LOTTE Corporation

KRX:004990.KS

23350 (KRW) • At close November 8, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst -15,357.995336,571.002150,433.761-238,878.979-411,644.597110,709.371495,280.8275,239.40179,163.8181,667.06955,173.47989,776.244100,361.433136,879.29639,263.639172,807.859109,002.443
Afschrijvingen & Amortisatie 832,784722,325565,426603,522610,125313,04077,882.0296,189.60395,720.93390,956.05187,591.90674,569.83370,098.51792,612.30385,746.1377,839.65161,353.428
Uitgestelde Inkomstenbelasting -1,742,6570556,877.86500000000000000
Aandelen Gebaseerde Vergoedingen 1,9961275300000000000000
Verandering in Werkkapitaal -186,283.213-413,225-184,454-190,319-578,920-1,637,369-835,718.74-81,436.67226,661.098-103,191.333-7,827.868-78,496.375-81,597.111-6,102.41427,025.399-80,230.08633,943.275
Vorderingen -126,603-119,317-15,85693,76746,257-480,677-63,789-23,935.181-15,806.87200000000
Voorraden 52,048-304,493-69,738-23,235-88,666-88,31125,462.133-40,534.87439,591.37-19,873.37420,555.091-6,370.42-36,578.639-15,170.58821,714.09-24,587.309-26,773.585
Crediteuren -538144,952-15,388-56,764-36,475-168,952-26,333-2,131.275-285.75700000000
Overig Werkkapitaal -111,190.213-134,367-83,472-204,087-500,036-1,549,058-861,180.872-16,357.781-12,930.272-83,317.959-28,382.959-72,125.955-45,018.4729,068.1745,311.309-55,642.77760,716.86
Overige Niet-Contante Posten 2,131,123.193258,342.863-487,871.426208,242.2831,034,578.984386,965.418-421,438.73223,582.87116,737.657104,628.58712,972.9545,469.953,489.009-55,120.38-24,572.868-35,145.756-43,632.667
Kasstroom uit Operationele Activiteiten 1,021,604.984904,140.865600,465.2382,566.304654,139.387-826,654.211-683,994.631113,575.204218,283.50794,060.374147,910.47191,319.602142,351.848168,268.805127,462.3135,271.668160,666.479
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -808,175.48-780,791.716-479,838.479-409,863.728-304,098.437-282,238.461-74,940.15-103,132.719-156,885.386-174,060.144-139,439.232-65,876.641-89,261.506-99,529.881-216,542.982-121,471.676-55,628.282
Netto Overnames 136,850.373-394,241.525149,438.636-107,705.41-161,847.499-2,105,941.26871,119.055-9,321.347-30,315.6337,249.727-113,062.486-1,764.948-23,295.22-41,294.738-125,337.777-55,518.986-54,283.478
Aankoop van Beleggingen -2,257,341.581-2,619,630.155-1,892,726.849-2,064,721.227-575,910.293-1,131,540.56-395,259.445-374,315.651-133,525.523-63,904.238-106,246.63-2,601.133-11,576.323-53,046.678-90,106.477-30,085.67-87,143.812
Verkoop/verval van Beleggingen 2,246,897.742,204,891.9282,182,695.161,689,846.426479,246.6311,213,198.893918,539.835402,296.5845,316.97470,959.13,255.46122,379.52111,719.012139,462.07380,477.60310,016.737648.894
Overige Investeringsactiviteiten -14,887.8145,511.126112,460.23872,605.8581,410,395.1658,543.708-13,696.0825,408.14258,090.95148,557.40356,552.75535,990.15130,338.9914,733.132-171,915.7548,860.23812,250.934
Kasstroom uit Investeringsactiviteiten -696,656.763-1,584,260.34172,028.706-819,838.081847,785.562-2,247,977.6791,305,763.214-59,064.992-257,318.617-111,198.152-298,940.132-11,873.05-82,075.046-49,676.092-523,425.387-188,199.357-184,155.744
Financieringsactiviteiten:
Schuldaflossingen -359,569-5,526,121.952-3,361,116.129-5,078,645.186-9,550,422.244-5,903,821.272-915,406.404-311,603.555-308,849.453-253,610.326-130,074.575-291,706.81-201,994.131-78,998.332-41,689.786-94,504.111-26.719
Uitgifte van Gewone Aandelen 23,896162.17225,413.2507,314,409.8729,497,551.741,408,723.15032,319.600000000
Terugkoop van Gewone Aandelen -2,825.21-39,092.8753,176,804.590-28,312.204-26,319.306-2,209.8390479,550.04900000000
Uitgekeerde Dividenden -143,258.217-140,440.185-88,275.531-68,880.071-93,155.188-7,382.267-2.386-17,155.254-8,417.944-7,231.416-8,112.173-5,629.6-5,629.6-5,494.38-5,403.215-4,867.674-3,872.919
Overige Financieringsactiviteiten 338,475.6946,394,146.381-326.4035,837,040.051193,289.33-146,384.443-818,281.779192,778.06-18,486.123203,843.396293,292.278215,119.455137,415.17270,713.69521,263.284209,160.817,037.847
Kasstroom uit Financieringsactiviteiten -143,280.733688,653.541-247,500.223689,514.794-2,164,190.4343,413,644.454-327,177.258-135,980.749176,116.128-56,998.346155,105.53-82,216.955-70,208.559-13,779.022474,170.283109,789.0253,138.209
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -5,717.591901.6766,086.103-76,303.222667,722.781-662,471.709-6,519.076936.068427.596-8.841-127.61-164.0452.458-1,733.117-4,301.9221,950.95516,511.033
Netto Kasstroomverandering 175,949.9339,435.741431,079.234175,939.7945,457.296-323,459.145288,072.249-80,534.469137,508.614-74,144.9653,948.259-2,934.448-9,929.299128,886.234-13,134.35147,478.2-3,840.023
Kaspositie aan het Einde van de Periode 1,579,854.5551,403,904.6581,394,468.365899,511.66723,571.866718,114.571,041,573.716166,452.635246,987.104109,478.491183,623.455179,675.197182,609.645227,151.8298,265.586111,399.93763,921.737