Samsung SDI Co., Ltd.

KRX:006400.KS

284500 (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 2,009,207.1262,039,361.4481,250,401.56630,966.298402,366.43745,049.185643,193.863211,111.1925,685.766-80,314.437147,915.7011,486,814.348351,054.915385,112.342214,667.95157,311.753-603,151.028
Afschrijvingen & Amortisatie 1,727,786.1511,463,333.2551,252,163.7531,083,488.123855,996.16582,239.983459,882.869455,006.4663,443.156532,693.612430,580.09454,545.413438,629.828375,491.847476,468.586598,420.962618,278.841
Uitgestelde Inkomstenbelasting 0000000000000000324,772.492
Aandelen Gebaseerde Vergoedingen 00000000000000007,457.205
Verandering in Werkkapitaal -938,384.206-368,780.788-24,604.442391,515.982-306,525.782-979,201.821-841,269.492-1,412,929.478623,637.52510,126.042-123,340.505-7,916.831-274,787.124-135,164.705115,587.012-32,417.89221,037.632
Vorderingen -411,745.098-841,251.69-248,081.753170,261.389-447,563.304-435,660.801-213,009.227-180,925.296253,205.04600000000
Voorraden -134,096.583-678,279.892564.363293,270.664482,295.155-504,481.018-116,306.199-177,873.37217,413.607139,780.48615,845.5812,375.8780-118,052.74526,990.051-36,484.90270,625.693
Crediteuren -119,589.044851,409.875310,091.622296,862.445-20,752.982147,498.086177,184.801-94,392.813-20,459.35400000000
Overig Werkkapitaal -272,953.481299,340.919-87,178.674-368,878.516-320,504.651-474,720.803-724,963.293-1,235,056.106606,223.918-129,654.444-139,186.086-10,292.7090-17,111.9688,596.9614,067.01-49,588.061
Overige Niet-Contante Posten -695,087.557-492,817.751-301,933.513-157,150.162-28,765.175-87,477.612-511,921.577-562,707.611-431,699.889-151,912.394-146,705.526-1,355,640.601-215,160.296-136,534.25-86,902.621154,925.58715,261.962
Kasstroom uit Operationele Activiteiten 2,103,521.5142,641,096.1642,176,027.3591,948,820.241923,071.633260,609.735-250,114.337-1,309,519.499881,066.558310,592.822308,449.76577,802.329299,737.322488,905.234719,820.928778,240.41383,657.104
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -4,060,705.478-2,813,482.036-2,257,010.18-1,732,569.883-1,903,419.605-2,159,321.426-995,085.4-841,643.105-741,991.731-479,072.426-668,325.147-459,720.982-458,529.423-399,701.422-269,578.772-562,069.072-606,714.646
Netto Overnames 640,956.32-22,300.614-23,280.397-29,000.0449,092.83613,186.61737,475.5042,087,989.0281,316.718238.618-4,393.346-39,612.284-505,739.88612,150-17,351.754-295,528.069216,689.68
Aankoop van Beleggingen -3,046,607.026-450,365.803-66,961.984-102,340.062-5,166.9-20,000-13,215.05470,493.138-3,764.14539,307.476-820,124.377-37,631.8410-1,719.129-118,843.839-317,008.234-25,658.875
Verkoop/verval van Beleggingen 2,891,653.378243,283.244275,143.21435,210.001354,134.8086.219859,479.9392,568.199765,015.582256.4515,123.855905.740544.3226,939.645186,242.85995,194.817
Overige Investeringsactiviteiten 99,099.06396,629.09122,576.13650,267-29,700.904461,399.3931,084,410.671534,856.589776,005.199111,639.732973,487.98324,786.74985,170.67136,631.7-61,984.827-365.3262,995.739
Kasstroom uit Investeringsactiviteiten -3,475,603.743-2,946,236.119-1,949,533.212-1,778,432.984-1,535,059.765-1,704,729.19789,325.2711,854,263.84115,330.187-327,630.15-504,231.032-511,272.618-879,098.639-252,094.551-240,819.547-988,727.842-317,493.285
Financieringsactiviteiten:
Schuldaflossingen -381,028-1,509,903.235-1,676,803.96-1,680,557.492-1,128,336.462-642,630-392,633.843-1,115,069.069-738,255.481-362,150.461-663,872.767-771,778.999-103,628.438-617,326.697-248,759.88-94,177.643-393,209.421
Uitgifte van Gewone Aandelen 000000614.277574,385.34130,680.388342,810.2942,159.4772,029.1046,067.75723,658.03224,753.4842,887.4325,726.053
Terugkoop van Gewone Aandelen 000000-94,056.523-240,681.4450-6,096.396-23,432.657958,918.477458,793.712-87,500214,038.59-49,956.291570,653.615
Uitgekeerde Dividenden -71,550.149-66,944.61-69,335.475-69,176.596-66,937.929-66,937.81-70,027.436-72,677.362-72,104.439-83,003.621-92,897.535-76,370.322-77,093.817-60,166.163-37,519.253-21,400.538-42,754.904
Overige Financieringsactiviteiten 723,391.9182,208,101.0222,328,862.8351,990,353.0411,434,209.1382,470,475.582909,496.03935,340.434455,704.97624,630.263752,353.6331.819-15,555.018118,561.43594,894.443516,785.375-314,028.854
Kasstroom uit Financieringsactiviteiten 273,419.394628,699.236582,723.4240,618.953238,934.7481,756,125.864353,392.514-818,702.101-354,654.944-83,809.92-25,689.849112,800.079268,584.197-622,773.39347,407.384354,138.335-173,613.511
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 8,852.346-34,979.779-29,499.52-21,327.30812,763.259-4,436.5194,710.34-2,308.73918,698.419-1,800.6815,130.8729,525.5082,122.1891,816.678-489.162,424.46328,108.562
Netto Kasstroomverandering -801,230.987288,579.502779,718.027389,678.901-360,290.126307,569.883197,313.788-276,266.499660,440.219-102,647.929-216,340.249188,855.297-308,654.931-367,424.753500,728.002200,269.008-79,341.13
Kaspositie aan het Einde van de Periode 1,524,461.3612,614,271.852,325,692.3481,545,974.3221,156,295.4211,516,585.5471,209,015.6641,011,701.8751,287,968.374627,528.155730,176.083946,516.332757,661.0351,066,315.9661,509,837.2231,009,109.221808,477.73