Kumbi Corporation

KRX:008870.KS

60200 (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 -8,472.665-20,527.5225,165.946-3,617.82710,620.89910,167.3396,646.30113,187.3157,665.2053,097.7391,899.7082,324.7767,372.3531,253.3132,413.436838.6045,766.764
Afschrijvingen & Amortisatie 17,667.37116,303.26214,697.72113,594.6410,256.99411,382.90811,279.28910,410.29413,095.69312,838.23111,270.8210,471.8676,787.5653,022.7053,031.7552,440.8882,700.957
Uitgestelde Inkomstenbelasting 0007,192.6770000000556.7682,576.1280000
Aandelen Gebaseerde Vergoedingen 00029.84700000007.00714.610000
Verandering in Werkkapitaal -9,490.665-24,401.0474,960.2-2,622.6042,916.705-7,063.769-51.105-6,312.021-3,667.1843,942.624-380.23-7,953.779-2,335.581-251.296-921.426-2,221.5052,904.059
Vorderingen -11,067.5-2,930.8354,760.4823,184.5026,213.673-5,654.6222,783.345-6,458.391000000000
Voorraden 251.794-7,116.047-2,265.964-4,725.834752.168-549.8681,385.75-2,125.003-96.9271,076.46-495.438-452.884-3,842.018-379.092-1,221.2143,077.347-497.063
Crediteuren 845.4631,054.781-555.611804.771-1,425.678572.9451,036.053604.187000000000
Overig Werkkapitaal 479.578-15,408.9453,021.293-1,886.043-2,623.458-6,513.901-1,436.855-4,187.018-3,570.2562,866.164115.209-7,500.8951,506.437127.796299.788-5,298.8523,401.122
Overige Niet-Contante Posten 12,818.37420,767.9426,344.0954,897.3491,361.8272,632.704656.7073,357.1665,473.253950.28932.2771,945.7173.001975.4882,773.4081,912.3171,291.16
Kasstroom uit Operationele Activiteiten 12,522.415-7,857.36531,167.96219,474.08225,156.42417,119.18218,531.19320,642.75422,566.96820,828.87413,722.5757,352.35714,418.0765,000.217,297.1732,970.30412,662.94
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -7,348.924-17,097.304-25,764.726-27,068.884-11,046.475-12,135.297-7,931.242-14,961.9-7,040.805-13,741.752-11,976.525-6,603.19-9,668.295-4,657.613-2,230.125-6,219.736-2,391.322
Netto Overnames -83.029579.864236.289-72,466.78501,966.7961,362.028-92.233-675.745-285.469919.10674.29-737.176171.78-3,097.483-3,008.0112.273
Aankoop van Beleggingen -1,676.881-925.719-1,881.996-3,772.16-11,704.409-3,057.251-4,244.987-4,678.038-6,557.559-4,648.514-2,418.053-304.26-6,482.526-1,850.614-6,790.057-3,826.793-9,007.985
Verkoop/verval van Beleggingen 1.8061,863.7919,008.10610,363.7384,122.1533,20011.2091,415.4061,796.997191.01136,001.813,624.3154,091.5786,579.1377,517.3127,112.215
Overige Investeringsactiviteiten 753.87-174.586763.728393.137-3,060-285.75132.71520.759-66.56450.103547.50212.588-55,976.481-4,922.864-3.251-253.35-827.951
Kasstroom uit Investeringsactiviteiten -8,353.159-15,753.954-17,638.599-92,550.954-21,688.731-10,311.501-10,670.278-18,296.006-12,543.676-18,434.62-12,924.97-818.772-59,240.163-7,167.733-5,541.779-5,790.577-5,102.77
Financieringsactiviteiten:
Schuldaflossingen -54,584.284-30,709.475-21,570.963-16,956.433-5,943.003-5,152.093-15,349.283-35,813.05-25,541.518-42,384.72-8,135.22-10,790.42-9,591.1-159.55-28-50-5,164.6
Uitgifte van Gewone Aandelen 538.650082,584.8017,319.277000000304.9500000
Terugkoop van Gewone Aandelen 54,969.97500-499.309-52000000011,16400000
Uitgekeerde Dividenden -3,235.678-3,493.213-2,029.796-2,495.322-2,394.084-2,241.006-2,466.784-2,312.528-1,949.6-1,868.391-1,760.109-2,214.054-1,630.795-960-1,000-1,120-1,200
Overige Financieringsactiviteiten -369.39340,302.75315,653.45-234.4270.643,709.92811,068.17642,780.0822,348.4447,630.487,726.707-13.21649,941.24.3155632,3702,045
Kasstroom uit Financieringsactiviteiten -2,680.7316,100.065-7,947.30962,593.942-1,537.17-3,683.171-6,747.8924,654.502-5,142.6783,377.369-2,168.623-1,548.7438,719.305-1,115.235-4651,200-4,319.6
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -241.254499.29462.359-36.5340-29.0264.71-2.64300-8.234-1.00810,285.87500-0.0010
Netto Kasstroomverandering 1,247.272-17,011.965,644.413-10,519.4641,930.5243,095.4841,117.7336,998.6074,880.6145,771.623-1,379.2514,983.8374,183.093-3,282.7581,290.394-1,620.2743,240.57
Kaspositie aan het Einde van de Periode 13,367.35812,120.08629,132.04623,487.63334,007.09732,076.57428,981.08927,863.35720,864.7515,984.13610,212.51311,591.7645,476.4751,293.3824,576.143,285.7464,906.02