US Stock MarketDetailed Quotes

TCHWF TECHWING INC

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15min DelayClose Oct 7 09:30 ET
0Market Cap0.00P/E (TTM)

TECHWING INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-34.96%22.44B
-34.30%23.11B
-49.89%16.35B
-49.89%16.35B
-10.37%23.42B
29.62%34.5B
101.81%35.18B
45.51%32.62B
45.51%32.62B
2.66%26.12B
-Cash and cash equivalents
-37.51%20.08B
-33.86%21.05B
-41.65%13.61B
-41.65%13.61B
-9.52%21.16B
44.52%32.14B
98.96%31.83B
15.12%23.33B
15.12%23.33B
-4.95%23.39B
-Short-term investments
-0.16%2.36B
-38.57%2.05B
-70.58%2.73B
-70.58%2.73B
-17.59%2.26B
-46.06%2.36B
133.72%3.34B
331.48%9.29B
331.48%9.29B
223.93%2.74B
-Accounts receivable
37.03%56.99B
-23.27%37.92B
-25.96%39.46B
-25.96%39.46B
-55.35%36.31B
-57.34%41.59B
-43.11%49.42B
-40.51%53.3B
-40.51%53.3B
0.40%81.31B
-Other receivables
-22.54%2.17B
-40.57%1.83B
-28.50%2.18B
-28.50%2.18B
-90.63%2.87B
-90.38%2.8B
-89.50%3.07B
-89.43%3.05B
-89.43%3.05B
12.94%30.62B
Inventory
0.32%83.48B
-2.75%83.83B
-6.34%81.33B
-6.34%81.33B
-4.43%88.25B
-4.83%83.21B
-2.38%86.2B
2.04%86.83B
2.04%86.83B
11.18%92.33B
Prepaid assets
47.29%2.85B
16.89%4.69B
-43.63%1.07B
-43.63%1.07B
-84.29%835.7M
-17.15%1.93B
3.59%4.01B
-2.63%1.9B
-2.63%1.9B
57.69%5.32B
Other current assets
4.60%912.41M
230.21%4.18B
331.48%1.23B
331.48%1.23B
-20.15%1.19B
-48.92%872.26M
-40.18%1.27B
-70.03%285.62M
-70.03%285.62M
44.35%1.49B
Total current assets
1.31%168.84B
-13.84%155.73B
-20.68%143.79B
-20.68%143.79B
-35.42%153.43B
-32.21%166.66B
-21.09%180.75B
-21.01%181.28B
-21.01%181.28B
7.34%237.59B
Non current assets
Net PPE
-16.86%204.88B
19.56%281.66B
11.52%270.62B
11.52%270.62B
7.34%258.93B
1.80%246.42B
-1.91%235.58B
0.44%242.66B
0.44%242.66B
-2.22%241.22B
-Gross PPE
-16.86%204.88B
19.56%281.66B
11.52%270.62B
11.52%270.62B
7.34%258.93B
1.80%246.42B
-1.91%235.58B
0.44%242.66B
0.44%242.66B
-2.22%241.22B
Goodwill and other intangible assets
13.95%21.29B
18.49%21.12B
15.11%20.95B
15.11%20.95B
5.96%22.03B
-6.47%18.69B
-10.14%17.83B
-8.55%18.2B
-8.55%18.2B
6.94%20.79B
-Goodwill
----
----
----
----
0.00%2.55B
0.00%2.55B
0.00%2.55B
0.00%2.55B
0.00%2.55B
0.00%2.55B
-Other intangible assets
31.97%21.29B
38.29%21.12B
33.89%20.95B
33.89%20.95B
6.79%19.48B
-7.42%16.13B
-11.64%15.27B
-9.81%15.65B
-9.81%15.65B
7.99%18.24B
Other non current assets
----
----
-96.88%20
-96.88%20
128.00%70
-136.36%-160
544.44%400
72.97%640
72.97%640
-725.00%-250
Total non current assets
5.67%330.04B
15.26%343.98B
11.44%342.09B
11.44%342.09B
16.13%331.4B
11.44%312.34B
7.28%298.45B
9.91%306.97B
9.91%306.97B
4.58%285.37B
Total assets
4.15%498.87B
4.28%499.71B
-0.48%485.89B
-0.48%485.89B
-7.29%484.84B
-8.96%479B
-5.53%479.2B
-4.03%488.25B
-4.03%488.25B
5.82%522.96B
Liabilities
Current liabilities
Payables
86.75%22B
44.40%21.65B
-7.52%19.67B
-7.52%19.67B
-61.27%12.88B
-72.15%11.78B
-64.60%14.99B
-48.47%21.27B
-48.47%21.27B
-7.45%33.25B
-accounts payable
--18.97B
----
12.20%14.16B
12.20%14.16B
-63.42%10.26B
----
----
-58.20%12.62B
-58.20%12.62B
-4.92%28.03B
-Total tax payable
-66.36%202.17M
----
----
----
----
-87.63%601.01M
-69.47%1.94B
-30.97%4.76B
-30.97%4.76B
-2.01%3.14B
-Dividends payable
----
0.00%4.65B
----
----
----
----
7.50%4.65B
----
----
----
-Other payable
-74.72%2.83B
102.18%17B
41.80%5.51B
41.80%5.51B
26.28%2.63B
386.97%11.18B
220.20%8.41B
-7.32%3.89B
-7.32%3.89B
-35.88%2.08B
Current provisions
0.13%548.09M
-4.68%572.17M
-25.67%628.43M
-25.67%628.43M
-41.42%556.3M
-43.54%547.36M
-12.38%600.29M
31.27%845.48M
31.27%845.48M
83.95%949.67M
Current debt and capital lease obligation
-29.36%104.63B
-12.80%128.4B
-20.41%111.93B
-20.41%111.93B
-16.47%109.76B
51.37%148.11B
71.17%147.25B
53.98%140.62B
53.98%140.62B
58.60%131.4B
-Current debt
-29.35%104.53B
-12.81%128.27B
-20.41%111.79B
-20.41%111.79B
-16.51%109.61B
51.46%147.95B
71.38%147.13B
54.09%140.47B
54.09%140.47B
58.45%131.28B
-Current capital lease obligation
-39.10%99.45M
-1.34%122.94M
-13.27%134.03M
-13.27%134.03M
27.38%151.22M
-0.12%163.3M
-30.11%124.61M
-8.20%154.53M
-8.20%154.53M
--118.71M
Other current liabilities
-0.05%1.64B
155,699,168.87%1.65B
-3.22%1.55B
-3.22%1.55B
15,898,899,600.00%1.59B
1,641,401,180.00%1.64B
-100.00%-1.06K
13.72%1.6B
13.72%1.6B
-100.00%-10
Current liabilities
-12.91%151.39B
-7.57%167.04B
-21.31%139.21B
-21.31%139.21B
-32.19%140.26B
6.82%173.82B
25.98%180.73B
20.45%176.91B
20.45%176.91B
53.22%206.84B
Non current liabilities
Long term provisions
-19.42%144.67M
-42.01%135.53M
-50.67%141.86M
-50.67%141.86M
-50.35%153.78M
-47.38%179.53M
-45.49%233.72M
-24.03%287.59M
-24.03%287.59M
31.63%309.7M
Long term debt and capital lease obligation
77.91%135.11B
74.07%118.4B
115.03%120.34B
115.03%120.34B
69.42%126.8B
-33.71%75.94B
-44.80%68.02B
-55.09%55.96B
-55.09%55.96B
-40.81%74.84B
-Long term debt
78.22%135.05B
74.27%118.32B
115.49%120.24B
115.49%120.24B
69.58%126.67B
-33.78%75.77B
-44.83%67.89B
-55.16%55.8B
-55.16%55.8B
-40.92%74.7B
-Long term capital lease obligation
-62.90%61.85M
-34.45%80.47M
-41.00%97.3M
-41.00%97.3M
-12.48%124.89M
32.61%166.72M
-21.48%122.76M
6.97%164.93M
6.97%164.93M
--142.7M
Other non current liabilities
25.00%-60
91,359,875.61%374.58M
316.67%390
316.67%390
-369.23%-700
-200.00%-80
270.83%410
-125.00%-180
-125.00%-180
2,700.00%260
Total non current liabilities
69.87%146.78B
64.26%130.39B
99.27%131.09B
99.27%131.09B
64.65%136.8B
-29.15%86.41B
-39.44%79.38B
-49.96%65.78B
-49.96%65.78B
-38.10%83.08B
Total liabilities
14.58%298.17B
14.35%297.43B
11.37%270.3B
11.37%270.3B
-4.44%277.06B
-8.59%260.23B
-5.26%260.11B
-12.80%242.69B
-12.80%242.69B
7.69%289.93B
Shareholders'equity
Share capital
0.00%18.98B
0.00%18.98B
0.00%18.98B
0.00%18.98B
0.00%18.98B
94.49%18.98B
94.49%18.98B
94.49%18.98B
94.49%18.98B
94.49%18.98B
-common stock
0.00%18.98B
0.00%18.98B
0.00%18.98B
0.00%18.98B
0.00%18.98B
94.49%18.98B
95.76%18.98B
94.49%18.98B
94.49%18.98B
95.76%18.98B
Retained earnings
-9.99%157.85B
-9.11%159.15B
-7.82%172.49B
-7.82%172.49B
-1.63%164.69B
-3.55%175.37B
1.66%175.1B
12.03%187.13B
12.03%187.13B
4.01%167.42B
Paid-in capital
2.66%40.82B
0.00%40.82B
0.00%40.82B
0.00%40.82B
2.66%40.82B
-18.95%39.76B
-16.79%40.82B
-18.54%40.82B
-18.54%40.82B
-18.93%39.76B
Less: Treasury stock
0.00%14.26B
0.00%14.26B
0.00%14.26B
0.00%14.26B
95.91%14.26B
14.97%14.26B
23.23%14.26B
65.13%14.26B
65.13%14.26B
-15.71%7.28B
Other equity interest
--140
-225.00%-350
-2.17%450
-2.17%450
-1,300.00%-480
----
--280
-13.21%460
-13.21%460
--40
Total stockholders'equity
-7.95%202.3B
-7.29%203.57B
-6.35%216.9B
-6.35%216.9B
-4.48%209.09B
-3.70%219.78B
0.05%219.58B
6.63%231.61B
6.63%231.61B
3.68%218.89B
Noncontrolling interests
-57.68%-1.59B
-158.82%-1.28B
-109.43%-1.31B
-109.43%-1.31B
-109.31%-1.32B
-107.66%-1.01B
-103.75%-496.46M
5.43%13.95B
5.43%13.95B
2.00%14.14B
Total equity
-8.26%200.7B
-7.67%202.28B
-12.21%215.59B
-12.21%215.59B
-10.84%207.77B
-9.39%218.77B
-5.85%219.09B
6.56%245.56B
6.56%245.56B
3.57%233.03B
Currency Unit
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
KRW
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -34.96%22.44B-34.30%23.11B-49.89%16.35B-49.89%16.35B-10.37%23.42B29.62%34.5B101.81%35.18B45.51%32.62B45.51%32.62B2.66%26.12B
-Cash and cash equivalents -37.51%20.08B-33.86%21.05B-41.65%13.61B-41.65%13.61B-9.52%21.16B44.52%32.14B98.96%31.83B15.12%23.33B15.12%23.33B-4.95%23.39B
-Short-term investments -0.16%2.36B-38.57%2.05B-70.58%2.73B-70.58%2.73B-17.59%2.26B-46.06%2.36B133.72%3.34B331.48%9.29B331.48%9.29B223.93%2.74B
-Accounts receivable 37.03%56.99B-23.27%37.92B-25.96%39.46B-25.96%39.46B-55.35%36.31B-57.34%41.59B-43.11%49.42B-40.51%53.3B-40.51%53.3B0.40%81.31B
-Other receivables -22.54%2.17B-40.57%1.83B-28.50%2.18B-28.50%2.18B-90.63%2.87B-90.38%2.8B-89.50%3.07B-89.43%3.05B-89.43%3.05B12.94%30.62B
Inventory 0.32%83.48B-2.75%83.83B-6.34%81.33B-6.34%81.33B-4.43%88.25B-4.83%83.21B-2.38%86.2B2.04%86.83B2.04%86.83B11.18%92.33B
Prepaid assets 47.29%2.85B16.89%4.69B-43.63%1.07B-43.63%1.07B-84.29%835.7M-17.15%1.93B3.59%4.01B-2.63%1.9B-2.63%1.9B57.69%5.32B
Other current assets 4.60%912.41M230.21%4.18B331.48%1.23B331.48%1.23B-20.15%1.19B-48.92%872.26M-40.18%1.27B-70.03%285.62M-70.03%285.62M44.35%1.49B
Total current assets 1.31%168.84B-13.84%155.73B-20.68%143.79B-20.68%143.79B-35.42%153.43B-32.21%166.66B-21.09%180.75B-21.01%181.28B-21.01%181.28B7.34%237.59B
Non current assets
Net PPE -16.86%204.88B19.56%281.66B11.52%270.62B11.52%270.62B7.34%258.93B1.80%246.42B-1.91%235.58B0.44%242.66B0.44%242.66B-2.22%241.22B
-Gross PPE -16.86%204.88B19.56%281.66B11.52%270.62B11.52%270.62B7.34%258.93B1.80%246.42B-1.91%235.58B0.44%242.66B0.44%242.66B-2.22%241.22B
Goodwill and other intangible assets 13.95%21.29B18.49%21.12B15.11%20.95B15.11%20.95B5.96%22.03B-6.47%18.69B-10.14%17.83B-8.55%18.2B-8.55%18.2B6.94%20.79B
-Goodwill ----------------0.00%2.55B0.00%2.55B0.00%2.55B0.00%2.55B0.00%2.55B0.00%2.55B
-Other intangible assets 31.97%21.29B38.29%21.12B33.89%20.95B33.89%20.95B6.79%19.48B-7.42%16.13B-11.64%15.27B-9.81%15.65B-9.81%15.65B7.99%18.24B
Other non current assets ---------96.88%20-96.88%20128.00%70-136.36%-160544.44%40072.97%64072.97%640-725.00%-250
Total non current assets 5.67%330.04B15.26%343.98B11.44%342.09B11.44%342.09B16.13%331.4B11.44%312.34B7.28%298.45B9.91%306.97B9.91%306.97B4.58%285.37B
Total assets 4.15%498.87B4.28%499.71B-0.48%485.89B-0.48%485.89B-7.29%484.84B-8.96%479B-5.53%479.2B-4.03%488.25B-4.03%488.25B5.82%522.96B
Liabilities
Current liabilities
Payables 86.75%22B44.40%21.65B-7.52%19.67B-7.52%19.67B-61.27%12.88B-72.15%11.78B-64.60%14.99B-48.47%21.27B-48.47%21.27B-7.45%33.25B
-accounts payable --18.97B----12.20%14.16B12.20%14.16B-63.42%10.26B---------58.20%12.62B-58.20%12.62B-4.92%28.03B
-Total tax payable -66.36%202.17M-----------------87.63%601.01M-69.47%1.94B-30.97%4.76B-30.97%4.76B-2.01%3.14B
-Dividends payable ----0.00%4.65B----------------7.50%4.65B------------
-Other payable -74.72%2.83B102.18%17B41.80%5.51B41.80%5.51B26.28%2.63B386.97%11.18B220.20%8.41B-7.32%3.89B-7.32%3.89B-35.88%2.08B
Current provisions 0.13%548.09M-4.68%572.17M-25.67%628.43M-25.67%628.43M-41.42%556.3M-43.54%547.36M-12.38%600.29M31.27%845.48M31.27%845.48M83.95%949.67M
Current debt and capital lease obligation -29.36%104.63B-12.80%128.4B-20.41%111.93B-20.41%111.93B-16.47%109.76B51.37%148.11B71.17%147.25B53.98%140.62B53.98%140.62B58.60%131.4B
-Current debt -29.35%104.53B-12.81%128.27B-20.41%111.79B-20.41%111.79B-16.51%109.61B51.46%147.95B71.38%147.13B54.09%140.47B54.09%140.47B58.45%131.28B
-Current capital lease obligation -39.10%99.45M-1.34%122.94M-13.27%134.03M-13.27%134.03M27.38%151.22M-0.12%163.3M-30.11%124.61M-8.20%154.53M-8.20%154.53M--118.71M
Other current liabilities -0.05%1.64B155,699,168.87%1.65B-3.22%1.55B-3.22%1.55B15,898,899,600.00%1.59B1,641,401,180.00%1.64B-100.00%-1.06K13.72%1.6B13.72%1.6B-100.00%-10
Current liabilities -12.91%151.39B-7.57%167.04B-21.31%139.21B-21.31%139.21B-32.19%140.26B6.82%173.82B25.98%180.73B20.45%176.91B20.45%176.91B53.22%206.84B
Non current liabilities
Long term provisions -19.42%144.67M-42.01%135.53M-50.67%141.86M-50.67%141.86M-50.35%153.78M-47.38%179.53M-45.49%233.72M-24.03%287.59M-24.03%287.59M31.63%309.7M
Long term debt and capital lease obligation 77.91%135.11B74.07%118.4B115.03%120.34B115.03%120.34B69.42%126.8B-33.71%75.94B-44.80%68.02B-55.09%55.96B-55.09%55.96B-40.81%74.84B
-Long term debt 78.22%135.05B74.27%118.32B115.49%120.24B115.49%120.24B69.58%126.67B-33.78%75.77B-44.83%67.89B-55.16%55.8B-55.16%55.8B-40.92%74.7B
-Long term capital lease obligation -62.90%61.85M-34.45%80.47M-41.00%97.3M-41.00%97.3M-12.48%124.89M32.61%166.72M-21.48%122.76M6.97%164.93M6.97%164.93M--142.7M
Other non current liabilities 25.00%-6091,359,875.61%374.58M316.67%390316.67%390-369.23%-700-200.00%-80270.83%410-125.00%-180-125.00%-1802,700.00%260
Total non current liabilities 69.87%146.78B64.26%130.39B99.27%131.09B99.27%131.09B64.65%136.8B-29.15%86.41B-39.44%79.38B-49.96%65.78B-49.96%65.78B-38.10%83.08B
Total liabilities 14.58%298.17B14.35%297.43B11.37%270.3B11.37%270.3B-4.44%277.06B-8.59%260.23B-5.26%260.11B-12.80%242.69B-12.80%242.69B7.69%289.93B
Shareholders'equity
Share capital 0.00%18.98B0.00%18.98B0.00%18.98B0.00%18.98B0.00%18.98B94.49%18.98B94.49%18.98B94.49%18.98B94.49%18.98B94.49%18.98B
-common stock 0.00%18.98B0.00%18.98B0.00%18.98B0.00%18.98B0.00%18.98B94.49%18.98B95.76%18.98B94.49%18.98B94.49%18.98B95.76%18.98B
Retained earnings -9.99%157.85B-9.11%159.15B-7.82%172.49B-7.82%172.49B-1.63%164.69B-3.55%175.37B1.66%175.1B12.03%187.13B12.03%187.13B4.01%167.42B
Paid-in capital 2.66%40.82B0.00%40.82B0.00%40.82B0.00%40.82B2.66%40.82B-18.95%39.76B-16.79%40.82B-18.54%40.82B-18.54%40.82B-18.93%39.76B
Less: Treasury stock 0.00%14.26B0.00%14.26B0.00%14.26B0.00%14.26B95.91%14.26B14.97%14.26B23.23%14.26B65.13%14.26B65.13%14.26B-15.71%7.28B
Other equity interest --140-225.00%-350-2.17%450-2.17%450-1,300.00%-480------280-13.21%460-13.21%460--40
Total stockholders'equity -7.95%202.3B-7.29%203.57B-6.35%216.9B-6.35%216.9B-4.48%209.09B-3.70%219.78B0.05%219.58B6.63%231.61B6.63%231.61B3.68%218.89B
Noncontrolling interests -57.68%-1.59B-158.82%-1.28B-109.43%-1.31B-109.43%-1.31B-109.31%-1.32B-107.66%-1.01B-103.75%-496.46M5.43%13.95B5.43%13.95B2.00%14.14B
Total equity -8.26%200.7B-7.67%202.28B-12.21%215.59B-12.21%215.59B-10.84%207.77B-9.39%218.77B-5.85%219.09B6.56%245.56B6.56%245.56B3.57%233.03B
Currency Unit KRWKRWKRWKRWKRWKRWKRWKRWKRWKRW

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