AK Holdings, Inc.

KRX:006840.KS

12480 (KRW) • At close November 4, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 34,442.926-119,048.517-199,326.057-265,775.05857,377.833206,620.399185,414.017133,322.341-37,443.06294,294.011108,312.12644,743.69644,150.97356,728.651-9,122.396-17,627.52928,361.641
Afschrijvingen & Amortisatie 244,741.484247,732.498239,371.496280,064.662265,541.7794,170.53579,775.87569,508.95473,290.88164,568.45841,157.19111,270.47114,948.27614,734.7912,386.58810,233.4569,848.459
Uitgestelde Inkomstenbelasting -555,291.0650-85,059.379-45,644.697-91,841.862-12,258.327-5,634.6380000000000
Aandelen Gebaseerde Vergoedingen 35.22312.71716.72243.162100.8785,848.561167.1830000000000
Verandering in Werkkapitaal 27,042.80696,858.662-142,142.027-226,246.795-22,882.833259.827-8,659.31466,165.485-34,931.81949,969.63953,031.082-45,002.913-22,538.637-63,538.28580,650.802-87,702.42-7,132.67
Vorderingen -90,729.396-53,160.195-18,830.45725,496.43734,942.00927,337.979-41,275.349-67,036.83477,968.8100000000
Voorraden 23,410.12125,932.035-145,483.936,757.753-9,121.181-12,786.396-27,523.456-5,738.7620,457.268-40,251.1511,943.946-32,823.498365.02-15,829.61567,569.797-62,927.791-12,249.097
Crediteuren 1,546.401-42,111.30969,753.272-56,661.455-26,816.567-42,582.8455,998.255103,877.794-80,300.73700000000
Overig Werkkapitaal 92,815.68166,198.131-47,580.912-201,839.53-21,887.09413,046.22318,864.14271,904.245-55,389.08790,220.7951,087.136-12,179.415-22,903.657-47,708.6713,081.005-24,774.6295,116.427
Overige Niet-Contante Posten 776,367.455140,919.729177,177.92965,842.25365,894.01222,616.80629,870.40549,309.501140,331.05810,908.127-20,002.1964,863.2417,597.51912,565.21630,527.82922,388.966-17,356.917
Kasstroom uit Operationele Activiteiten 527,338.829366,475.089-9,766.238-191,716.473274,189.798317,257.801280,933.528318,306.281141,247.058219,740.235182,498.20315,874.49544,158.13220,490.372114,442.823-72,707.52713,720.513
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -377,726.566-299,642.47-149,214.494-152,700.455-97,364.815-355,729.573-241,938.049-77,109.199-114,127.52-176,138.876-69,298.115-31,123.619-15,220.507-17,966.354-12,299.71-15,576.678-9,051.659
Netto Overnames 118,337.634-18,468.847-37,772.135-3,264.812-4,892.821-39,748.86-3,077.1294,831.952-17,593.731-21,115.97923,661.355-21,952.22-131,119.219-16,927.2143.439-24,260.989-22,150.724
Aankoop van Beleggingen -572,400.178-1,202,872.338-568,209.669-712,319.065-2,098,517.151-563,742.458-1,362.489-55,574.308-38,274.293-3,047-74.475-10,601.103-14,037.979-1,293.755-10,332.209-32,776.81-7,104.745
Verkoop/verval van Beleggingen 591,690.8051,033,355.793684,185.32821,556.7491,967,402.913689,609.66135.3525,747.835852.4118,911.733356.4959.547437.90110,531.90720,367.43416,195.13435,795.363
Overige Investeringsactiviteiten 5,870.59723,848.62632,767.04428,160.33714,047.55244,090.204-46,270.258-6,491.917312,570.303-2,230.7564,413.710,955.0434.5691,099.969515.2691,062.14735.355
Kasstroom uit Investeringsactiviteiten -234,227.708-463,779.235-38,243.934-18,567.245-219,324.322-225,521.028-292,512.574-128,595.637143,427.17-193,620.87219,058.96-52,712.352-159,935.234-24,555.432-1,605.777-55,357.203-1,776.41
Financieringsactiviteiten:
Schuldaflossingen -1,151.41-857,954.569-923,753.727-1,181,557.719-1,097,043.501-1,557,194.095-1,514,102.204-1,755,536.883-3,137,414.745-2,424,314.04-499,557.431-136,495.114-110,353.293-143,635.503-127,187.959-25,017.074-125,353.833
Uitgifte van Gewone Aandelen 1,231.19678,333.2941,656.5271,428,172.904890,852.3725,595.532434.9462,693.906131,619.07274,633.73120,519.272060,150.07229,800.262150.27300
Terugkoop van Gewone Aandelen -129,014.948-78,333.2-7.368-5,981.861-439.879-10.8-10,405.88402,871,423.832,372,328.514323,995.07900118,721.72537,123.29900
Uitgekeerde Dividenden -24,731.404-23,266.746-18,554.591-25,545.015-9,784.119-26,355.369-20,367.317-16,348.269-11,342.647-7,300.166-4,397.582-7,052.582-9,817.317-5,084.714-4,003.376-8,839.374-7,281.552
Overige Financieringsactiviteiten -137,808.057966,587.015156,190.171118,697.977-57,714.2431,667,925.8151,495,144.7381,697,611.348-661.202-12,566.379-870.246186,657.161197,276.38-1,421.1594,279.693142,353.425149,564.654
Kasstroom uit Financieringsactiviteiten -291,474.62285,365.7155,531.011333,786.285-295,491.69889,961.083-39,324.783-74,273.803-146,375.6932,781.66-160,310.90843,109.465137,255.842-1,619.389-89,638.07108,496.97716,929.269
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -495.285-3,799.0392,447.136-2,954.0141,056.71-668.51-7,293.6031,607.3637891,203.428550.295-9.146-158.767-136.704-2,277.1924,815.133-8,866.272
Netto Kasstroomverandering 1,141.214-15,737.485109,967.975120,380.259-226,527.45181,029.345-57,984.659114,331.723139,087.53630,104.4541,796.551-57,865.38921,319.973-5,821.15418,398.958-14,752.6220,007.1
Kaspositie aan het Einde van de Periode 500,637.429499,496.215515,233.7405,265.725284,885.465511,412.915330,383.57388,368.229274,036.505134,948.969104,844.51916,236.29374,101.68152,781.70954,707.68736,308.72951,061.349