Daiyang Metal Co., Ltd.

KRX:009190.KS

1616 (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 -19,440.9369,266.19215,243.418-651.4163,471.5735,565.6999,876.0114,633.576-17,855.155-18,097.262-10,008.188-71,375.108-64,301.573-132.706-24,751.522-38,096.1826,153.865
Afschrijvingen & Amortisatie 3,697.6394,721.0513,345.3643,174.0963,552.4053,434.2943,921.6014,195.6254,334.3694,475.8795,118.7815,149.7065,010.8787,121.6154,115.6653,258.2144,237.133
Uitgestelde Inkomstenbelasting 00721.5422,922.8630000000000000
Aandelen Gebaseerde Vergoedingen 0103.626450.278346.6530000000000000
Verandering in Werkkapitaal 15,418.268-8,886.086-26,240.7612,977.732-5,492.137-2,991.6324,226.098-4,106.304-7,726.828-7,584.9713,313.38926,125.41217,689.449-13,509.91948,425.439-26,789.708-48,825.319
Vorderingen 5,366.1945,913.096-18,372.416-1,918.147-3,763.394995.3655,425.116-858.4731,962.0400000000
Voorraden 12,043.108-8,931.707-5,311.266-4,354.3594,855.953-209.523999.66-3,563.8792,648.97-2,168.612-4,578.03928,648.45417,838.401-3,670.16126,598.552-30,117.822-39,239.891
Crediteuren 3,531.039-9,702.6714,714.4648,562.838-274.885-1,099.7152.098-264.835-11,813.22900000000
Overig Werkkapitaal -5,522.0733,835.196-7,271.543687.4-6,309.811-2,782.1093,226.438-542.425-10,375.798-5,416.3597,891.428-2,523.041-148.952-9,839.75821,826.8873,328.114-9,585.428
Overige Niet-Contante Posten 15,557.8417,922.121,128.112436.0111,810.2922,953.2284,960.8063,138.99612,132.68412,520.3688,622.18750,924.37149,732.263-1,100.944575.237-147.87210,350.669
Kasstroom uit Operationele Activiteiten 15,232.81213,126.903-5,352.0479,205.9393,342.1338,961.58922,984.5167,861.893-9,114.929-8,685.9867,046.16910,824.3828,131.017-7,621.95428,364.819-61,775.548-28,083.652
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -7,514.344-14,625.252-5,808.212-4,843.752-1,256.509-1,470.913-1,275.774-1,164.159-1,782.751-2,163.184-773.775-2,207.032-5,004.824-22,676.093-42,128.645-23,565.124-32,351.249
Netto Overnames 31,618.634-119,576.6911,710.775147.624.3582.31838.191215431.60701,412.775189.63211,886.15982.6086,161.876809.002784.64
Aankoop van Beleggingen -53,469.491-36,107.538-29,633.768-9,792.9160000-267.037-52.583-107-13,485.2-15,335-52,142.769-30,035.343-5,160.52-8,257.53
Verkoop/verval van Beleggingen 70,209.64575,945.92526,282.6454,522.88300.14366.178360.7990032029,593.98213,71042,004.78245,082.88414,015.66411,663.98
Overige Investeringsactiviteiten 9,420.89-18,195.999-3,644.133-5,713.265-1.95109.318104.191224353.60766.3164,499.5255,124.8365,759.48811,123.4291,277.91927,532.74100.001
Kasstroom uit Investeringsactiviteiten 50,265.333-112,559.555-11,092.692-15,679.45-1,234.109-1,361.453-1,105.405-579.36-1,696.182-2,149.4515,351.52519,216.21811,015.814-20,708.043-19,641.30913,631.762-28,060.158
Financieringsactiviteiten:
Schuldaflossingen -85,488.2-34,416.811-16,885.562-4,316.824-217.144-7,920.727-15,505.084-6,075.406-35.335-20,417.178-8,772.927-93,802.436-33,017.829-18,487.33-64,184.148-29,724.788-1,308.502
Uitgifte van Gewone Aandelen 0448.71109,974.8180000003,471.7631,597.77824.32125,436.82923,392.55502,455.423
Terugkoop van Gewone Aandelen 00000000-19.82900-2.32200-1,563.151-4,977.64948,527.754
Uitgekeerde Dividenden -3,810.3560000000000-61,480.223000-2,522.212-2,734.074
Overige Financieringsactiviteiten 19,281.175132,507.17833,261.5739,607.42-3,575.99-314.603-1,597.32-1,918.29513,770.56727,671.857-4,028.028122,760.44510,486.64823,650.94331,675.38279,598.0060.001
Kasstroom uit Financieringsactiviteiten -70,017.38198,539.07816,376.01115,265.415-3,793.134-8,235.329-17,102.404-7,993.70213,715.4027,254.679-9,329.192-30,926.757-22,506.85930,600.442-10,679.36242,373.35746,940.602
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -212.02522.5332.59-369.81-226.2370.378-59.65431.2970-00-11.934-5.7580898.73138.11522.745
Netto Kasstroomverandering -4,731.255-371.04-66.1388,422.093-1,911.346-634.8154,717.053-679.8722,904.291-3,580.7583,068.502-898.091-3,365.7862,270.445-1,057.1222,325.647-9,180.463
Kaspositie aan het Einde van de Periode 8,732.05413,463.30913,834.34913,900.4865,478.3937,389.748,024.5553,307.5023,987.3741,083.0834,663.8411,595.3392,493.4318,099.6115,829.1666,886.2884,560.641