09-24 ๋ฐ๊ด๋ค์ด์ค๋๋ฅผ ์ด์ฉํ ์๋์ฐจ๊ณ๊ธฐํ์ ๊ฐ์ ์กฐ๋ช ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2004-12-30 ์๋์ฐจ์ฉ ์ฝ์ ์๋ฒ์ ํผ์คํค๋ฐธ๋ธ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2004-12-30 ์๋์ฐจ์ฉ ์ฝ์ ์๋ฒ์ ๋ฒ ์ด์ค๋ฐธ๋ธ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2005-04-19 ์๋์ฐจ์ ์ฝ์ ์๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2005-06-15 ๋๋ผ์ธํ๊ธฐ์ฉ ๋ชจํฐ์ ์คํ ์ดํฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2005-08-24 ์๋์ฐจ์ฉ ์ฝ์ ์๋ฒ์ ๋ก๋๊ฐ์ด๋์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2005-08-24 ์๋์ฐจ์ฉ ์ํ ์ ๋ฐ ์คํ ๋ชจํฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2005-08-24 ์๊ธฐ์ ๋์ฑ ์ ์ฒด๋ฅผ ์ด์ฉํ ๋ํผ์ ํผ์คํค๋ฐธ๋ธ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2005-08-24 ์๊ธฐ์ ๋์ฑ ์ ์ฒด๋ฅผ ์ด์ฉํ ๋ํผ์ ํผ์คํค๋ฐธ๋ธ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ T/Body 2006-02-01 ์ ์์ ์ด์ ์ฐ๋กํ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ T/Body 2006-02-24 ์ ์์ ์ด์ ์ฐ๋กํ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2006-03-02 DRIVER AIR-BAG์ ์กฐ๋ฆฝ ๋ฐ ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ PCM 2006-06-27 ์ ๊ธฐ๋ชจํฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2007-03-13 ์๊ธฐ์ ๋์ฑ ์ ์ฒด๋ฅผ ์ด์ฉํ ๋น๋์นญ ๊ฐ์ ์ฑ๋ฅ ์ ์ด์ ๋ํผ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ RKE 2007-03-20 ์ฐจ๋์ฉ ํจ์๋ธ ๋์ด/์๋์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2007-04-13 ์ ์์ ์๋ ๋ ธ์ด๋์ ์ํ ์ฐจ๋์ฉ ํ๊ฐ์ฅ์น์ ์ฐ์๊ฐ์ ๋ ฅ ๊ฐ๋ณ์ฝ์ ์๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ RKE 2007-06-19 ์ฐจ๋ ๋ฐ ์ด์ ์ ์ํ ๊ฐ์ง๋ฅผ ์ํ ์์คํ ๋ฐ ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2007-06-19 ์ ์์ ์ด ํ๊ฐ์์คํ ์ฉ ์ ์์จ๋์จ ๋ํผ์ ์ ๊ธฐ์ฐ๊ฒฐ ์ปค๋ฅํธ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2007-06-19 ์๋กํ๋ณด๋ฅผ ์ํ ํผ์คํค ๋ฒจ๋ธ ๋ถ๋ฆฌํ MR ๋ํผ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ RKE 2007-06-27 ์ ๊ธฐ์ ์คํฐ์ด๋ง ์ปฌ๋ผ ๋ฝ ์ฅ์น ๋ฐ ์ด๋ฅผ ์ด์ฉํ ์ ์ด๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2007-07-09 ์์ด๋ฐฑ์ ๋ฐฑ์ธ๋ฆผ์ ๋ฐฉ์งํ๊ธฐ ์ํ ๊ฐ์ค๊ท ๋ฑ๋ถ๋ฐฐ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ RKE 2007-07-09 ์์ฒด์นฉ์ ์ด์ฉํ ์ฐจ๋์ ์ด์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2007-07-09 ์คํ๋ง์ ์ฒด๊ฒฐ์ ์ด์ฉํ ์ด์ ์์ฉ ์์ด๋ฐฑ ๋ชจ๋ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2007-07-09 ์ ๋์ ์กฐํฅ์ฅ์น์ฉ ๋ชจํฐ์ ์คํ ์ดํฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2007-07-09 ์กฐ์์ ์์ด๋ฐฑ์ ์ํด์น ๊ฐ์์ฉ ์ ์ค์น๊ตฌ์กฐ ๋ฐ ์ฒ์ ์ ๋ ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2007-11-01 ๊ฐ์ธํ๊ธฐ์ฉ ์์ถฉ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ FA 2007-12-17 ํผ์ด์ฑ ํ๋ ์ค ์ฅ์น์ ์ด๋ฅผ ์ด์ฉํ ํผ์ด์ค ํ ํ์ฑ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2007-12-17 ์๋์ฐจ์ฉ ์กฐ์์ ์์ด๋ฐฑ ๋ชจ๋ ๋ฐ ๊ทธ ํด๋ฉ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2008-01-16 ์ฌ๋ฆผํ ์กฐ์์ ์์ด๋ฐฑ๋ชจ๋์ ์ด๋ฅผ ์ ์ฉํ ์ ์ํด์น ์กฐ์์ ์์คํ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2008-02-22 ์๊ธฐ์ ๋์ฑ์ ์ฒด๋ฅผ ์ด์ฉํ ์ฐ์๊ฐ์๋ ฅ๊ฐ๋ณ์ญ ๋ํผ์ ๋ด์ฅํ์ผ์ฑ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ RKE 2008-02-22 ์ฐจ๋์ฉ ์ค๋งํธํค๋ฅผ ๊ตฌ๋นํ ์ง๋ฅํ ๋์งํธ ๋์ด๋ก ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ F/S 2008-03-05 ๋ด์ ๊ธฐ์ด์ ์นํ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2008-05-19 ๋ฐํ๋์คํฌ ์คํ๋ง์ ์กฐํฉ์ ์ํ ์ผ์ฒดํ ์ ํ ๋ ๋ฒจ๋ง ์ฝ์ ์ผ๋ฒ์ฉ ํผ์คํค๋ฒจ๋ธ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2008-05-19 ์คํ์์์ ์คํ๊ฐ๋ ์ธก์ ์ฅ์น ๋ฐ ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2008-05-22 ์๋๋ณ์ ์ธก์ ์ผ์๊ฐ ์ค์น๋ ๋ํผ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2008-07-02 ์๋์ฐจ์ฉ ์ค๊ณตํ ๋ชจํฐ ๋ฐ ๊ทธ์ ์กฐ๋ฆฝ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2008-07-02 ํฝ์ฐฝ์๋ ฅ ์ํ ์์ด๋ฐฑ ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2008-07-02 ํฝ์ฐฝ์๋ ฅ ์ํ ์์ด๋ฐฑ ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2008-08-11 ์ด์ ์์์ด๋ฐฑ ๋ชจ๋ ๋ฐ ๊ทธ์ ์กฐ๋ฆฝ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2008-10-23 ์๊ธฐ์ ๋์ฑ ์ ์ฒด๋ฅผ ์ฌ์ฉํ๋ ๋ํผ์ ์กฐ๋ฆฝ์ฅ๋น ๋ฐ ์ด๋ฅผ ์ด์ฉํ ๋ํผ์กฐ๋ฆฝ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2008-11-28 ์๋๋ณ์ ์ธก์ ์ผ์๋ชจ๋ ๋ฐ ์ด๋ฅผ ์ด์ฉํ ์ด๋๋ฐฉํฅ ๊ฐ์ง๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ DART dart.fss.or.kr Page 267
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O/Pump 2008-10-28 ์ฐจ๋์ฉ ์ค์ผํํ ์ฑ๋ฅ์ํ์ฅ์น ๋ฐ ์ํ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2008-10-28 ์๋์ฐจ์ฉ ๋ธ๋ฌ์ฌ๋ฆฌ์ค ๋ชจํฐ์ ๋ฒ์ค๋ฐ๋ฅผ ์ด์ฉํ ๋ณ๋ ฌ ๊ถ์ ๊ฒฐํฉ๊ตฌ์กฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2008-10-31 ์๋๋ณ์๊ธฐ์ ๊ธฐ์ด์กฐ์ข ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ T/Body 2009-01-22 ๋กํฐ๋ฆฌํ ์์ด๋ค์ฝํธ๋กค ๋ฐธ๋ธ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ T/Body 2009-01-22 ์ง์ ์๋ณต๋ํ ์์ด๋ค ์ฝํธ๋กค ๋ฐธ๋ธ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2009-03-16 ์ฐจ๋์ฉ ์ฝ์ ์๋ฒ์ ํผ์คํค๋ฐธ๋ธ์ ๋ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2009-04-03 ์ฐ์ ๊ฐ์ ๋ ฅ ๊ฐ๋ณํ ๋ํผ์ ํผ์คํค๋ฐธ๋ธ ์ด์ ๋ธ๋ฆฌ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ RKE 2009-04-03 ์คํ ๋ฐ์ด์ฉ ๋๋๋ฐฉ์ง ์์คํ ๋ฐ ๊ทธ์ ์ ์ด๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2009-08-17 ๋ณตํฉํ๊ธฐ์ ์ด์ค๊ฒฉ๋ฐ๊ธฐ๊ตฌ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2009-08-17 ๊ธฐ๊ด์ด์ฉ ์ฐฉํ์ ํ์์ผ์ด์ค ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2009-08-31 ์ฐจ๋์ฉ ์ฝ์ ์๋ฒ ํ ์คํธ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2009-11-27 ์ญ๋ฅ๊ฐ์ค ์ถฉ๊ฒฉํก์์ ์์ด ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2010-03-05 ๊ฐ์๋์ผ์์ ์๋๋ณ์์ผ์๋ฅผ ํฌํจํ๋ ์ผ์๋ชจ๋, ์ด๋ฅผ ์ฅ์ฐฉํ ๋ํผ, ์ด๋ฅผ ํฌํจ ํ๋ ์ ์์ ์ด ํ๊ฐ์์คํ ๋ฐ ์ด๋ฅผ ์ด์ฉํ ์ฐจ๋ ๋์ ์ ์ด ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2010-08-09 ์ถฉ๊ฒฉ์ํ๊ธฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2010-08-17 ํฝ์ฐฝ์ถฉ๊ฒฉ ์ํ ์์ด๋ฐฑ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2012-04-03 ์๊ธฐ์ ๋ณ์ ์ฒด๋ฅผ ์ด์ฉํ ์ง์ ํ ๋ณ์์ผ์ ๋ฐ ์ด๋ฅผ ํฌํจํ๋ ๋ณ์๊ฐ์ง์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ AIRBAG 2012-07-24 ๋ฌด๋ฆ ์์ด๋ฐฑ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2012-11-16 ์๊ธฐ์ ๋ณ์ ์ฒด๋ฅผ ์ด์ฉํ ํ์ ํ ๋ณ์์ผ์ ๋ฐ ์ด๋ฅผ ํฌํจํ๋ ๋ณ์๊ฐ์ง์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2015-04-28 HSG ๋ชจํฐ์ ๋ฆฌ๋์์ด์ด ๊ฐ์ด๋๊ธฐ๊ตฌ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2017-11-01 ๋ณ์๊ฐ๋ณํ ๋ํผ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2018-01-22 ์๋์ฐจ์ฉ ์ค์ผํํ ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2019-01-21 ์ ์์ ์ด์ ๊ฐ์ ๋ ฅ ๊ฐ๋ณํ ๋ํผ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2019-01-21 ๋ณ์๊ฐ๋ณํ ๋ํผ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2020-03-09 ์งํ์ฒ๋ฆฌ์ ํฌ๋กฌ ๋๊ธ์ ๋ณํํ์ฌ ๋ด์์ฑ๊ณผ ๋ด๋ง๋ชจ์ฑ์ ํฅ์์ํจ Cr-Mo-Vํฉ๊ธ๊ฐ ๊ธฐ๋ฐ์ ์ด์ด ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2020-03-19 ์์ด์ ์ฌ์ ๋ณดํธ์ฉ ๋ฐฉ์ด๋ฎ๊ฐ ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2020-05-07 ์ด์ด์ ๋ค์ค ๊ฒฝ๋ ๊ตฌํ์ ์ํ ๊ณ ์ฃผํ ์ด์ฒ๋ฆฌ ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2020-06-02 ๋ถ๋ณ์๊ธฐ์ ์ก์ธ์์ดํฐ ์ด์ ๋ธ๋ฆฌ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2020-07-30 ์ด์ด๋ฎ๊ฐ์ ์กฐ๋ฆฝ์ด ๊ฐ์ ๋ ์ํ๊ธฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2020-07-30 ์๋ ์ฝํ ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2020-07-30 ํ๊ธฐ ์ด๋ฐ ์์ก์ด ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2020-07-30 ์ํ๊ธฐ์ ๊ธธ์ด์กฐ์ ๊ฐ๋จธ๋ฆฌ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2020-07-30 ์ด์ด ์กฐ๋ฆฝ๋ชจ๋์ด ๊ตฌ๋น๋ ์ํ๊ธฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2020-10-15 ๋ด๋ง๋ชจ์ฑ ํฅ์์ ์ํ Cr-Mo-V ํฉ๊ธ๊ฐ ๊ธฐ๋ฐ์ ์ด์ด ํ๋ฉด์ฒ๋ฆฌ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ S/A 2022-04-06 ์ฃผํ์๊ฐ์ํ ์ฝ์ ์ผ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2022-06-07 ์ ๋์ฌ์ด๋์คํ ์ฅ์น์ ์ก์ธ์์ดํฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2022-07-07 ์ ๋๊ธฐ ์ฝ์ผ ๊ถ์ ๊ธฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2023-03-20 ์ฌํ์ฉ์ ์ํ ์ ๊ธฐ์ฐจ ๋ชจํฐ์ ๋ถ๋ฆฌ๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2023-03-20 ์ฌํ์ฉ์ ์ํ ์ ๊ธฐ์ฐจ ๋ชจํฐ์ ํ์ฐ์ง๊ณผ ๊ณ ์ ์ ๋ถ๋ฆฌ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2024-02-20 ํ๊ธฐ ํํผ๋ฐฉ์ถ๊ตฌ์ฉ ๋ฎ๊ฐ์ ์กฐ๋ฆฝ ๊ตฌ์กฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2024-05-20 ์ด์ด์ ์กฐ๋ฆฝ ๊ตฌ์กฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2024-05-20 ์์ผ๊ธฐ ๋ฐ ๊ณตํฌํ ์ด๋ํฐ์ ๊ฒฐํฉ๊ตฌ์กฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2024-06-04 ์ ๋์ฌ์ด๋์คํ ์ฅ์น์ ์ก์ธ์์ดํฐ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2024-10-08 ์ ๋์ ์ค์ผํํ ์ ์ด๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2025-02-28 ๊ฐ๋์ผ์๋ชจ๋ ๋ฐ ๊ทธ ์ ์ด๋ฐฉ๋ฒ ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ๋ชจํฐ 2025-07-16 ์ฐจ๋์ฉ ์ฌ์ด๋์คํ ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2025-08-18 ์ฐ์์ฃผํด ์์คํ ์ ์ ์ฉํ ์ ํ๊ธฐ๊ด์ด์ ๊ณต์ด ๊ฒฉ๋ฐ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ ์ํ๊ธฐ 2026-01-16 ์ฐ์์ฃผํด ์์คํ ์ ์ ์ฉํ ์ ํ๊ธฐ๊ด์ด ์ด์ด ์ฅ์น ํนํ๋ฒ ์์ฉํ ํ ๋งค์ถ DART dart.fss.or.kr Page 268
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ใConfirmation from Expertsใ 1. Confirmation from experts ํด๋น์ฌํญ ์์ 2. Relationship to experts ํด๋น์ฌํญ ์์ DART dart.fss.or.kr Page 269