Pangrim Co., Ltd.

KRX:003610.KS

4400 (KRW) • At close July 3, 2025
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 617.139-4,198.8345,587.6497,444.4125,114.5145,744.8533,009.4287,004.5645,027.0496,671.423,353.011,469.991-6,984.3752,985.0746,980.5642,331.70124,300.8351,778.93
Afschrijvingen & Amortisatie 4,286.6244,641.094,952.7814,924.9214,886.6934,632.224,589.7124,751.1484,678.8324,350.973,626.4172,546.6453,067.5553,316.7853,235.1513,955.494,033.6765,165.886
Uitgestelde Inkomstenbelasting 000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000
Verandering in Werkkapitaal 11,722.7456,022.704-8,509.579-4,938.6497,329.2621,638.031-751.36758.99812,974.547,716.785230.268-7,050.07541,363.368-40,663.963-18,792.20911,368.763-27,488.295-1,398.009
Vorderingen 1,232.5971,719.2392,324.7681,950.5911,698.91264.4331,987.847-83.3292,112.185000000000
Voorraden 12,924.5818,928.312-9,779.918-11,867.471972.1972,336.6691,398.7271,066.78212,197.5212,960.3121,442.264-4,353.77930,810.826-32,841.944-15,408.78116,168.113-22,232.511-3,805.649
Crediteuren 0-5,249.102894.4573,170.1921,133.451-879.771-717.282-896.604-2,333.158000000000
Overig Werkkapitaal -2,434.433624.255-1,948.8861,808.0393,524.702116.7-2,150.087-307.784777.0194,756.473-1,211.996-2,696.29610,552.542-7,822.019-3,383.428-4,799.35-5,255.7842,407.64
Overige Niet-Contante Posten 1,636.41941.466-794.624253.609-3,810.586-1,342.667586.193-932.4271,003.833-970.4011,550.0661,148.019-3,240.0998,331.922-1,027.3632,155.818-35,022.42,267.798
Kasstroom uit Operationele Activiteiten 18,262.9187,406.4261,236.2277,684.29313,519.88310,672.4377,433.97311,582.28323,684.25417,768.7748,759.761-1,885.4234,206.449-26,030.182-9,603.85719,811.772-34,176.1847,814.605
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -461.472-697.049-2,619.177-963.035-2,346.048-1,769.366-3,577.629-6,645.275-4,615.677-3,182.085-3,390.33-4,689.392-11,043.348-7,113.37-2,064.837-547.613-3,983.75-4,821.364
Netto Overnames 0029.5759,432.754.311-960.23-2,013.2061,539.2733,664.652-11.513-330.598815.6051,682.366508.58287.001215.75557,026.574141.483
Aankoop van Beleggingen -42,960.87-21,130.159-8,369.076-3,837.89-8,329.863401.999-4,265.044-45,790.218-52,637.547-55,363.924-50,600.304-51,899.558-14,583.505-591,716.746-545,481.369-243,974.745-298,012.549-11,116.124
Verkoop/verval van Beleggingen 36,174.92211,767.38933,837.136-9,432.73,485.28,108.8233,434.65355,813.39743,450.60754,478.27761,297.52450,929.53119,600.306604,631.535535,239.781250,991.797254,592.328287.399
Overige Investeringsactiviteiten 858.093367.967-4,579.4569,008.5496,881.65-190.8591,918.3883,863.2963,664.65271.178343.184046075.8228.39441.249-879.0692,302.38
Kasstroom uit Investeringsactiviteiten -6,389.327-9,691.85218,299.0014,207.624-254.755,590.367-4,502.8398,780.473-10,137.964-4,008.0677,319.476-4,843.814-3,884.1826,385.821-12,191.036,726.4438,743.534-13,206.226
Financieringsactiviteiten:
Schuldaflossingen -6,817.235-7,539.7971,157.5833,231.199-5,593.4-16,262.489-8,510.805-2,415.411-13,349.069-12,321.853-18,286.2957,437.551-30,617.8214,721.94827,796.353-24,671.827,574.96,756.441
Uitgifte van Gewone Aandelen 000000000001,506.302000000
Terugkoop van Gewone Aandelen -2,270.9330-6,599.4460-1,010.027-286.2960-3,303.3580000-8.45500-816.012-714.4260
Uitgekeerde Dividenden -1,383.094-1,637.874-1,740.648-1,353.837-1,563.872-2,262.937-2,028.84-1,536.967-1,182.05-1,011.162-1,011.162-1,176.081-1,176.336-1,372.392-1,176.336-1,200.666-1,212.456-1,010.38
Overige Financieringsactiviteiten -667.999-574.314-554.374-596.028-432.6360-0-02,153.6470-163.25-127.60-364.343-364.343-364.342-1,973.39-1,043.343
Kasstroom uit Financieringsactiviteiten -11,139.26-9,751.985-7,736.8851,281.334-8,599.935-18,811.722-10,539.645-7,255.735-12,377.472-13,333.015-19,460.7087,640.173-31,802.6112,985.21326,255.674-27,052.8223,674.6284,702.718
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -505.527-434.2842,787.068299.867-225.029462.327-368.423000-0-00-0.0010-0.00100
Netto Kasstroomverandering 228.803-12,471.69514,585.41213,473.1174,440.169-2,086.591-7,976.93413,107.0211,168.817427.692-3,381.471910.938-1,480.343-6,659.1494,460.787-514.606-1,758.022-688.903
Kaspositie aan het Einde van de Periode 31,913.03631,684.23344,155.92829,570.51716,097.39911,657.23113,743.82221,720.7558,613.7357,444.9187,017.22610,398.6969,487.7583,436.17610,095.3255,634.5386,149.1447,907.166