DB Inc.

KRX:012030.KS

1510 (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 20,275.7455,713.04821,705.0646,271.0864,404.486-3,975.42-776.258-20,712.77913,186.937-124,525.731-63,801.9672,952.3944,798.46713,087.9121,310.90716,793.8495,565.723
Afschrijvingen & Amortisatie 6,648.0916,591.6557,278.2538,003.12315,586.9149,374.4521,944.2212,118.0323,588.2536,092.2655,245.5274,665.4553,455.1693,080.9443,242.3553,258.1413,175.835
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal 2,645.292-3,306.372-12,313.695-13,587.0631,995.626-3,198.2643,809.409-4,845.675-10,938.6127,153.1855,884.441-42,815.948-9,579.588-45,006.5112,334.516-15,593.29583.926
Vorderingen -27,608.816-17,948.4336,388.114-20,507.775-393.267,601.949926.8757,711.9027,286.5900000000
Voorraden 4,196.015-2,290.948-2,007.3435,828.3471,094.004-2,912.9823,884.523-2,992.1822,458.0113,656.0551,268.805-1,878.027,127.914,196.842-2,884.763-15,905.834-2,281.498
Crediteuren 20,839.53414,442.021-6,307.4038,951.164-803.968-5,740.462-1,051.592-8,586.836-15,183.28600000000
Overig Werkkapitaal 5,218.562,490.988-10,387.063-7,858.7992,098.851-285.282-75.114-1,853.494-13,396.62123,497.134,615.636-40,937.927-16,707.499-49,203.3535,219.279312.5442,865.424
Overige Niet-Contante Posten 22,875.96418,106.6311,917.90317,507.0419,018.1894,556.1042,982.21537,790.621-18,913.081118,770.9262,771.469991.271-2,766.676-20,695.4473,014.474-6,096.1591,003.917
Kasstroom uit Operationele Activiteiten 52,445.09327,104.96218,587.52518,194.18731,005.2156,756.8737,959.58714,350.199-13,076.50227,490.6410,099.47-34,206.828-4,092.628-49,533.1029,902.252-1,637.45910,329.401
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3,191.209-1,022.797-1,085.739-1,076.664-1,263.432-916.705-1,132.79-2,117.044-2,954.299-4,587.236-5,751.042-4,548.286-12,051.002-2,888.15-2,223.442-2,044.6-2,593.664
Netto Overnames 260.5774.818-11,190.9521,382.747-458.797-98,088.536-208.266-36.52752,037.92262,919.132-6,979.257-11,451.927-3,609.975-40,362.832-72,000-7,570.24319.189
Aankoop van Beleggingen -6,235.251-7,364.34-20,002.248-28,787.798-14,929.333-10,764.876-6,144.43-45,977.556-1,979.516-1,972.679-39,162.24-700.36-43,344.079-760.181-17,121.368-68,329.063-12,843.769
Verkoop/verval van Beleggingen 8,164.3768,80030,680.26318,620.897,239.65219,141.0929,055.07420,849.8681,732.9131.2826,320.8140,812.63917,108.79412,501.2396,539.25929,969.4879,363.22
Overige Investeringsactiviteiten 38.083-660.442548.051880.156659.4395,817.769185.61734,170.19755,774.81245,549.44129.757840.74522.884449.221,223.042801.181-291.458
Kasstroom uit Investeringsactiviteiten -963.424-242.761-1,050.625-8,980.67-8,752.471-84,811.2561,755.2056,888.938104,611.832101,909.938-25,441.97224,952.811-41,873.379-31,060.704-83,582.509-47,173.238-6,346.482
Financieringsactiviteiten:
Schuldaflossingen -136,984-16,720-68,893.183-13,719.034-25,063.687-5,455.92-12,713.849-21,316.671-202,599.386-426,056.309-225,282.922-118,791.945-148,309.8-123,566.049-82,980.906-26,282.897-2,100.966
Uitgifte van Gewone Aandelen 0000000000053,681.29100000
Terugkoop van Gewone Aandelen 0000000000085,064.95300000
Uitgekeerde Dividenden 0000000000-1,719.829-1,213.797-2,832.192-1,979.998-990-1,980-1,979.992
Overige Financieringsactiviteiten 269,877.846-683.77949,490.449-1,340.961-772.67698,245.3044,368.1552,713.849116,198.484301,503.116231,619.35130.86191,219.111194,567.524141,439.63594,603.592-5.368
Kasstroom uit Financieringsactiviteiten 132,893.846-17,403.779-19,402.734-15,059.994-25,836.36392,789.384-8,345.695-18,602.822-86,400.902-124,553.1934,616.59918,871.36340,077.11969,021.47757,468.72966,340.695-4,086.326
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -157.165-138.1951.939012.63158.924-48.32194.38826.784-46.255-123.907245.346145.82318,793.71800-0.001
Netto Kasstroomverandering 184,218.359,320.232-1,813.895-5,846.476-3,570.9914,893.9241,320.7772,830.7045,161.213552.674-10,849.8119,862.692-5,743.0647,221.389-16,211.52817,529.998-103.408
Kaspositie aan het Einde van de Periode 210,248.15926,029.80916,709.57718,523.47224,369.94827,940.93813,047.01411,726.2368,895.5333,734.323,181.64614,031.4574,168.7659,650.0542,428.66518,640.1931,110.195