
 |
 |
 |
 |
 |
 |
791,403 |
825,210 |
784,613 |
690,217 |
 |
772,241 |
811,109 |
764,768 |
0 |
 |
8.209 |
6,450 |
7,621 |
0 |
 |
681 |
691 |
669 |
0 |
 |
9,306 |
6,052 |
5,681 |
0 |
 |
966 |
908 |
5,874 |
0 |
 |
310,329 |
324,220 |
314,794 |
272,097 |
 |
301,206 |
317,792 |
308,905 |
0 |
 |
8,518 |
5,785; |
4,996 |
0 |
 |
604 |
642 |
892 |
0 |
 |
481,074 |
500,990 |
469,819 |
418,121 |
 |
410,069 |
414,820 |
403,919 |
360,936 |
 |
72,572 |
73,422 |
75,950 |
72,282 |
 |
564 |
422 |
122 |
0 |
 |
7,664 |
6,786 |
8,752 |
7,731 |
 |
12,352 |
12,583 |
12,576 |
10,225 |
 |
129,686 |
128,064 |
114,269 |
105,544 |
 |
17,648 |
16,944 |
20,020 |
20,498 |
 |
13,084 |
12,142 |
14,192 |
13,531 |
 |
12,532 |
12,880 |
12,943 |
9,998 |
 |
10,048 |
9,517 |
8,745 |
5,642 |
 |
3,768 |
4,110 |
4,281 |
3,901 |
 |
26,198 |
23,881 |
22,149 |
20,437 |
 |
767 |
715 |
686 |
553 |
 |
1,752 |
2,445 |
2,623 |
2,339 |
 |
143 |
162 |
120 |
69 |
 |
3,914 |
3,623 |
3,641 |
3,555 |
 |
17,940 |
15,191 |
13,588 |
7,634 |
 |
2,163 |
2,258 |
2,615 |
1,921 |
 |
10,448 |
11,231 |
13,050 |
11,711 |
 |
43,453 |
43.879 |
35,041 |
27,935 |
 |
445 |
379 |
419 |
359 |
 |
2,419 |
2,655 |
3,238 |
3,040 |
 |
369 |
501 |
479 |
465 |
 |
559 |
610 |
525 |
686 |
 |
175 |
231 |
171 |
224 |
 |
34 |
80 |
32 |
69 |
 |
2,982 |
2,278 |
3,989 |
2,253 |
 |
711 |
4,753 |
469 |
400 |
 |
4,873 |
5,041 |
5,824 |
5,549 |
 |
10,804 |
18,017 |
23,410 |
22,274 |
 |
0 |
0 |
0 |
110 |
 |
71,006 |
86,171 |
65,900 |
57,185 |
 |
7,276 |
5,006 |
5,896 |
4,300 |
 |
3,113 |
1,387 |
1,397 |
776 |
 |
0 |
689 |
0 |
0 |
 |
2,632 |
1,678 |
215 |
2,282 |
 |
11 |
2 |
11 |
14 |
 |
0 |
0 |
0 |
0 |
 |
0 |
0 |
3,314 |
72 |
 |
572 |
537 |
492 |
457 |
 |
0 |
0 |
0 |
40 |
 |
0 |
0 |
0 |
348 |
 |
948 |
713 |
469 |
311 |
 |
16,381 |
14,707 |
28,247 |
17,808 |
 |
4,908 |
4,548 |
4,050 |
3,603 |
 |
0 |
0 |
3,404 |
92 |
 |
0 |
0 |
3,506 |
3,290 |
 |
4,408 |
4,265 |
2,813 |
2,187 |
 |
0 |
470 |
0 |
0 |
 |
721 |
83 |
225 |
397 |
 |
0 |
135 |
0 |
0 |
 |
120 |
0 |
2,530 |
2,591 |
 |
834 |
3,120 |
5,889 |
1,508 |
 |
4,098 |
0 |
16 |
675 |
 |
0 |
0 |
0 |
493 |
 |
699 |
1,810 |
5,090 |
2,841 |
 |
592 |
276 |
725 |
109 |
 |
|
0 |
0 |
22 |
 |
61,901 |
76,470 |
43,549 |
43,676 |
 |
17,115 |
18,575 |
14,951 |
12,541 |
 |
44,786 |
57,895 |
28,599 |
31,135 |
 |
|
|
|
|
 |
1,771 |
2,291 |
1,154 |
883 |
 |
1,771 |
2,289 |
1,139 |
875 |
2007 매출원가 변동이유 : 분할 후 기존 판매관리비 항목을 원가 항목으로 계정 재분류 [판매수수료(학습지), 무형자산상각비(제품개발), 감가상각비(북렌탈자산)]