UNID Company Ltd.

KRX:014830.KS

65600 (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 16,264.874126,750.419182,423.11676,818.31967,465.57635,973.64641,086.40848,473.43270,874.80945,705.26335,924.2884,494.51866,262.87171,431.60435,196.73363,409.88627,126.128
Afschrijvingen & Amortisatie 48,757.00154,427.09652,698.80453,103.1151,821.97247,499.77137,497.39938,263.18437,403.06932,489.4433,257.13529,660.26819,938.82615,892.04615,159.78212,815.03811,488.196
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal 258,507.739-298,251.235-85,066.48432,473.054-34,665.066-43,662.197-102,477.41102,847.56-79,494.298-13,239.74-20,221.62446,841.925-106,738.393-9,364.67143,327.967-85,041.078-14,075.767
Vorderingen 91,888.449-157,854-13,517.806-21,851.18940,094.73852,516.307-22,477.72922,669.738000000000
Voorraden 157,267.113-172,832.832-58,739.2138,814.105-29,544.26-21,280.669-13,462.26642,759.333-17,933.349-1,730.94316,430.98537,828.482-82,865.3716,044.28464,505.425-91,074.9442,272.506
Crediteuren 1,633.97555,489.73424,604.14715,853.773-50,933.379-73,769.918-28,123.5347,207.228000000000
Overig Werkkapitaal 7,718.202-23,054.137-37,413.615-343.6355,717.835-22,381.528-89,015.14460,088.227-61,560.949-11,508.797-36,652.6099,013.443-23,873.022-15,408.955-21,177.4586,033.866-16,348.273
Overige Niet-Contante Posten 11,178.207-11,015.238-28,286.129-4,498.009-12,138.4215,139.5494,902.448-6,667.688-32,333.584-2,365.8563,554.77417,724.048-14,667.709-2,871.295-5,340.838,989.198311.007
Kasstroom uit Operationele Activiteiten 334,707.821-128,088.959121,769.308157,896.47472,484.06254,950.769-18,991.155182,916.488-3,550.00462,589.10752,514.57398,720.76-35,204.40575,087.68488,343.652173.04424,849.564
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -107,506.608-84,042.648-65,130.209-40,184.562-46,595.346-73,302.35-100,642.817-140,616.044-26,264.962-28,338.361-15,538.727-64,685.83-204,128.185-26,019.363-13,170.782-41,530.112-12,538.206
Netto Overnames 20,366.031-48,000-2,000-2,598.08-879.05498.15913,039.794336.37430,068.89611,370.7912,064.091579.662-646.211,533.733-5,809.02-2,272.08398.102
Aankoop van Beleggingen -55,779.88-104,718.786-75,926.761-12,179.94-20,640.48-38,222.386-83,161.146-26,627.633-128,228.54-292,748.636-103,816.364-168,185.441-139,949.868-128,269.462-19,056.945-40,901.37-55,091.13
Verkoop/verval van Beleggingen 52,832.624193,009.92550,800.8033,257.0512,008.30353,605.51680,690.61455,115.054147,288.438292,659.211142,850.146156,682.393158,805.91896,392.68519,677.4116,487.23655,151.602
Overige Investeringsactiviteiten 429.89225,159.97648,979.62349,181.33741,069.299,512.069149.14415,493.5372,596.5173,115.0992,241.5947,030.5361,678.497-362.217-618.093352.372-457.5
Kasstroom uit Investeringsactiviteiten -89,657.94-18,591.533-43,276.543-2,524.195-15,037.288-48,308.992-89,924.411-96,298.71125,460.349-13,941.89527,800.74-68,578.679-184,239.847-56,724.624-18,977.43-67,863.954-12,537.132
Financieringsactiviteiten:
Schuldaflossingen -217,182-448,029.663-266,164.569-367,949.664-104,078.222-93,876.985-19,392.756-123,520.045-56,736.096-463,574.869-371,661.132-393,268.847-382,319.289-213,800.813-372,569.992-188,057.811-105,879.956
Uitgifte van Gewone Aandelen 0000044.700003,772.09208,146.210000
Terugkoop van Gewone Aandelen 0-800.4080-4,956.4340000-47.6880395,861.084-2,857.148603,858.4450000
Uitgekeerde Dividenden -13,277.858-14,844.133-12,224.58-10,667.812-9,778.827-9,777.886-9,777.886-9,778.827-7,243.576-6,585.069-4,880.452-4,938.802-7,243.576-6,585.069-6,585.069-4,938.802-4,938.802
Overige Financieringsactiviteiten -2,276.706596,092.359247,288.608285,711.17421,673.54279,780.914106,739.42390,668.65327,175.163382,950.1716,402.407323,092.409-0204,839.272298,973.666306,558.023102,640.369
Kasstroom uit Financieringsactiviteiten -232,736.564132,418.155-31,100.542-97,862.736-92,183.506-23,829.25777,568.781-42,630.219-36,852.197-87,209.76629,494-77,972.387222,441.789-15,546.61-80,181.395113,561.41-8,178.389
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -1,723.281-2,601.216,575.931-529.6021,505.878286.842-4,326.7592,357.6221,366.509-155.914-327.848-654.9371,106.32721.641693.0084,215.323277.711
Netto Kasstroomverandering 10,590.036-16,863.54653,968.15456,979.94-33,230.854-16,900.637-35,673.54446,345.179-13,575.343-38,718.469109,481.465-48,485.2444,103.8642,838.091-10,122.16650,085.8234,411.754
Kaspositie aan het Einde van de Periode 146,034.02135,443.983152,307.5398,339.37641,359.43674,590.2991,490.927127,164.47180,819.29294,394.635133,113.10423,631.63972,116.88366,472.46863,634.37773,756.54323,670.72