Namsung Corp.

KRX:004270.KS

1342 (KRW) • At close September 13, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst -10,147.3123,167.3717,100.176-16,173.812-2,196.177-3,576.3751,356.6651,327.73-520.743-3,975.359-732.65-6,862.343-1,822.084-1,145.51-3,232.268-1,946.158-1,166.018
Afschrijvingen & Amortisatie 1,184.6171,281.0341,327.4971,905.8241,906.8171,717.1851,723.3131,695.0351,690.2371,701.091,724.1231,755.9881,856.0742,187.9472,960.1831,981.0962,086.822
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal 5,247.694-3,853.741-6,422.8884,398.187-6,951.5925,402.4121,731.0495,699.089-8,179.565-4,369.83118,100.973-3,355.8947,886.592-1,491.858-4,660.234-26,080.553-38,902.297
Vorderingen -2,140.90111,814.358-197.382-10,595.779472.541-282.2681,529.2312,157.717-209.07200000000
Voorraden 9,442.73914,401.075-16,684.2733,268.656-3,781.6931,904.935411.935-3,752.279-1,246.912-3,507.2413,246.573891.4962,113.4575,065.43-790.582-754.455-1,791.382
Crediteuren -1,232.481-26,779.0117,606.528,771.009-1,453.979-973.604-1,304.9185,822.502-5,006.4400000000
Overig Werkkapitaal -821.663-3,290.1632,852.2472,954.301-2,188.4613,497.4771,319.1149,451.368-6,932.653-862.5914,854.4-4,247.395,773.135-6,557.288-3,869.652-25,326.098-37,110.915
Overige Niet-Contante Posten -3,136.367-6,973.097-4,017.6711,608.664-661.374-2,563.5641,928.353-1,865.381-1,116.692-343.044-2,709.7272,737.599-4,733.361-2,025.785-1,532.102998.752-2,291.119
Kasstroom uit Operationele Activiteiten -3,151.245-6,378.433-2,012.8841,738.863-7,902.325979.6586,739.386,856.473-8,126.763-6,987.14416,382.719-5,724.653,187.221-2,475.206-6,464.421-25,046.863-40,272.612
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -338.936-245.006-72.556-412.58-855.149-506.219-555.875-664.865-391.517-796.726-410.677-680.414-383.778-1,003.342-900.474-1,033.493-1,770.336
Netto Overnames 3.18202,168.44941.062-141.004340.13461.525-321.4843,014.565-484.99512,413.342-369.3852,083.16-355.44-635.103-503.094-650.964
Aankoop van Beleggingen -36,614.864-62,098.087-44,539.179-35,701.98-37,514.164-39,688.045-23,799.523-25,653.114-28,676.438-21,070.068-16,358.076-12,706.326-16,532.027-8,978.848-5,056.129-23,608.081-18,527.875
Verkoop/verval van Beleggingen 46,432.2857,211.00127,426.3840,013.8241,232.07635,871.32522,555.84832,249.12625,610.45719,119.78514,845.98214,315.46912,664.94614,303.2267,475.11119,965.4819,686.035
Overige Investeringsactiviteiten -500920.3161,194.028121.712-340.134616.576-1,905.999620.8061,518.5591,140.494-496.9794,513.193-1,585.104-2,931.441-2,292.223-2,293.91
Kasstroom uit Investeringsactiviteiten 9,431.663-5,132.092-14,096.595,134.3492,843.471-4,322.939-1,121.453,703.663177.872-1,713.44611,631.06662.3642,345.4942,380.492-2,048.036-7,471.411-3,557.05
Financieringsactiviteiten:
Schuldaflossingen -3,627.73-69,376.948-55,742.497-61,324.828-57,642.521-52,139.685-63,142.85-60,025.615-49,282.292-34,805.306-68,052.617-81,170.474-76,589.554-34,290.011-28,993.134-12,587.062-40,415.129
Uitgifte van Gewone Aandelen 0004,386.4753,827.55000097.97100003,829.200
Terugkoop van Gewone Aandelen 000412.56-470.537-551.4320000000034,026.70900
Uitgekeerde Dividenden -783.062-783.062-630.084-412.56-314.768-320.052-199.615-157.251-374.0960000-838.922-838.922-838.922-977.103
Overige Financieringsactiviteiten 145.96874,245.88471,472.31157,195.87122,999.67657,901.91458,423.43650,256.42756,657.39544,178.88441,490.3584,688.42170,887.67936,206.819704.47944,430.97386,402.981
Kasstroom uit Financieringsactiviteiten -5,191.9514,085.87415,099.73257.5177,157.6595,210.797-4,719.413-9,769.1887,375.1039,471.55-26,562.2683,517.947-5,701.8751,077.8868,728.33231,004.98945,010.749
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 128.126135.668147.367-122.58446.49339.248-0.89726.37233.51615.482-31.703-41.3493.151-133.581-447.907625.3622.226
Netto Kasstroomverandering 1,216.593-7,288.983-862.3787,008.1462,145.2971,906.764897.62817.32-540.271786.4411,419.814-2,185.687-166.009849.59-232.032-887.9251,203.313
Kaspositie aan het Einde van de Periode 8,151.8356,935.24314,224.22515,086.6038,078.4575,933.164,026.3963,128.7762,311.4562,851.7282,065.286645.4722,831.1593,010.8542,161.2642,393.2963,281.221