(KRW Billion)

Cash flow table
Subject 2018 2019 2020
Cash flows from operating activities 30.8 225 254.8
Cash flows from investing activities (69.3) 78.1 265.8
Cash flows from financing activities (7.3) (229.8) (237.6)
Net increase(decrease) in cash and cash equivalents (45.8) 73.3 283.0
Cash and cash equivalents as at January 1 395.2 342 423.6
Net foreign exchange difference (7.4) 19.3 (16.6)
Cash and cash equivalents as at December 31 342 423.6 690.0

※ Figures are based on consolidated K-IFRS.