Hansol Holdings Co., Ltd.

KRX:004150.KS

2485 (KRW) • At close May 9, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,583.5677,429.32148,952.15423,608.61672,651.84826,288.616-41,482.39-86,710.161-7,728.538-10,648.079-52,169.787,856.33842,912.07-8,990.606-61,142.81960,745.269692.242-3,256.795
Afschrijvingen & Amortisatie 19,24310,4499,4918,35111,11316,29720,04627,43545,18144,56497,96586,31168,58865,21696,807.91597,225.679,105.31775,606.289
Uitgestelde Inkomstenbelasting 0-21,83506,220.38800000000000000
Aandelen Gebaseerde Vergoedingen 371132339800000000000000
Verandering in Werkkapitaal -3,016-4,29911,014-27,183-14,669-4,770-50,89122,165-78,83414,489-120,551-69,68332,343-26,430-164,808.56999,364.512-117,418.889-21,917.765
Vorderingen 20,561-2,459-1,603-10,3619,70514,1314,622-34,96527,319000000000
Voorraden 657-1,068-5,437-4,7142,1471,8124,259-2,696-1,401-23011,329-29,94022,539-12,908-55,057.08468,270.655-39,290.2649,325.956
Crediteuren 02,75423,031-9,202-24,3084,431-17,61958,366-10,343000000000
Overig Werkkapitaal -24,234-3,526-4,977-2,906-2,213-25,144-55,15024,861-77,43314,719-131,880-39,7439,804-13,522-109,751.48531,093.857-78,128.625-31,243.721
Overige Niet-Contante Posten 17,017.55529,735.696-26,267.376215.047-59,808.594-2,727.44868,566.08393,795.34157,861.12562,764.939132,955.64958,966.90757,196.90367,985.845165,713.50893,799.09144,458.64122,569.126
Kasstroom uit Operationele Activiteiten 34,865.12221,593.01743,422.77811,310.0519,287.25435,088.168-3,761.30756,685.1816,479.587111,169.8658,199.86983,451.245201,039.97397,781.23936,570.035351,134.4726,837.31173,000.855
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -7,980.209-6,640.153-7,802.505-5,862.866-6,694.583-15,221.485-15,627.36-27,541.863-44,588.482-31,654.9-101,022.533-103,038.34-65,933.263-83,187.474-138,394.762-103,372.478-85,631.663-60,146.253
Netto Overnames 8,780.723-505.5465-9,741.39422,013.956-287.43939,382.67413,296.375-15,376.999-10,110.448-43,574.124-26,943.562-7,294.679-93,525.188-26,753.383-52,265.124-2,390.775-4,946.548
Aankoop van Beleggingen -79,483.716-61,474.181-36,551.323-14,307.415-57,932.314-23,182.103-5,106.505-20,618.854-37,299.824-31,817.792-10,346.122-12,948.56-89,083.265-8,607.535-91,105.825-85,715.628-100,453.994-90,466.285
Verkoop/verval van Beleggingen 71,479.32815,546.33259,00026,031.09732,448.5456,003.94730,665.632,455.40318,635.58666,417.3193,923.70938,836.03790,074.3012,487.22861,529.28783,972.0950,815.53893,853.839
Overige Investeringsactiviteiten 157.1961,317.1163,462.6012,932.70311,767.6497,146.1021,039.3291,402.95810,240.1275,795.8116,643.23220,177.9675,102.4989,959.542-3,239.35213,489.43958,200.9586,634.863
Kasstroom uit Investeringsactiviteiten -7,046.678-51,756.43218,113.773-947.8751,603.253-25,540.97850,353.768-31,005.981-68,389.592-1,370.01-144,375.838-83,916.458-67,134.408-172,873.427-197,964.035-143,891.701-79,459.936-55,070.384
Financieringsactiviteiten:
Schuldaflossingen -10,497.567-895.823-2,109.934-6,605.9975,812.091-33,169.853-28,317.747-24,444.46930,879.333-186,812.60190,299.766826.336-93,827.5420134,239.204-231,890.80870,339.784-25,548.297
Uitgifte van Gewone Aandelen 0000-6.50600013,484.5124,144.835014637.59312616,244.37532,426.6894,054.48816,075.612
Terugkoop van Gewone Aandelen -2,999.6440006.506-26.179-5,282.6950-1,389.574-125.9360-25.5900-0.058-2,149.307-67.0730
Uitgekeerde Dividenden -4,396.579-5,317.346-5,041.029-5,041.029-276.317-165.79-2,275.311-165.79-223.213-223.213-12,360.484-12,348.546-12,136.672-12,129.112-16,915.912-675.924-1,798.436-168.097
Overige Financieringsactiviteiten -12,262.775-4,687.025-4,346.817-3,718.35-5,323.677-6,040.059-20.666-182.18,174.36877,101.25518,658.031-4,924.999-14.38467,533.4851,318.893-10,395.369-7,259.5917,575.909
Kasstroom uit Financieringsactiviteiten -30,156.565-10,900.194-11,497.78-15,641.693212.097-39,401.881-35,896.419-24,792.35950,925.424-85,915.6696,597.313-16,458.799-105,881.38855,530.373134,886.502-212,684.71965,269.1737,935.127
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 414.824000.351-226.20332.301264.951-1,050.584-253.993-56.087-1,742.737-280.103-84.846-272.881534.7086,395.6591.683,553.591
Netto Kasstroomverandering -1,923.297-41,063.60950,038.771-5,279.16610,876.401-29,822.3910,960.993-163.744-5,063.2323,828.103-9,630.944-17,204.11527,939.331-17,558.26919,556.338953.711234.46129,419.189
Kaspositie aan het Einde van de Periode 47,079.86849,003.16590,066.77440,028.00345,307.16934,430.76864,253.15853,292.16553,455.90958,519.13934,691.03644,321.9850,475.8322,536.49980,187.82260,631.48459,677.77359,443.312