Samyoung Electronics Co., Ltd

KRX:005680.KS

10050 (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 13,835.68924,450.80622,566.10614,884.27811,371.91720,052.50713,786.01215,930.59716,453.78422,850.76616,642.91514,932.4325,975.90323,162.43714,323.3959,856.4121,422.518
Afschrijvingen & Amortisatie 7,191.0547,619.4467,733.0627,390.2827,118.7466,432.9536,452.1436,013.71811,610.58314,846.28417,836.19620,358.03219,202.18513,078.27916,724.916,350.22714,561.35
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal 13,344.604-19,912.643-6,747.507841.8026,661.901-11,459.626-4,946.479388.5994,288.14-183.8492,683.863-6,647.205-1,591.855-11,037.1311,171.116-8,200.325-16,069.019
Vorderingen 10,120.792687.302-3,968.232-4,598.2729,013.625-1,174.658-2,662.055-2,079.1234,813.4400000000
Voorraden 9,365.319-3,352.623-7,224.7575,090.6527,482.495-11,138.238-2,948.2964,158.8315,518.573-1,165.6865,799.9377,235.704-7,585.087-6,875.8767,066.988-6,009.477-7,500.955
Crediteuren -480.421-9,682.2163,478.018898.121-4,592.5784,681.9481,980.23754.6841,262.18600000000
Overig Werkkapitaal -5,661.086-7,565.106967.464-548.699-5,241.641-321.388-1,998.183-3,770.232-1,230.433981.837-3,116.074-13,882.9095,993.232-4,161.255-5,895.872-2,190.848-8,568.064
Overige Niet-Contante Posten -3,425.52-5,943.09-4,785.526-2,635.22-2,666.735-3,457.89-573.266-611.01-1,479.881-2,207.917-914.697-205.883-5,347.7325,243.9695,074.2476,222.64693.162
Kasstroom uit Operationele Activiteiten 30,945.8276,214.51918,766.13520,481.14222,485.82911,567.94414,718.4121,721.90430,872.62635,305.28436,248.27728,437.37438,238.50130,447.55437,293.65824,228.954608.011
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -5,068.192-2,098.468-3,642.808-3,208.298-5,776.649-13,490.183-4,016.813-4,983.44-4,722.414-4,707.264-3,942.448-9,663.567-39,974.346-39,799.641-32,288.129-27,948.918-14,588.797
Netto Overnames 30.61501,317.7933,657.1671,073.989644.6732,274.4982,150.741464.8612,314.723-0.016-433.081,448.00816,783.8564,291.9771,350.2064,359.645
Aankoop van Beleggingen -20,975.7770-10,213.085-22,882.93-11,997.8261,076.754-13,214.077-8,705.025-39,707.54-27,888.095-19,033.417-21,021.341-48.376-104,805.327-29,014.82-86,554.629-110,689.58
Verkoop/verval van Beleggingen 2,8677,352.82439.51357.98756.2754,359.41587.0452.4433.48109.48190.6551,529.15512,004.47756,023.1786,302.829109,368.87106,591.612
Overige Investeringsactiviteiten 63558.057-249.9822,233.4395.045-7.93553.00288.61-4450.1923,126.36-101.106157.132-62.357-9.80.2171.245
Kasstroom uit Investeringsactiviteiten -22,511.3535,312.409-12,348.57-20,142.635-16,639.166-7,417.277-14,816.345-11,446.674-44,376.613-30,170.965-19,658.865-29,689.94-26,413.106-71,860.29929,282.057-3,784.261-14,255.875
Financieringsactiviteiten:
Schuldaflossingen -1.334-201-159.2-327.2-127.4-118-153.7-131-148.7-4850-241.7-2,637.365-51,023.1-75,658.529-284,518.195-126,736.925
Uitgifte van Gewone Aandelen 00000000000007,589.8470270,737.5142,284.9
Terugkoop van Gewone Aandelen 000000000000051,424.70-5,615.323-246.587
Uitgekeerde Dividenden -6,000-5,999.651-4,999.938-4,999.903-5,000.071-4,999.939-4,005.058-4,000.275-3,999.862-4,000.071-3,998.799-4,000-3,999.642-4,290.547-5,322.978-3,153.014-2,699.24
Overige Financieringsactiviteiten -1.334-13.5-434.8081,030.47.002-6.0890.235.994145.259.3611.50-56.5-26.566,564.5-49-47.001
Kasstroom uit Financieringsactiviteiten -6,001.334-6,214.151-5,593.946-4,296.703-5,120.469-5,124.019-3,914.858-4,095.281-3,854.662-4,425.771-3,387.299-4,241.7-6,693.5073,674.4-14,417.007-22,598.03212,555.147
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -130.978-534.761,395.747296.979-9.6451,500.369-971.617-550.167347.4427.30523.545-15.603-12.665-721.001-3,210.2173,846.6030
Netto Kasstroomverandering 2,302.1624,778.0182,219.366-3,661.217716.549527.017-4,984.415,629.783-17,011.251,135.85413,225.658-5,509.8695,119.223-38,459.34548,948.491494.897-1,092.717
Kaspositie aan het Einde van de Periode 32,339.2230,037.05825,259.0423,039.67426,700.89125,984.34225,457.32430,441.73424,811.95141,823.20140,687.34827,461.6932,971.55828,391.62466,850.96917,902.47817,407.581