Sambu Engineering & Construction Co., Ltd

KRX:001470.KS

1400 (KRW) • At close November 14, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst -110,490.811-73,437.963-2,512.441-21,137.9637,421.712-73,282.726-40,427.32261,442.371-632,958.232-272,602.815-176,647.076-29,621.377-239,988.712-40,346.932-41,901.92,300.24510,496.771
Afschrijvingen & Amortisatie 1,789.3161,860.6171,062.419941.985852.74454.891843.4852,048.44912,526.71313,570.34815,146.69520,054.43417,480.86618,211.53417,963.04517,125.73313,848.56
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal -38,247.841-12,090.908-46,417.018-27,029.76-9,199.808-13,988.87525,476.781-245,740.177200,770.3116,803.268-7,153.16625,786.697-371,742.863-68,426.873-240,380.44433,683.538-1,889.486
Vorderingen -102,317.895-41,982.463-12,627.612-21,356.259-8,803.5221,547.78418,372.27445,443.40961,212.59800000000
Voorraden 18,251.232406.329,032.953-86,988.878-3,798.8742,727.17620,864.9411,508.21631,339.77127,820.2897,352.058-17,225.495-17,410.87518,023.33650,464.12429,275.481-108,600.86
Crediteuren 11,870.34527,705.41817,655.1086,177.9587,413.592-5,875.325-11,502.001-88,139.497-17,497.59600000000
Overig Werkkapitaal 33,948.4771,779.817-60,477.46775,137.419-4,011.004-16,716.0514,611.84-247,248.393169,430.54-21,017.021-14,505.22443,012.192-354,331.988-86,450.209-290,844.5684,408.057106,711.374
Overige Niet-Contante Posten 30,761.46724,319.3019,796.0820,023.157-9,354.69868,983.13717,757.47880,129.176434,601.672245,315.301175,397.1258,241.043110,247.98119,285.03646,762.36719,382.0577,543.106
Kasstroom uit Operationele Activiteiten -116,187.868-59,348.953-38,070.96-27,202.581-10,280.054-17,833.5733,650.42497,879.81914,940.464-6,913.8986,743.57824,460.797-484,002.728-71,277.235-217,556.93272,491.57329,998.951
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -151.7-90.719-5,388.609-3,074.068-8.421-12,934.171-101.202-2,671.634-6,673.949-2,046.186-1,952.273-9,219.954-17,341.392-12,547.424-20,705.73-9,742.316-47,891.564
Netto Overnames 25,211.948323.9933,806.553-56,340.3370.255-448.718-1,121.758-1,263.382-1,344.7512,195.846-202.99945,824.697-399.8121,170.3692,929.554-900-17,800.258
Aankoop van Beleggingen -3,332.714-176.71-60,213.985-75,067.21-83,043.501-162,102.668-54,288.542-19,100.943-33,566.616-40,196.311-85,014.347-30,682.572-45,743.231-200,790.602-231,199.821-67,145.736-103,548.319
Verkoop/verval van Beleggingen 4,499.2023,765.09780,000.15163,248.61575,476.266212,349.5036,092.84520,250.56626,382.5576,091.28136,180.93811,518.33988,151.204183,573.862283,332.64252,421.168124,365.314
Overige Investeringsactiviteiten 2,192.793,436.0113,432.663,642.334-13,678.442-11,095.7149,532.217100,693.506111,636.68640,887.58331,202.322-15,505.46464,587.099-1,544.819-10,527.4033,274.377,487.489
Kasstroom uit Investeringsactiviteiten 28,419.5267,257.67131,636.769-67,590.666-21,253.84325,768.232-39,886.4497,908.11296,433.92816,932.213-19,786.3591,935.04689,253.867-30,138.61423,829.242-22,092.514-37,387.338
Financieringsactiviteiten:
Schuldaflossingen 76,062.63138,169.87430,401.95675,005.770-3,0009,214.139-119,535.638-88,984.4824,700.49759,498.07331,815.888382,840.404185,065.2577,064.12715,982.68760,226.545
Uitgifte van Gewone Aandelen 24,992.267000028,15043,227.66504,000479.3512,89001,000002,963.4350
Terugkoop van Gewone Aandelen 000000000000-19.462-21.482-24.7700
Uitgekeerde Dividenden 0000000-150.975-1,063.875-36.014-28.658-13.146-2,746.221-985.693-714.522-4,408.226-4,907.81
Overige Financieringsactiviteiten -10,696.046-7,494.523-5,051.132-901.761-3,678.871-1,566.033-26,998.737-10,271.47-16,981.983-21,760.097-59,400.576-63,149.037-53,808.77600.001-2,902.0950
Kasstroom uit Financieringsactiviteiten 90,358.85230,388.94625,350.82574,104.009-3,678.87123,583.96725,443.067-129,958.083-103,030.34-16,616.2642,958.84-31,346.294327,265.944184,058.07576,324.83611,635.80155,318.735
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -38.67511.48-34.838-494.706318.438455.685-793.047-121.09-128.683-388.13107.527-401.26561.4640.00118,308.004152.9440
Netto Kasstroomverandering -13,137.971-21,690.85618,881.796-21,183.944-34,894.32931,974.311-11,585.99565,708.7588,215.369-6,986.078-9,976.415-5,351.716-66,766.04382,642.227-99,094.8562,187.80447,930.348
Kaspositie aan het Einde van de Periode 41,992.92155,130.89276,821.74957,939.95279,123.896114,018.22682,043.91593,629.9127,921.15224,084.79931,070.87741,047.29246,595.839111,826.89129,184.664128,279.51466,091.71