Korea Electric Power Corporation

KRX:015760.KS

25600 (KRW) • At close May 2, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 3,621,968-4,716,144-24,429,108-5,229,2252,092,469-2,263,535-1,174,4981,441,3947,148,32713,416,3732,798,967174,306-3,077,969-3,292,997-19,855-47,732-2,914,0391,467,998.132,122,837.7472,389,327.4722,784,7762,436,477.53,047,950.177
Afschrijvingen & Amortisatie 13,996,67313,032,26312,461,41211,938,27211,548,01911,128,74010,024,7949,773,7118,960,9888,341,3847,873,4597,392,3756,996,7106,877,3906,415,1996,318,5346,233,0335,833,213.4965,479,264.5985,802,937.9455,263,8855,336,342.55,161,884.933
Uitgestelde Inkomstenbelasting 0-2,837,833-9,414,511-1,855,989899,064-1,002,303-826,3212,172,8243,365,1415,239,4131,430,339-570,794-985,3770119,858282,931-1,540,780-87,860.487-175,370.353101,928.65-25,7628,632.5220,925.267
Aandelen Gebaseerde Vergoedingen 00000000000000000000000
Verandering in Werkkapitaal -3,790,445-3,842,028-1,621,01224,961-1,219,387-3,127,408-3,045,181-2,614,168-2,179,666-2,281,916-521,327-701,347-1,446,507-984,485-2,098,296-2,028,906-1,204,957-1,293,679.778-616,033.884-1,080,243.83-204,805-652,416.25709,508.897
Vorderingen -277,777-1,060,674-1,909,649-216,734-107,63995,345246,755-218,328200,529715,49896,294-330,494-781,099-1,021,781-481,419-223,644-393,518000000
Voorraden -1,412,713147,798-3,000,669-1,738,000-723,495-980,216-1,771,550-1,373,438-1,439,545-1,190,188-1,146,221-1,206,676-672,979-1,411,785-842,584-672,328-1,779,959-762,361.425-596,016.143-499,650.245-542,895-45,842.5-7,128.114
Crediteuren 109,214-3,154,8222,782,4742,144,561-262,985-546,159478,744342,126141,994-1,577,551-257,614-40,416154,341710,831210,622-349,903842,973000000
Overig Werkkapitaal -2,209,169225,670506,832-164,866-125,268-1,696,378-1,999,130-1,364,528-1,082,644-229,675786,214876,239-146,770738,250-984,915-783,031125,547-531,318.353-20,017.741-580,593.585338,090-606,573.75716,637.01
Overige Niet-Contante Posten 2,047,920-114,096-474,2811,363,2491,708,4021,841,6881,636,7551,530,5991,523,8731,695,8921,279,6862,003,4701,932,4971,544,821672,7711,099,087-580,4291,053,005.62762,697.594625,562.107-2,575110,702.5-185,446.026
Kasstroom uit Operationele Activiteiten 15,876,1161,522,162-23,477,5004,473,18513,208,4738,213,4286,680,13211,249,89416,520,55216,943,10512,045,6926,883,9073,916,8334,144,7295,638,1635,738,4911,961,2906,987,612.3747,441,992.3497,551,713.8037,873,6618,694,721.258,756,669.036
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -14,248,385-13,925,998-12,427,386-12,781,634-13,401,665-14,229,785-12,377,457-12,679,845-12,153,211-14,137,833-14,616,123-14,328,057-11,514,549-10,653,001-10,873,170-11,493,642-9,285,226-8,549,605.823-7,185,290.495-6,721,295.096-6,073,356-7,111,990-6,652,727.163
Netto Overnames 431,330338,354-336,141-732,037-336,672-262,132-315,667-196,211-62,824-95,02428,324-363,241-385,751-65,14741,329-17,403-312,935-170,918.5436,551.051143,899.27120,74744,583.75106,816.133
Aankoop van Beleggingen -2,988,807-3,639,540-16,496,258-5,893,404-9,203,450-2,165,342-2,841,651-4,786,717-8,130,621-5,326,151-975,104-545,992-637,6200-1,360,666-752,164-164,014-970,518.729-62,729.531-766,463.476-200,846-140,735-20,001.186
Verkoop/verval van Beleggingen 2,851,9654,389,22814,182,3487,023,6748,020,4062,783,4742,419,2595,296,68010,876,017242,8561,060,117610,847650,75701,21097,9061,428,44048,396.06852,659.452136,904.167181,83657,756.25650,711.744
Overige Investeringsactiviteiten -139,210-235,801123,68429,07389,570374,427101,215-240,606-175,2319,542,18242,453123,171167,967-477,5451,302,6171,153,6311,190,7821,086,233.148128,650.758598,580.994688,109467,272.5523,265.717
Kasstroom uit Investeringsactiviteiten -14,093,107-13,073,757-14,953,753-12,354,328-14,831,811-13,499,358-13,014,301-12,606,699-9,645,870-9,773,970-14,460,333-14,503,272-11,719,196-11,195,693-10,888,680-11,011,672-7,142,953-8,556,413.876-7,030,158.765-6,608,374.14-5,383,510-6,683,112.5-5,391,934.755
Financieringsactiviteiten:
Schuldaflossingen -3,606,32312,118,68538,631,1709,081,3581,924,8105,768,6375,837,8822,046,844-5,615,806-4,957,6471,391,1897,684,0078,206,8596,197,0325,395,6445,266,3585,718,1661,268,5781,494,682.866-304,435-1,985,000-1,041,250-3,309,431.79
Uitgifte van Gewone Aandelen 0000000000852,96200000058,9882,4520000
Terugkoop van Gewone Aandelen 000000000000000000-706,749.75400-188,7500
Uitgekeerde Dividenden -126,903-45,323-42,348-812,159-81,298-99,356-599,391-1,340,387-2,088,429-409,8840000000000000
Overige Financieringsactiviteiten -116,075588,520578,614165,87837,312106,12663,18739,13766,759160,912-71,990249,125223,882144,383474,02472,828-200,665582,163-33,571.654-201,139.105-844,000-725,866.25-361,761.566
Kasstroom uit Financieringsactiviteiten -3,849,30112,661,88238,997,8998,435,0771,880,8245,775,4075,301,678745,594-7,637,476-5,206,6191,985,1767,933,1328,375,4876,341,4155,852,3365,293,2665,025,2151,268,808.99116,406.458-1,234,136.105-2,828,609-1,955,866.25-3,671,193.356
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0-2,18032,89651,719-38,031-37,69321,097-70,40331,08224,249-6,548-36,403-6,0967,419-4,51016,35839,09428,276.217-2,003.90322,983.911-29,75600
Netto Kasstroomverandering 01,108,107599,542605,654219,455451,784-1,011,394-681,614-731,7121,986,765-436,013277,364567,028-702,130607,89537,104-122,043-271,716.293426,236.138-268,811.832-368,21455,742.5-306,459.075
Kaspositie aan het Einde van de Periode 2,382,9794,342,8873,234,7802,635,2382,029,5841,810,1291,358,3452,369,7393,051,3533,783,0651,796,3002,232,3131,954,9491,387,9212,097,2851,489,3901,452,2861,575,220.0411,760,693.6881,388,028.3811,612,8852,150,4151,997,378.41