Byucksan Corporation

KRX:007210.KS

2075 (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 33,290.08311,698.99-1,495.0031,271.937-1,719.6868,429.35613,356.68132,133.56939,873.71728,675.98115,152.6567,297.05421,262.16122,440.53313,679.8884,371.9466,073.252
Afschrijvingen & Amortisatie 21,220.30716,094.92413,518.68413,737.04513,200.0017,267.1026,079.5115,941.8576,286.9956,477.9626,415.3967,260.8047,397.0489,401.78810,141.16910,953.3548,442.846
Uitgestelde Inkomstenbelasting -78,805.9450010,419.262181.7266,778.6195,942.661-7,139.439-468.17800000000
Aandelen Gebaseerde Vergoedingen 156.832117.6240-299.656183.6734.596-48.85887.39642.85100000000
Verandering in Werkkapitaal -33,837.2033,062.028-16,307.514-2,893.5952,345.86-27,284.903-8,669.8077,815.287-5,254.959-12,348.146,213.537-7,632.618-7,653.511-9,355.911-12,337.996-2,826.54-7,725.037
Vorderingen -26,417.711-7,191.55-10,510.282-3,545.7598,640.308-5,055.6279,177.542-10,575.584-4,373.45700000000
Voorraden -3,491.836-4,719.068-9,156.1621,918.0671,755.695-1,879.06-7,016.2261,243.606277.871-1,233.0141,626.6752,576.417-3,029.0725,355.05-3,008.48-3,810.384-1,472.731
Crediteuren -6,298.95215,888.6997,390.7465,171.7182,415.179-6,573.662-4,203.47320,605.1873,858.91500000000
Overig Werkkapitaal 2,371.296-916.053-4,031.816-6,437.621-10,465.322-25,405.843-1,653.5816,571.681-5,532.83-11,115.1264,586.862-10,209.035-4,624.439-14,710.961-9,329.516983.844-6,252.306
Overige Niet-Contante Posten 85,852.6012,723.1711,695.991,121.468706.811-170.19244.722-261.95297.8372,337.3026,203.7429,607.496-1,840.0268,505.3539,269.9518,149.0135,062.617
Kasstroom uit Operationele Activiteiten 27,876.67533,696.7367,412.15723,356.4614,898.382-4,945.4216,904.9138,576.7240,778.26325,143.10533,985.33116,532.73619,165.67230,991.76320,753.01220,647.77311,853.678
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -53,926.071-70,925.719-27,205.094-25,943.395-28,627.099-40,389.173-22,729.594-36,428.379-5,292.043-8,847.836-6,144.345-3,055.371-4,626.09-11,956.228-6,779.245-5,795.757-5,547.057
Netto Overnames 2,796.23-1,068.242-418.779-469.51,455.937286.251-1,005.56,369.375367.6981,337.669-1,020-1,246.15-127.1371,266.412395.119-627.315-7,766.127
Aankoop van Beleggingen -224,746.499-255,192.264-324,499.261-78,262.201-6,508.06-17,933.305-14,684.317-10,324.643-35,449.69-5,148.695-15,418.762-10,063.588-13,035.347-46,078.836-5,118.29-14,703.733-3,852.134
Verkoop/verval van Beleggingen 200,383.071304,207.486286,988.94175,479.2712,646.19213,055.36923,039.90217,725.01228,687.11411,178.38720,329.82354.2972,640.14558,145.0034,141.87710,370.3462,299.058
Overige Investeringsactiviteiten 5,683.3128,282.349-17,313.72813,813.8994,623.4511,096.87-1,257.506640.878203.848-2,758.756185.791396.884206.488-82.42141.583-38,006.286-1.391
Kasstroom uit Investeringsactiviteiten -69,809.957-14,696.389-82,447.921-15,381.927-26,409.579-43,883.989-16,637.015-22,017.758-11,483.074-4,239.231-2,067.494-13,913.927-14,941.9411,293.93-7,318.956-48,762.745-14,867.651
Financieringsactiviteiten:
Schuldaflossingen -8,464.83-77,649.501-73,280.717-66,824.551-48,349.325-41,340.147-38,943.672-33,812.454-27,680.503-21,076.727-19,649.672-20,879.35-36,276.981-28,366.304-30,250-19,475-154,281.953
Uitgifte van Gewone Aandelen -1,518.2380992,899.31342.6356.60473.98941.51842.78237.97524.79526.4167.5917,939.61428,557.14551,963.9080
Terugkoop van Gewone Aandelen -2,999.5910103,138.811-555.54946,402.587-2,294.503-12.466-4,982.129011,986.5499,828.7410-14,989.643-60.737-891.709-129.7110
Uitgekeerde Dividenden -2,255.899-1,181.759-893.413-188.719-1,061.817-1,790.203-2,389.493-4,057.261-4,243.466-3,513.338-2,060.9590-18.308-2,240.395-1,179.408-3,599.963-1,014.363
Overige Financieringsactiviteiten 89.336128,500.411-62.46565,548.61-366.44573,426.03831,659.38533,385.25826,520.8880014,972.17343,864.8297.99936.291-5.731161,223.013
Kasstroom uit Financieringsactiviteiten -15,149.22149,669.1529,001.216879.103-2,965.92428,057.788-9,612.256-9,425.069-5,360.301-12,365.541-11,857.095-5,880.777-7,252.542-12,429.823-3,727.68128,753.5035,926.697
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -10.556-84.3321.663-372.309-29.128-1.169-730.92,641.6787.2644.145-379.897-111.8488.151005,181.9830.001
Netto Kasstroomverandering -57,093.0668,585.165-46,032.8858,481.328-14,506.249-20,772.79-10,075.269,775.57223,942.1538,542.47819,680.846-3,373.816-3,020.65919,855.879,706.3755,820.5142,912.725
Kaspositie aan het Einde van de Periode 32,253.30689,346.36520,761.273,944.08565,462.75779,969.007100,741.796110,817.057101,041.48477,099.33268,556.85438,039.15241,412.96856,167.30436,311.43426,605.05920,784.545