Samjin Pharmaceuticals Co., Ltd.

KRX:005500.KS

18140 (KRW) • At close September 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 18,908.44821,900.91928,404.15627,879.30811,880.75725,526.18535,795.82530,174.33227,043.17120,716.7187,878.19410,638.4437,062.46410,477.1957,044.9746,731.8156,434.603
Afschrijvingen & Amortisatie 16,612.7569,816.0557,360.4646,490.2776,471.7996,257.2556,633.9876,921.6826,541.7326,103.6355,358.754,080.673,241.9652,889.2862,354.2812,273.7062,323.478
Uitgestelde Inkomstenbelasting 0005,796.896357.0528,444.6674,942.4499,908.4844,865.94,823.4277,800.1084,468.73300000
Aandelen Gebaseerde Vergoedingen 000713.448882.564906.12915.838922.761,012.5381,065.9321,066.264187.00800000
Verandering in Werkkapitaal -27,301.086-12,506.87-19,927.144-16,717.2414,422.969-10,471.603-10,878.053545.26-21,242.953-1,312.914-16,281.1513,149.492-1,382.42-9,753.011-11,492.35-18,017.926-19,047.121
Vorderingen -2,457.459-2,444.83-6,696.6512,442.0911,624.47611,632.9176,203.3413,072.675-2,979.85100000000
Voorraden -12,971.6311,114.609355.987-12,033.0413,691.775-10,287.376-9,124.158741.302-9,120.986-5,475.009-2,397.057-1,932.937936.925-1,873.489-4,492.922-6,047.5712,002.258
Crediteuren -2,043.628944.252-473.873-2,956.985-2,280.063-3,475.241915.4414,961.281-604.18200000000
Overig Werkkapitaal -9,828.368-12,120.901-13,112.607-4,169.305-8,613.219-184.227-1,753.895-196.042-12,121.9674,162.095-13,884.09315,082.429-2,319.345-7,879.522-6,999.428-11,970.355-21,049.379
Overige Niet-Contante Posten 113.442-1,916.8758,129.914-302.188-382.058-580.801-126.372185.324715.2531,009.5941,552.1711,407.1553,748.30313,222.2454,228.4867,508.7094,544.411
Kasstroom uit Operationele Activiteiten 8,333.56117,293.22823,967.3923,860.523,633.08330,081.82437,283.67448,657.84218,935.64132,406.3927,374.33733,931.50112,670.31216,835.7152,135.391-1,503.696-5,744.629
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -20,721.232-35,497.922-74,602.7-30,597.169-12,038.379-8,235.866-9,173.425-7,911.908-8,828.23-14,392.675-6,864.254-12,704.082-11,628.516-4,538.859-8,754.886-2,981.591-3,206.742
Netto Overnames 398.566-39,553.5151,676.412-1,496.855-3,058.396309.18686.226-95.306-1,148.447-916.557-7.007-31.427-183.005-431.243202.072-52.23679.669
Aankoop van Beleggingen -761.76-8,977.666-4,800-7,248-5,340-5,731.04-10,903.875-5,991.99-5,640.195-5,264.717-6,523.17-19,450.4-7,636.5-5,662.828-4,986.38-3,940.72-2,360.7
Verkoop/verval van Beleggingen 2,910.65912,988.6915,802.46,480.1955,343.97,14111,128.2013,3604,142.56,651.2498,399.24314,470.6597,299.674,3202,8802,709.00514,067
Overige Investeringsactiviteiten -73.406983.054368.588683.3063,303.06-112.948275.3775.3371,333.4471,049.028-113.90550.571134.4211,509.714-737.327-139.728-171.212
Kasstroom uit Investeringsactiviteiten -18,247.172-70,057.357-71,555.3-32,178.523-11,789.815-6,629.667-8,587.496-10,633.867-10,140.925-12,873.672-5,109.093-17,664.678-12,013.929-4,803.216-11,396.521-4,405.278,408.015
Financieringsactiviteiten:
Schuldaflossingen -31,166.7-45,799.496-13,438.709-1,026.215-440.643-4,000-9,000-70,000-86,500-86,500-29,000-8,800-104,000-78,490-40,532.6-25,842-25,100
Uitgifte van Gewone Aandelen -715.79329,999.99700004,00000033,5007,360107,44066,190037,919.30
Terugkoop van Gewone Aandelen -9,992.509-4,993.4960000-4,939.968000-2,957.085-11,981.817-2,229.609-36.7640-53.2430
Uitgekeerde Dividenden -10,584.73-9,842.141-9,842.141-9,842.141-9,842.141-9,842.141-8,716.897-7,471.626-6,226.359-4,981.087-3,811.613-2,862.955-640.819-373.185-362.085-1,182.516-2,128.464
Overige Financieringsactiviteiten 62,433.477,80059,9006,200.235-364.616-825.079-34.49350,470.88282,125.2472,062.00892.423170.176-7962.51545,622.94450.3724,252.609
Kasstroom uit Financieringsactiviteiten 9,973.66747,164.86436,619.15-4,668.121-10,647.4-14,667.22-18,691.358-27,000.744-10,601.119-19,419.079-2,176.275-16,114.596490.572-12,647.4344,728.25910,891.911-2,975.855
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -0.037000000000000-0.001000.001
Netto Kasstroomverandering 60.02-5,599.265-10,968.761-12,986.1441,195.8688,784.93610,004.8211,023.231-1,806.402113.64188.969152.2271,146.955-614.936-4,532.8714,982.945-312.468
Kaspositie aan het Einde van de Periode 2,401.4742,341.4547,940.71918,909.48131,895.62430,699.75621,914.8211,910.001886.7692,693.1712,579.532,490.562,338.3331,191.3791,806.3156,339.1861,356.241