Samick THK Co., Ltd.

KRX:004380.KS

8950 (KRW) • At close November 5, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 985.20416,648.77511,812.2594,458.33,265.42318,105.22828,235.33616,537.05217,797.66717,643.03117,295.7099,492.2124,605.6218,126.0199,599.503-1,563.3324,860.809
Afschrijvingen & Amortisatie 16,574.81414,152.74613,456.43312,257.99412,404.73211,102.3919,958.5878,948.238,080.048,887.1499,320.5869,257.1848,032.7839,324.7787,922.0588,905.46810,527.473
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal -20,962.609-54,876.60113,387.3379,539.922-27,498.018-9,826.927-5,947.613-35,746.265-10,933.879-1,580.902-6,579.766,056.33713,582.175-36,861.955-1,782.964-7,078.938-6,580.579
Vorderingen -1,649.848-22,980.427-8,115.0613,009.354-6,960.75511,097.27510,602.666-26,548.055000000000
Voorraden -5,820.101-33,615.40512,921.76317,188.329-9,928.497-21,784.136-1,715.535-22,658.677-5,491.407-2,499.248-2,296.45821,001.0642,645.698-25,714.733-3,711.339-8,084.8276,241.893
Crediteuren -13,510.9964,260.82212,950.313-1,021.494-5,826.2323,706.041-7,815.07920,497.701000000000
Overig Werkkapitaal 18.336-2,541.59-4,369.678-9,636.266-4,782.53411,957.209-4,232.078-13,087.588-5,442.472918.346-4,283.302-14,944.72710,936.477-11,147.2221,928.3751,005.889-12,822.472
Overige Niet-Contante Posten 70.66511,031.8858,005.766,433.8884,833.4371,810.3539,097.8763,510.7727,133.976-3,924.3216,146.531-1,078.0259,190.76912,314.687-833.8257,353.4292,345.481
Kasstroom uit Operationele Activiteiten -3,331.926-13,043.19546,661.78832,690.104-6,994.42721,191.04541,344.185-6,750.21122,077.80421,024.95726,183.06623,727.70655,411.3482,903.52914,904.7727,616.62711,153.184
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -27,385.255-23,846.667-13,020.153-28,380.14-46,531.693-45,018.097-45,921.328-7,807.854-9,328.812-8,066.651-7,672.262-9,473.526-17,678.851-28,931.128-6,321.087-10,928.781-20,989.49
Netto Overnames 1,218.10521.7768.18211,024.12162.72759.364111.64139.136-19.9558.3531,634.17-55.923-489.698260.6729830.1972,296.744
Aankoop van Beleggingen -3,569.268-749.85-640-607.5-2,189.8-7,297.2-7,301.593-534.8-6,178.529-6,136.088-1,723.63-3,714.169-265.906-3,298.606-245.848-24,659.773-978.215
Verkoop/verval van Beleggingen 980-21.7761,185.56003,191.66,715.97,154.585440.0366,477.7256,300.6972,421.0063,095.37420,543.7997.8592,521.754830.9013,424.792
Overige Investeringsactiviteiten 654.97620.7631,152.75156.78236.25-165-196.5113.463725.3836,698.793376.738150.051507.797304.552253.77782.859-215.026
Kasstroom uit Investeringsactiviteiten -28,101.442-24,575.754-11,313.721-17,206.739-45,230.915-45,705.033-46,153.194-7,750.018-8,324.188-1,194.897-4,963.978-9,998.1932,617.141-31,656.651-3,693.404-34,644.597-16,461.195
Financieringsactiviteiten:
Schuldaflossingen -50,361.1-90,250-99,096.86-94,313.47-15,000-45,000-147,648.16-64,118.858-38,488.94-24,936.98-45,331.948-91,832.473-43,449.666-86,291.587-67,526.367-6,439.789-15,274.179
Uitgifte van Gewone Aandelen 00000000000000050,673.26224,247.626
Terugkoop van Gewone Aandelen 000000000000000-350.855-593.435
Uitgekeerde Dividenden -6,210-6,210-3,105-3,105-6,210-8,280-6,831-6,210-6,210-6,210-5,175-6,210-5,175-3,505-1,863-2,481.649-3,350
Overige Financieringsactiviteiten 10130,630.24164,824.46791,053.41957,875.09183,288.686171,988.59980,767.18626,810.66722,405.14728,672.06665,332.06310,672.528123,129.26144,447.666-100-81.761
Kasstroom uit Financieringsactiviteiten 43,695.63834,170.241-37,377.393-6,365.05136,665.09130,008.68617,509.43910,438.328-17,888.273-8,741.833-21,834.882-32,710.41-37,952.13833,332.674-24,941.70141,300.9694,948.251
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -19.582-199.38-26.273-85.315-53.93378.703-67.8671.39832.952-8.351-41.582-4.6899.8980.00100-1,522.814
Netto Kasstroomverandering 12,242.688-3,648.088-2,055.5999,032.999-15,614.1835,573.40112,632.563-4,060.504-4,101.70611,079.876-657.376-18,985.58620,086.2494,579.553-13,730.33314,272.999-1,882.574
Kaspositie aan het Einde van de Periode 34,675.36622,432.67826,080.76628,136.36519,103.36534,717.54829,144.14716,511.58420,572.08724,673.79313,593.91714,251.29333,236.87913,157.3568,577.80322,308.1368,035.137