Woosung Co., Ltd.

KRX:006980.KS

16290 (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 11,055.745126.061-5,842.445,715.73211,867.931-4,217.5621,046.873804.311-5,522.2114,015.0142,983.0696,980.87113,816.78710,634.20917,765.513-4,814.3682,128.016
Afschrijvingen & Amortisatie 8,998.4688,637.4367,571.3167,253.7747,381.494,894.0363,676.9283,546.9273,663.8923,702.6743,866.7094,183.9864,314.1915,109.875,896.2264,315.0634,516.272
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal -12,842.195-18,425.602-47,245.8795,624.942-14,738.777-14,388.385-3,639.3213,331.2716,157.9312,544.6121,878.806-11,073.4728,849.601-3,423.70912,827.085-49,192.493-15,491.95
Vorderingen -26,177.276-15,426.76-7,075.097-4,539.88-10,586.251-5,636.363-6,129.3041,524.8543,903.03900000000
Voorraden 20,910.002-25,460.579-30,399.4394,501.86-18,466.573-9,817.201-509.49411,808.2551,736.517-433.4388,498.968-5,114.974-2,723.1744,599.5369,344.613-33,575.934-8,310.909
Crediteuren 3,573.59819,535.664-6,239.8973,983.35115,1821,956.9975,168.855-3,569.589593.05100000000
Overig Werkkapitaal -11,148.5192,926.073-3,531.4461,679.612-867.953-4,571.184-3,129.827-8,476.9844,421.4152,978.05-6,620.162-5,958.49811,572.775-8,023.2453,482.472-15,616.559-7,181.041
Overige Niet-Contante Posten 3,249.72214,979.2410,780.784-4,965.036-10,439.5591,677.729846.0143,162.137892.9512,991.0531,577.082,004.823-4,830.0564,235.696,732.544-4,982.474,256.489
Kasstroom uit Operationele Activiteiten 10,461.745,317.135-34,736.21913,629.413-5,928.914-12,034.1821,930.49410,844.6465,192.56413,253.35410,305.6642,096.20922,150.52316,556.0643,221.368-54,674.268-4,591.173
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -38,995.416-8,542.315-11,128.352-5,092.108-3,063.541-16,311.172-28,495.715-6,032.748-8,384.977-3,353.937-6,811.182-2,444.783-3,635.56-7,540.871-7,716.174-1,075.255-4,689.617
Netto Overnames 10,503.948513.263-1,032.3151,003.80430,066.6294.691937.997292.8912.752,084.015381.8031,051.437-1,567.569.993321.6717,859.6314.25
Aankoop van Beleggingen -78,278.742-173,946.159-70,383.196-15,058.89-8,199.207-6,992.417-7,822.201-17,599.989-58,107.94-13,940.325-7,325.41-31,430.51-14,141.455-47,093.499-53,404.198-6,815.649-18,252.567
Verkoop/verval van Beleggingen 88,167.203168,861.16172,634.46812,261.9585,609.1089,279.6686,446.92736,534.25842,272.049,441.06518,998.3524,776.9759,168.01670,473.2633,632.78111,681.22114,930.011
Overige Investeringsactiviteiten -2,758.99-857.5459,857.179-123.47258.4023,032.695-2,971.242-1,902.1951,345.815-208.1771,873.703-246.2862,137.03519.806-451.838-126.635304.407
Kasstroom uit Investeringsactiviteiten -21,361.997-13,971.595-52.216-7,008.70824,471.39-10,986.536-31,904.23311,292.217-22,872.312-5,977.3587,117.264-8,293.167-8,039.46415,928.689-27,617.75811,523.312-7,693.516
Financieringsactiviteiten:
Schuldaflossingen -11,300.1-326,558.662-231,922.835-193,256.033-127,759.345-78,902.491-78,867.757-96,587.748-139,184.05-140,395.712-76,679.64-62,923.083-48,686.807-40,880.681-28,312.252-3,865.785-2,354.491
Uitgifte van Gewone Aandelen 00259,428.335000000000020,439.312615.165434.839483.011
Terugkoop van Gewone Aandelen 00-175.330000000000-69.550021,231.153
Uitgekeerde Dividenden 0-385.013-385.683-385.6830-642.806-642.806-642.806-1,285.612-1,285.612-1,542.734-1,542.734-1,542.734-2,081.766-660.658-1,446.8-1,497.216
Overige Financieringsactiviteiten 21,967.754345,026.527-1.5162,305.786143,472.632112,907.71381,048.60492,406.406123,139.272139,656.84855,041.82866,839.72559,994.639-3,473.99920,119.30355,034.787-0.001
Kasstroom uit Financieringsactiviteiten 10,667.65418,082.85226,942.987-31,335.9315,713.28733,362.4171,538.041-4,824.148-17,330.389-2,024.476-23,180.5462,373.9089,765.098-26,066.684-8,238.44250,157.04117,862.456
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -39.088118.114377.623-46.667122.80537.573-592.052-165.94114.88541.9364.473-371.3299.362-191.891-618.128272.166-4.644
Netto Kasstroomverandering -271.6919,546.507-7,467.826-24,761.89234,378.56710,379.272-29,027.7517,146.775-34,995.2525,293.457-5,753.145-4,194.37923,885.5196,226.17310,168.3487,278.2525,573.123
Kaspositie aan het Einde van de Periode 41,187.78241,459.47231,912.96639,380.79164,142.68329,764.11619,384.84448,412.59331,265.81966,261.07160,967.61466,720.75970,915.13850,550.47844,324.30534,155.95726,877.705