Samsung Electro-Mechanics Co., Ltd.

KRX:009150.KS

111000 (KRW) • At close November 12, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 430,838.506993,519.182915,432.453623,811.178528,048.551685,018.514177,255.99422,914.35920,643.329508,911.818345,692.36452,006.135392,381.738666,715.74318,568.7554,095.776123,514.064
Afschrijvingen & Amortisatie 836,669.01878,798.867866,427.71841,177.391870,026.84736,417.509630,607.55608,322.829494,115.233660,240.104619,255.836518,857.219663,635.461519,319.744377,227.456340,772.787316,090.813
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal -300,732.368-431,919.25-624,406.747-51,451.119-319,076.118-369,782.711-265,267.535-48,207.657161,309.904-343,681.327-179,598.6336,635.026-674,954.569-322,467.615-143,453.582-108,771.729-62,840.942
Vorderingen -229,200.394144,789.124-196,094.98533,367.201-21,338.9-149,817.93-122,629.237131,155.313209,117.29500000000
Voorraden -282,767.951-230,438.524-475,610.745-284,211.259-260,676.821-275,917.553-76,281.125-173,953.915201,965.41158,833.766-111,288.96368,078.543-262,732.716-273,949.942-42,283.891-23,824.491-139,482.24
Crediteuren 110,548.276-428,316.74129,185.013256,589.07863,519.9381,931.621-99,190.528108,690.692-125,628.53600000000
Overig Werkkapitaal 100,687.70182,046.89-81,886.03-57,196.139-100,580.335-93,865.158-188,986.41125,746.258-40,655.507-402,515.093-68,309.67-61,443.517-412,221.853-48,517.673-101,169.691-84,947.23876,641.298
Overige Niet-Contante Posten 127,733.896134,957.028573,790.69174,539.16-57,729.043507,015.928175,087.59596,614.229-138,951.148-452,827.162119,120.495141,865.68108,007.025101,530.43396,082.51150,703.479105,809.929
Kasstroom uit Operationele Activiteiten 1,094,509.0441,575,355.8271,731,244.1061,588,076.611,021,270.231,558,669.241717,683.604679,643.759537,117.32372,643.433904,470.0581,119,364.059489,069.656965,098.302648,425.134436,800.313482,573.864
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,256,852.051-1,345,100.097-875,116.152-783,192.116-1,573,922.332-1,207,738.181-1,544,136.705-1,059,022.86-1,205,575.198-880,828.153-984,172.66-917,710.978-1,246,003.18-1,158,318.527-773,545.953-428,474.375-420,654.271
Netto Overnames 95,712.70514,372.506-6,574.58329,443.44828,466.91512,548.91529,580.602100,544.9592,998.76120,944.1917,863.414-144,288.449-40,000-17,107.431,752.80432,111.141-139.343
Aankoop van Beleggingen -6,808.842-438,352.375-56,754.248-16,720.904-13,985.716-239,698.062-97,377.3-328,566.762-77,584.07-791,983.313-37,072.112-88,505.679-19,143.494-130,316.103-28,780.579-2,449.489-4,424.734
Verkoop/verval van Beleggingen 112,536.232436,204.81511,628.73614,346.823231,447.38703,229.001311,838.11793,533.312833,727.5461,278,338.069174,776.738391,620.504157,752.92838,145.32540,941.712,334.67418,870.444
Overige Investeringsactiviteiten 29,018.0945,304.26681,760.60423,726.796810,950.64533,568.36767,818.387,169.822225,257.8291,335.20623,741.34257,238.032171,691.09767,241.4428,976.032-7,954.18113,924.038
Kasstroom uit Investeringsactiviteiten -1,026,393.862-1,327,570.885-845,055.643-732,395.953-517,043.108-698,089.961-1,232,276.906-1,186,341.529-221,175.132-372,193.999-814,863.278-701,646.57-975,702.649-1,200,355.263-720,655.986-404,432.23-392,423.866
Financieringsactiviteiten:
Schuldaflossingen 00000000000000000
Uitgifte van Gewone Aandelen 000000729,968.6521,990.025873,010.185402.05452.514,565.3623,555.93715,390.11374,977.3181,495.8911,481.291
Terugkoop van Gewone Aandelen 000000-131.49-9-145,731.7397,345.286538,747.156868,110.072,402,990.693-17,564.28-21,932.3230-22,689.513
Uitgekeerde Dividenden -160,342.145-161,602.887-131,170.767-83,242.156-75,983.779-60,513.599-47,877.329-41,009.848-62,971.452-58,296.276-79,082.437-58,246.006-87,908.728-68,146.079-23,813.026-49,413.761-43,754.748
Overige Financieringsactiviteiten 178,788.252906,560.036204,244.6211,405,855.856577,816.023750,809.01529.607649,874.1290-0833.522-1,271.2622,417.3871,969,933.6261,557,620.80874,333.793509,090.629
Kasstroom uit Financieringsactiviteiten -83,734.893193,059.039-1,180,966.786-209,473.997-619,542.439-235,832.715196,078.004281,298.06130,258.493-21,835.57140,947.038-293,534.584301,299.545-79,672.107684,122.81426,415.923-68,883.661
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 7,742.2083,647.6141,899.74-16,241.358-31,570.364-66,981.424-32,686.059-14,046.7211,031.033-29,071.101-75,600.791-50,943.118100,226.569-78,303.247-15,003.6222,934.526-895.837
Netto Kasstroomverandering -7,877.503444,491.591-252,878.584629,965.302-146,885.681557,765.142-351,201.357-239,446.43347,231.713-50,457.23854,953.027157,627.371-169,494.462-393,232.315753,803.12882,219.34120,370.5
Kaspositie aan het Einde van de Periode 1,669,189.5971,677,067.11,232,575.5081,485,454.092855,488.791,002,374.472444,609.33795,810.6871,035,257.117688,025.403738,482.641683,529.614525,902.243695,396.7051,083,816.429330,013.301247,793.96