Youngwire Co., Ltd.

KRX:012160.KS

457 (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 -6,401.439-2,856.6249,975.217-22,749.9461,463.542-5,902.008-5,644.72244.8545,897.5944,196.8087,509.8644,829.90112,378.4866,207.086,102.69112,778.1277,467.268
Afschrijvingen & Amortisatie 16,392.69618,190.17319,017.69513,835.6979,675.1119,206.0249,149.3538,683.9728,983.3727,737.026,034.7593,978.5923,395.2242,520.8662,391.9442,427.2841,841.184
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal 18,330.938-22,456.301-30,647.0711,676.887-22,586.857-2,937.735-12,934.7326,762.909-9,051.552245.0146,101.706-2,566.212-6,232.7-9,964.82810,177.248-12,824.819-3,302.515
Vorderingen 5,553.506-9,335.467-11,826.75714,544.307-7,593.177-442.622-4,747.0411,774.665225.59100000000
Voorraden 9,251.661-5,982.435-40,927.151-102.934-4,827.023240.097-9,206.6585,256.679-478.085-1,910.962-2,982.3123,873.633-5,935.697-7,207.77711,148.08-11,806.169-2,543.063
Crediteuren 4,702.873-7,914.83620,928.46-13,746.8461,045.101-1,736.0724,452.832,333.861-6,688.13900000000
Overig Werkkapitaal -1,177.102776.4371,178.377982.36-11,211.758-3,177.832-3,728.0741,506.23-8,573.4672,155.9769,084.018-6,439.845-297.003-2,757.051-970.832-1,018.65-759.452
Overige Niet-Contante Posten -3,743.6354,265.017-9,084.016-933.3962,765.8777,549.117,459.601-6,044.523-776.161-3,093.9693,055.822305.463-55.566249.637-242.829-2,729.01-1,035.23
Kasstroom uit Operationele Activiteiten 24,578.56-2,857.735-10,738.175-8,170.758-8,682.3277,915.391-1,970.59,447.2125,053.2539,084.87322,702.1516,547.7449,485.444-987.24518,429.054-348.4184,970.707
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -10,287.147-6,989.427-12,243.143-17,785.396-7,023.103-6,100.632-5,413.939-9,401.784-4,599.863-28,399.17-33,004.996-14,026.954-8,714.077-2,945.159-903.52-3,286.723-2,548.578
Netto Overnames 13,311.532-2,267.125-19,131.396-8,762.011101.3891,120.726802.9411,589.181233.619-14,205.7694,261.123-2,871.897-23,868.8631,148.89611.9200
Aankoop van Beleggingen -1,656.249-342-729.67-10-4,011.578446.3010-8.5-90.195-270.016-1,758.53-10,704.847-7,050.974-21,497.156-1,5000-33.85
Verkoop/verval van Beleggingen 1,913.91702,504.417381.4740.57922.31,038.813265.9891,404.8971,157.84516,475.8898,050.80818,997.156200
Overige Investeringsactiviteiten 12,260.666-9,173.881-21.33321,738.0491,475.159-1,396.49-750.783-159.4535,551.51912,292.2210,515.496-6,512.03661.857-1,021.0321,955.8625,157.922162.728
Kasstroom uit Investeringsactiviteiten 15,542.719-18,772.433-29,621.124-4,437.888-9,417.555-5,928.095-6,162.421-6,941.7411,361.069-29,177.839-18,829.062-17,639.845-31,521.249-5,317.295-433.7381,871.199-2,419.7
Financieringsactiviteiten:
Schuldaflossingen -42,841.9-229,395.242-228,903.804-133,039.415-120,777.3-105,562.734-139,275.692-145,040.767-72,348.688-65,661.054-119,430.11-49,105.341-21,192.8870-2,612.217-4,728.242-1,184.969
Uitgifte van Gewone Aandelen 00.007280,623.463005,569.7370149,649.02401,776117,108.463032,608.28113,034.077000
Terugkoop van Gewone Aandelen 0-15.392-6,3250000-252.693086,046.543-8,542.4830-992.8150000
Uitgekeerde Dividenden 00-1,218.51-1,620.539-540.18-504.024-1,512.072-2,524.117-2,524.117-2,484.117-1,128.466-2,774.462-2,248.69-1,798.951-2,023.8200
Overige Financieringsactiviteiten -2,126.882256,252.649468.842149,486.003135,789.375104,681.069142,833.832-55.8968,198.15836.2977,977.70857,059.303-739.7120-8.6025,386.0490
Kasstroom uit Financieringsactiviteiten -45,614.91626,842.02244,644.99114,826.04814,471.8954,184.0482,046.0691,775.558-6,674.64719,713.669-4,014.8885,179.5017,434.17811,235.126-4,644.639657.807-1,184.969
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -86.861-45.698373.488-261.07345.125-7.488-114.53363.79539.5228.67-49.89-45.3223.8476.334000
Netto Kasstroomverandering -6,614.455,166.1564,659.181,956.329-3,582.8626,163.856-6,201.3864,344.824-220.806-350.627-191.688-5,957.921-14,577.7814,936.9213,350.6772,180.5881,366.038
Kaspositie aan het Einde van de Periode 10,693.64617,308.09612,141.947,482.7615,526.4319,109.2932,945.4389,146.8244,8025,022.8065,373.4324,907.00510,864.92625,442.70720,104.1346,753.4574,572.869