CJ Corporation

KRX:001040.KS

123100 (KRW) • At close September 19, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) KRW.

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 194,790.7031,056,239.0121,300,849.491513,697.772597,074.9181,319,664.6851,575,181.329795,266.748734,890.361797,319.488430,270.742804,309.6841,032,966.008769,623.268529,298.602346,523.82242,067.177
Afschrijvingen & Amortisatie 3,059,786.1813,207,857.6632,447,554.3972,474,012.3122,633,441.041,691,809.1451,508,902.0241,461,940.1781,338,267.2651,239,069.6021,140,329.1651,036,089.34726,158.485690,407.024576,128.737496,587.989425,878.62
Uitgestelde Inkomstenbelasting -6,043,628.129-17,652.01100000000000-265,815.591-41,840.016-221,845.531260,433.299
Aandelen Gebaseerde Vergoedingen 45,226.86717,652.011000000000007,988.6144,603.9713,135.0458,121.18
Verandering in Werkkapitaal 248,866.948-786,486.58-572,173.469-374,488.798458,187.355-998,656.842-269,646.381-231,404116,720.724-128,837.253-70,873.74-176,075.797-773,507.775-475,332.305180,526.351-330,380.007-246,850.376
Vorderingen 143,523.35-609,358.738-511,538.105194,110.891-108,653.07-372,914.498-467,291.045-307,992.894-152,177.17400000000
Voorraden 276,512.843-896,506.39-406,493.667241,216.872-289,564.951-418,516.43871,667.895-152,295.418-67,523.791-94,672.201211,154.682-189,528.036-307,044.739-223,250.504228,182.023-346,977.455-178,570.146
Crediteuren -298,865.093588,817.685471,914.8-358,806.175638,414.51619,468.408297,442.458189,499.98589,029.10900000000
Overig Werkkapitaal 127,695.848130,560.863-126,056.497-451,010.386217,990.86-580,140.404-341,314.276-79,108.582184,244.515-34,165.052-282,028.42213,452.239-466,463.036-252,081.801-47,655.67216,597.448-68,280.23
Overige Niet-Contante Posten 6,902,500.468567,375.865176,960.309419,593.494175,873.269-471,724.637-574,032.6765,945.713105,735.819-146,565.764-23,249.626-101,343.833-415,927.7659,399.36381,539.346-8,639.4714,313.268
Kasstroom uit Operationele Activiteiten 4,407,543.0384,044,985.963,353,190.7283,032,814.783,864,576.5821,541,092.3512,240,404.3022,091,748.6392,295,614.1691,760,986.0731,476,476.5411,562,979.394569,688.953736,270.3731,330,256.99295,381.848503,963.168
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3,103,072.536-3,471,851.413-2,313,088.826-1,901,586.012-3,002,234.044-3,103,641.168-2,838,881.784-1,934,302.66-1,651,119.811-1,587,651.995-2,075,050.185-2,242,800.91-1,717,969.443-933,953.258-701,316.228-778,922.875-726,014.021
Netto Overnames 611,045.365-902,243.325239,033.23-111,513.129-1,317,490.192686,270.312-436,336.562-1,456,856.133-68,666.7688,963.811-332,720.717-122,110.878-1,732,536.626-92,439.061-35,825.534-114,901.079-54,926.197
Aankoop van Beleggingen -214,325.186-1,932,779.788-1,575,736.812-1,577,139.378-1,277,555.199-271,967.628-345,286.47-507,784.732-198,577.928-888,963.657-372,398.042-482,259.044-120,916.686-964,799.024-1,226,173.509-651,990.135-520,824.155
Verkoop/verval van Beleggingen 237,418.341,510,916.4431,822,850.7931,540,049.644496,831.191429,568.132650,009.898512,453.347431,671.108178,574.98862,152.413393,065.288848,661.9691,828,021.5811,147,272.935228,597.014373,696.035
Overige Investeringsactiviteiten -37,019.845185,131.97203,450.004606,409.753204,727.262133,757.479106,695.29541,786.67825,219.995276,387.371119,688.248-4,030.797101,965.361139,717.695-9,616.126709,285.119-53,149.883
Kasstroom uit Investeringsactiviteiten -2,505,953.862-4,610,826.113-1,623,491.611-1,443,779.122-4,895,720.982-2,126,012.873-2,863,799.623-3,344,703.5-1,461,473.396-1,932,689.49-1,798,328.283-2,458,136.341-2,620,795.425-23,452.067-825,658.462-607,931.956-981,218.221
Financieringsactiviteiten:
Schuldaflossingen -1,245,070-3,904,537.792-2,427,763.662-2,599,644.038-2,588,384.652-1,378,805.147-1,500,302.802-2,074,429.043-2,319,152.604-1,657,610.204-1,747,946.875-8,380,967.765-8,572,327.406-1,614,126.987-1,959,371.242-1,850,047.987-2,556,282.467
Uitgifte van Gewone Aandelen 00002,037,117.8732,401,902.40103,023.4083,692.7463,118.961,790.7351,422.239908.7881,099.45250.129361.0767,807.471
Terugkoop van Gewone Aandelen 0000-717.084-40,558.071-3,668.92,716,001.4181,422,039.0341,439,018.8232,113,265.2348,712,264.60811,047,779.1061,402,840.3082,048,566.9210-861.32
Uitgekeerde Dividenden -83,940.3-77,234.117-67,174.837-62,145.2-40,969.251-41,386.522-119,398.515-114,425.779-77,314.562-70,566.647-59,878.028-54,562.103-66,609.563-22,433.451-42,659.9130-46,051.367
Overige Financieringsactiviteiten -894,447.2165,628,418.3511,454,407.1542,261,722.0911,879,004.447-20,841.9512,337,916.636700,328.73333,645.359211,776.47144,913.739410,000.978-127,910.939-578,005.08837,853.6342,402,322.3072,994,977.411
Kasstroom uit Financieringsactiviteiten -2,223,457.5161,379,245.056-1,230,196.115-537,230.1691,167,135.536827,350.78718,215.3191,230,498.734-637,090.027-74,262.597352,144.805688,157.9572,281,839.986-810,625.76684,439.529552,635.396399,589.728
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -17,608.9614,005.80491,261.65-51,347.656-6,914.72111,588.083-44,555.41-3,341.6776,022.477-3,209.343-14,629.04-39,630.1848,562.001-482.659-4,499.18420,908.71612,583.969
Netto Kasstroomverandering -374,800.921827,410.707590,764.6521,000,457.833129,076.415254,018.34150,264.588-25,797.804203,914.732-249,175.35715,664.023-246,629.174239,295.515-31,714.447598,972.871209,056.567-65,081.356
Kaspositie aan het Einde van de Periode 3,646,474.5854,021,275.5063,193,864.7992,603,100.1471,602,642.3141,473,565.8991,219,547.5581,169,282.971,195,080.774991,166.0421,240,397.0841,199,978.3261,446,978.6111,194,600.7881,226,315.235627,342.364418,285.797