Ilsung Construction Co., Ltd.

KRX:013360.KS

1309 (KRW) • At close November 5, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 3,071.6877,417.825,775.8692,863.9911,855.5442,432.978-12,009.242,086.0451,982.93-37,425.418-2,958.545-15,486.7264,031.2174,476.9247,663.4197,726.6796,388.726
Afschrijvingen & Amortisatie 6,795.356,450.0635,982.1514,010.944,828.4321,090.1861,472.4491,540.9481,613.8381,118.456539.157463.694586.951494.3211,173.3882,334.6323,167.302
Uitgestelde Inkomstenbelasting 00000000405.35900000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal 2,205.928-46,232.154-20,210.46214,384.735-47,575.4912,530.555-19,011.34810,623.649-17,654.27314,025.345-22,664.9598,449.023-9,758.213-3,582.526-20,389.121-29,724.1352,923.859
Vorderingen 15,167.689-60,907.403-51,904.84755,444.895-52,956.5513,392.48-32,595.962-7,879.738-20,447.55100000000
Voorraden 343.544-189.782354.6282,053.707441.7771,353.427686.39410,672.44220,244.212-22,164.556-3,151.1-5,574.15928,938.455-7,913.904-438.90611,495.686-12.211
Crediteuren 7,209.854-476.2257,784.153-22,700.0495,233.474-204.39323,689.269,153.713-1,209.12600000000
Overig Werkkapitaal -20,515.15915,341.25623,555.603-20,413.818-294.19211,177.127-19,697.741-48.793-37,898.48536,189.901-19,513.85914,023.183-38,696.6694,331.378-19,950.215-41,219.8212,936.07
Overige Niet-Contante Posten 5,960.9356,796.6221,022.9769,459.9146,095.8515,440.21826,173.3126,829.5372,175.6197,602.3479,044.5346,662.6613,673.508267.281,405.828351.2713,770.203
Kasstroom uit Operationele Activiteiten 18,033.9-25,567.65112,570.53430,719.579-34,795.66421,493.937-3,374.82721,080.179-11,881.887-14,679.27-16,039.81388.652-1,466.5371,655.999-10,146.486-19,311.55316,250.09
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -997.434-5,799.096-688.451-1,380.171-2,187.331-381.305-420.926-653.126-1,063.324-2,176.769-563.382-417.335-363.458-246.12-7,391.708-165.664-937.197
Netto Overnames 1,223.02518,859.499-1,400-4,310.86366.45154.2955,705.4614,515.09715,334.629-65.302-74.274788.215,443.894787.668-16.7634,112.4944,397.179
Aankoop van Beleggingen -2,784.12-667.853-2,028.063-2,411.235-28,613.042-18,451.757-26,806.73-19,290.201-10,501.661-10,200.053-19,324.494-56,475.663-39,163.393-16,623.396-46,899.215-47,845.444-9,866.725
Verkoop/verval van Beleggingen 4,037.68920,065.706571.378323.85135,776.6656,720.49410,829.6277,276.84814,850.5525,371.32412,617.65652,581.39234,508.69524,218.81334,702.25833,027.834756.447
Overige Investeringsactiviteiten -5,405.063-23,198.526-26,265.266-309.522,393.6721,215.6171,038.512-203.855-141.756185.031320.585-1,133.1683,483.788-5,549.8056,814.679-1,527.385-720.484
Kasstroom uit Investeringsactiviteiten -3,925.9029,259.729-29,810.402-8,087.9387,436.414-10,842.656-9,654.055-8,355.23718,478.439-6,885.768-7,023.91-4,656.5643,909.5262,587.16-12,790.749-12,398.165-6,370.78
Financieringsactiviteiten:
Schuldaflossingen -2,374.13-43,164.252-57,514.924-154,480.226-78,300.217-98,598.864-95,557.701-94,109.114-74,775.337-71,544.155-72,785.287-26,590-112,644.972-113,447.217-70,096.981-54,604.907-14,800
Uitgifte van Gewone Aandelen 06,25012,900007,70003,513.7720000115,647.525110,789.66883,283.94101,317.489
Terugkoop van Gewone Aandelen 0-6,250-12,900000000000-74.611-504.541-111.425-165.871-225.423
Uitgekeerde Dividenden -269.622-1,616.221-810.373-810.3730-15.531-1,081.622-15.531-2.964-756.361-804.7-1,027.852-1,280.801-1,553.845-1,558.085-1,567.828-1,258.627
Overige Financieringsactiviteiten -5,290.78938,499.85894,947.364137,547.903101,656.44180,658.52108,507.42478,290.94775,648.39881,531.97790,776.62846,6900-0.0010.00174,010.54512,438.62
Kasstroom uit Financieringsactiviteiten -7,934.54-6,280.61536,622.067-17,742.69623,356.225-10,255.87511,868.102-12,319.927870.0979,231.46217,186.64119,072.1481,647.141-4,715.93611,517.45117,671.939-2,527.941
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1.059-36.563287.544-99.552101.303-16.048-46.563-1.28610.207-20.882.11-0.54100-0.0010.001-0.001
Netto Kasstroomverandering 6,174.517-22,625.119,669.7434,789.393-3,901.722379.357-1,207.344403.7297,476.856-12,354.457-5,874.97114,503.6954,090.13-472.777-11,419.785-14,037.7787,351.368
Kaspositie aan het Einde van de Periode 25,344.50519,169.98841,795.08822,125.34517,335.95221,237.67420,858.31622,065.6621,661.93114,185.07526,539.53232,414.50317,910.80813,677.84214,150.61925,570.40439,608.182