OCI Company Ltd.

KRX:010060.KS

61000 (KRW) • At close November 8, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 461,097.852877,756.345652,075.833-251,164.047-807,386.477103,818.814232,640.722219,407.537182,068.54442,334.7-287,777.26212,709.19864,738.303649,939.273427,622.311330,304.422160,688.693
Afschrijvingen & Amortisatie 96,305.184149,849.629136,054.539138,655.788310,968.535302,601.381305,146.067305,862.339363,909.558526,190.22528,337.644543,812.455456,113.405331,598.566248,995.511152,563.347124,144.005
Uitgestelde Inkomstenbelasting 000000000-179,541.911-134,578.751-92,829.185000127,411.6450
Aandelen Gebaseerde Vergoedingen 000000000-1,134.986-2,256.9531,639.465000869.2490
Verandering in Werkkapitaal -38,614.343-557,787.507-401,577.778-169,456.236-169,003.028-174,657.491-48,884.81917,561.129-324,161.977-293,608.555-168,818.474-555,587.462-19,721.687-31,011.353-107,951.906861,152.49669,804.765
Vorderingen -80,406.814-244,581.848-189,920.97157,279.539-23,327.09884,255.6595,782.4493,830.914-109,370.11100000000
Voorraden -124,969.969-284,938.818-177,631.919136,881.06228,925.583-225,496.9566,960.059163,259.212-87,364.759-112,139.762124,984.992-111,903.906-139,319.867-12,590.68613,901.079-89,588.404-42,261.68
Crediteuren 92,676.71874,380.19976,350.368-38,585.575-36,039.4215,675.827-161.32216,626.02425,779.98200000000
Overig Werkkapitaal 74,085.722-102,647.04-110,375.256-325,031.262-138,562.09250,839.459-115,844.878-145,698.083-236,797.218-181,468.793-293,803.466-443,683.556119,598.18-18,420.667-121,852.985950,740.9112,066.445
Overige Niet-Contante Posten 154,972.78996,831.396-8,862.012163,457.065625,550.725444,750.454-8,624.819-135,197.421-201,313.17376,883.52593,233.682145,598.23672,846.19661,163.6799,276.6793,935.81816,412.062
Kasstroom uit Operationele Activiteiten 673,761.482566,649.863377,690.582-118,507.43-39,870.245676,513.158480,277.151407,633.58420,502.952171,122.99328,139.88655,342.6991,373,976.2171,011,690.156667,942.5951,476,236.977371,049.525
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -158,470.07-234,021.865-97,128.892-76,023.111-236,817.569-281,616.549-118,729.232-444,132.998-884,420.141-703,004.774-424,048.032-750,993.323-1,651,181.349-826,431.286-1,010,256.368-1,044,399.085-488,675.524
Netto Overnames 1,548.078-157,152.813-17,848.607-14,700-8,325.931-25010,947.7409,321.116686,676.881138,258.63520,231.71513,610.036-4,409.0429,723.289132,598.551-78,650.386-7,074.203
Aankoop van Beleggingen -1,063,586.432-355,981.495-486,313.868-379,080.831-277,746.151-602,828.06-128,121.158-172,139.493-77,526.923-302,385.192-1,372,147.867-833,326.868-1,429,590.804-875,024.041-596,855.61-623,378.517-45,211.349
Verkoop/verval van Beleggingen 684,174.83678,580.536309,944.444446,114.525239,861.821461,044.087179,128.5363,826.49162,724.832475,800.7241,511,899.721964,089.6941,173,164.3745,611.5151,083,556.39670,215.9187,203.23
Overige Investeringsactiviteiten 949.66210,785.6327,784.09429,900.69111,498.71924,773.109472,513.2493,827.0615,478.28148,251.50111,792.9565,612.7151,388.42-2,583.30441,886.43912,053.40612,001.152
Kasstroom uit Investeringsactiviteiten -535,383.932-57,790.005-283,562.8296,211.274-271,529.111-398,877.413415,739.089-139,297.824-197,067.07-343,079.106-252,271.507-601,007.746-1,910,628.475-948,703.827-349,070.592-1,664,158.664-521,756.694
Financieringsactiviteiten:
Schuldaflossingen -190,658-790,860.509-662,348.659-582,756.546-1,078,584.6-1,035,472.537-1,294,469.476-846,745.478-1,159,219.94-850,600.903-330,394.764-483,537.755-228,318.173-609,666.592-1,329,067.439-773,279.307-868,757.906
Uitgifte van Gewone Aandelen -5,076.9140809,738.754667,252.0290005,152.3436,615.217092,804.05720,325.314779,583.43825,395.00790,399.62332,849.690
Terugkoop van Gewone Aandelen -3,483.66-28,272-12,985.839-7,007.798000449,812.831,360,773.1180509,410.3341,194,500.477-83,241.601564,873.651,060,288.949-97,154.4060
Uitgekeerde Dividenden -59,990.452-48,613.877-0.066-683.504-20,304.346-46,501.275-9,544.734-4,968.188-58,392.922-59,157.057-106,112.556-95,978.155-105,963.631-71,418.691-67,962.931-34,951.054-25,075.937
Overige Financieringsactiviteiten 81,530.072892,532.1452,298.19100.51,141,546.008621,817.4221,008,936.366-7,195.244-11,517.761,245,822.775-34,651.798-21,831.119143,169.378-9,150.853-146,209.211,456,496.8091,051,444.534
Kasstroom uit Financieringsactiviteiten -177,678.95424,785.759136,702.3876,904.68142,657.062-460,156.39-295,077.844-403,943.74168,257.713336,064.815131,055.273613,478.762505,229.411-99,967.479-392,551.008583,961.732157,610.691
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 351.39613,652.19424,314.612-8,609.7212,023.49712,819.152-25,572.4422,371.7638,375.1092,127.722-1,252.54-11,713.328360.565-993.093-3,195.89913,131.796984.12
Netto Kasstroomverandering -32,170.367547,297.811255,144.745-44,001.195-256,718.797-169,701.493575,365.954-138,221.971-41,370.299166,236.424-94,328.88856,100.387-31,062.282-37,974.243-81,991.756410,666.1097,887.642
Kaspositie aan het Einde van de Periode 1,213,823.5791,245,993.946698,696.135443,551.39487,552.585744,271.382913,972.875338,606.921476,828.892518,199.191351,962.767446,291.655390,191.268385,340.212423,314.455505,306.21194,640.102