Hanwha Solutions Corporation

KRX:009830.KS

17500 (KRW) • At close November 14, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst -199,680.47569,238.864855,338.283398,407.651-217,444.963288,333.1271,065,852.886886,381.726228,379.66950,907.231-43,337.876-58,209.518281,083.198414,605.709354,027.64252,422.489208,382.243
Afschrijvingen & Amortisatie 671,778.293675,485.773648,702.324595,341.468561,182.454440,053.285435,530.828445,287.988452,138.929422,188.379389,702.479353,350294,661.821246,528.767196,529.882188,352.375189,342.259
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal -498,818.24-1,626,469.383-191,216.246-129,088.179285,431.05-146,802.335-197,612.655-121,570.379354,303.095-201,752.253-44,011.753-67,928.499130,745.825-38,647.781345,770.752-184,046.112243,374.012
Vorderingen -739,408.175-470,094.081-57,492.588182,317.951209,996.891669,676.28-56,469.355141,567.702-482,798.500000000
Voorraden -174,852.397-35,441.471-691,583.516-26,229.238,083.697-171,032.953233,372.42165,741.46370,050.494-200,326.216-3,214.186-149,270.19876,993.888-157,527.186133,529.153-97,398.32833,007.828
Crediteuren 289,601.987-812,020.343506,564.10711,806.997371.837-550,432.702131,722.96472,205.255,576.91800000000
Overig Werkkapitaal 125,840.345-308,913.48851,295.751-296,983.92736,978.62524,230.618-430,985.075-287,311.842284,252.601-1,426.037-40,797.56781,341.69953,751.937118,879.405212,241.599-86,647.784210,366.184
Overige Niet-Contante Posten 337,708.571497,461.469-321,933.677204,880.747576,949.139145,120.163-387,539.196-59,095.724174,469.30291,125.038101,986.86152,133.97192,736.639-67,565.31215,610.946398,214.494-54,462.899
Kasstroom uit Operationele Activiteiten 310,988.154115,716.723990,890.6841,069,541.6871,206,117.68726,704.24916,231.8631,151,003.6111,209,290.995362,468.395404,339.711279,345.954799,227.483554,921.383911,939.222454,943.246586,635.615
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,411,092.53-941,986.07-822,683.927-892,034.097-1,175,056.245-739,533.494-504,439.746-631,226.63-766,706.223-474,242.643-676,412.174-827,269.87-864,433.887-842,335.412-387,672.427-651,233.775-720,121.785
Netto Overnames -8,383.17-542,872.99-1,542,035.723-77,455.213-69,706.506-369,343.662-175,823.013-310,767.576-230,287.153234,861.311-3,791.975-138,508.349-94,385.036127,612.28-309,770.076-273,738.995-145,568.308
Aankoop van Beleggingen -317,856.182-369,466.325-328,144.096-711,043.294-630,935.085-1,506,199.685-541,860.209-441,286.103-250,110.398-633,456.597-436,825.247-9,236.117-321,599.928-111,823.834-76,934.515-275,325.652-78,700.051
Verkoop/verval van Beleggingen 236,917.32233,304.931124,710.925976,304.371541,675.3041,506,591.92451,620.599553,665.05592,188.679494,551.983548,501.115168,001.974168,856.08178,772.13890,922.704289,192.95264,629.479
Overige Investeringsactiviteiten -397,237.588144,439.998913,200.918661,491.679223,367.375673,840.318367,317.392369,518.91202,353.39593,245.913308,590.788108,773.347447,726.92729,297.567-6,100.925-307,919.777-18,016.13
Kasstroom uit Investeringsactiviteiten -2,897,652.149-1,476,580.457-1,654,951.904-42,736.555-1,110,655.157-434,644.603-403,184.978-460,096.345-952,561.7-285,040.033-259,937.493-698,239.015-663,835.844-718,477.261-689,555.239-1,219,025.247-897,776.795
Financieringsactiviteiten:
Schuldaflossingen 2,052,402.631,303,832.128-160,691.098-629,297.381341,326.263174,423.157-453,403.119-80,402.32744,432.896-554,839.6449,254.984460,928.177545,209.189631,362.96-342,800.908752,108.036352,760.03
Uitgifte van Gewone Aandelen 49,305.806232.8361,338,667.43000000341,121.06510,073.12710,847006.229346,837.3310
Terugkoop van Gewone Aandelen -9,741.796-90,875.536-13,772.289-28,997.746-37,157.700-242.31000000000
Uitgekeerde Dividenden 000-32,576.792-32,903.013-57,538.133-57,538.133-24,515.683-24,515.683-22,929.324-38,140.963-64,852.883-84,180.049-64,686.566-50,254.749-49,977.497-53,603.979
Overige Financieringsactiviteiten -483,255.7521,109,116.944-1,426,566.924-195,966.09-313,882.963-186,470.05-174,699.296-213,070.63-173,960.646-216,723.283-231,050.016-228,035.625-167,645.4521,221.511-10,293.167-6,440.654-3,337.917
Kasstroom uit Financieringsactiviteiten 1,914,182.0682,322,306.3721,076,304.549-886,838.009-42,617.413-69,585.025-685,640.548-318,230.949-154,043.433-451,709.091190,137.132178,886.668293,383.688567,897.905-403,342.5951,042,527.216295,818.134
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 14,368.3033,195.3639,450.179-24,646.6487,549.769-3,336.257-34,736.649-5,148.645-7,293.3243,192.066-8,372.417-14,401.893-38,361.922-143,439.009-46,914.828-504.22124,082.58
Netto Kasstroomverandering -658,113.625964,637.999451,693.507115,320.47560,394.88219,138.355-207,330.311367,527.67295,392.539-371,088.664326,166.934-254,408.286390,413.406260,903.018-227,873.44277,940.9948,759.534
Kaspositie aan het Einde van de Periode 1,958,054.6732,616,168.2971,651,530.2981,199,836.7911,084,516.3161,024,121.436804,983.0811,012,313.393644,785.721549,393.182920,481.846594,314.912848,723.199446,690.966185,787.948413,661.388135,720.394