(As of Mar 31, 2026)

※ To be updated as of the fiscal closing dates (end of June and December).

Secured Financing Overview

(KRW 100 million)

Overview of Debt Issuance and Borrowings

(KRW 100 million)

Debt Maturity Schedule

(KRW 100 million)

1) 91-day CD rate

※ Interest rates are presented on an all-in basis.