캐져콤푸레셔

비상장계속사업자

KAESER KOMPRESSOREN

성창제

Investment Review Report

Auto-filled from disclosures & public data + AI-drafted analysis. Edit, then export to PDF/DOCX.

Editor

1.Deal Terms

2.Valuation / Exit Assumptions

Exit Scenarios100M KRW

3.Fund Eligibility

Fund mandate eligibility — no data, enter manually

Enter fund mandate requirements and applicability (Y/N) to include a table in the report.

4.Capital Changes

Not in DART — enter capital-raise history manually

Enter capital changes such as founding capital and paid-in increases.

5.Stock Options

Enter manually

Enter stock option grant history.

6.Investment Highlights

AI draft — editable

Click 'Generate AI draft' to populate data-grounded investment highlights.

7.Investment Risks

AI draft — editable

Risks are populated after 'Generate AI draft'.

8.Market Analysis

AI draft — editable

9.Business Analysis

AI draft — editable

10.Conclusion (Investment Opinion)

AI draft — editable

11.P&L Projection

Analyst estimates, manual entry (100M KRW). Generates a trend chart & table.

Enter projected revenue / op. profit / net income (100M KRW) by year to add a trend chart and table.
Preview— the document below is saved as PDF/DOCX

Investment Review Report

캐져콤푸레셔

Business Reg. No. 1068175389 · CEO 성창제

I.Investment Overview

Target캐져콤푸레셔 (1068175389)
Investment
Post-deal stake
ValuationPre — / Post —

II.Investment Highlights

No investment highlights written yet.

III.Investment Risks

No risks written yet.

IV.Company Profile

회사명캐져콤푸레셔
영문명KAESER KOMPRESSOREN
대표자성창제
사업자등록번호1068175389
법인등록번호1101111601130
설립일1998.11.02
종업원수18명

V.Workforce

18

Current headcount · 2026.06 as of

VI.Financial Summary

Per DART disclosure · in 억/만원 (KRW)

Financial trend (100M KRW)

매출액100M KRW104202195.82022171.62024137.92025
영업이익100M KRW7.220216.5202211.720248.42025
순이익100M KRW7.120217202213.5202410.72025
Item2025202420222021
자산총계168.4억원161.5억원143.9억원128억원
부채총계27.4억원31.3억원37.9억원29억원
자본총계141억원130.2억원106억원99억원
매출액137.9억원171.6억원95.8억원104억원
영업이익8.4억원11.7억원6.5억원7.2억원
순이익10.7억원13.5억원7억원7.1억원

VII.Financial Ratios

FY2025 basis

6.06%

영업이익률

7.78%

순이익률

6.37%

ROA

7.61%

ROE

19.46%

부채비율

83.71%

자기자본비율

VIII.Valuation & Exit Plan

Exit valuation
Holding period5y
Enter exit assumptions (investment, stake, exit valuation, period) to see MOIC·IRR.

This report compiles disclosure & public data and AI-drafts some sections as a research aid. It is not investment advice; the user bears final responsibility for facts and investment decisions.

캐져콤푸레셔 투심보고서 | Alpha Lenz