Soosan Heavy Industries Co., Ltd.

KRX:017550.KS

1761 (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 16,873.03815,749.35311,393.2334,031.757145.3466,651.2192,894.4582,902.6521,288.1625,970.4553,964.43311,718.05812,366.9528,581.145-253.365-575.1027,262.002
Afschrijvingen & Amortisatie 4,769.9044,933.5114,944.2984,783.9815,248.8732,656.352,818.2592,757.033,003.422,535.0172,791.682,363.6962,305.7212,920.0493,362.514,178.6843,109.563
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal 2,689.321-27,585.639-25,016.0726,811.499-164.069-1,511-2,687.3556,713.4888,228.736-4,406.987-8,900.295-9,450.32-6,223.619-5,309.55712,841.197-20,576.163-10,366.137
Vorderingen 3,293.789-833.98-5,852.353,525.771545.8632,662.262-5,322.47310,690.203-214.15200000000
Voorraden 15,659.191-19,522.366-20,178.743,327.7810,096.997-694.4291,814.62-1,377.26712,816.887858.453-6,852.827-2,550.559-7,040.533-1,924.42918,269.534-9,291.577-10,147.433
Crediteuren -10,480.138-393.456,574.7766,173.574-1,969.22-4,308.4611,564.9061,550.001-1,271.27700000000
Overig Werkkapitaal -5,783.52-6,835.842-5,559.759-6,215.627-8,837.708-816.571-4,501.9758,090.755-4,588.151-5,265.44-2,047.468-6,899.762816.914-3,385.128-5,428.337-11,284.586-218.704
Overige Niet-Contante Posten -2,884.0668,483.6858,211.1814,760.7537,361.837-5,473.6383,590.4952,443.9863,842.594779.3983,567.6892,086.1692,177.045899.0875,321.67520,013.1963,918.135
Kasstroom uit Operationele Activiteiten 21,448.1971,580.91-467.36120,387.99112,591.9872,322.936,615.85714,817.15416,362.9124,877.8831,423.5076,717.60210,626.0987,090.72421,272.0173,040.6153,923.563
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -13,729.977-10,348.192-8,520.638-3,035.9-3,550.503-1,220.213-3,508.1-3,743.06-3,585.807-3,418.09-3,456.18-17,459.954-4,968.223-1,280.951-2,789.92-16,728.104-6,765.387
Netto Overnames -749.497-2,574.8891,545.208-17,338.794287.528-65,279.17-454.493-1,591.741163.36004,356.20302,654.1334,730.871-342.292,464.53
Aankoop van Beleggingen -18,237.372-13,191.885-3,391.408-1.821-37,800.712351.714-6,664.908-11,989.066000-114.495-1,300-330.295-12,294.08-7,009.79-959.568
Verkoop/verval van Beleggingen 11,336.8746,915.2093,890.643-1,312.43639,639.716140.7158,231.9418,077.6781,175.0211.1251,304.35513.05701,2502,591.4442,018.513242.37
Overige Investeringsactiviteiten 577.7013,384.71427,064.6852,727.0972,707.425-68.9613,298.3043,408.4211,338.3814,431.806718.3351,345.936-5,063.756745.97657.913632.3561,182.198
Kasstroom uit Investeringsactiviteiten -20,802.27-15,815.04420,588.489-18,961.8531,283.455-66,075.916902.743-5,837.768-2,247.4261,014.841-1,433.49-11,859.253-11,331.983,038.863-7,703.772-21,429.315-3,835.857
Financieringsactiviteiten:
Schuldaflossingen -11,000-49,000-59,941.385-60,438.775-41,437.343-24,071.906-16,697.064-32,014.499-75,001.058-95,637.783-59,813.48-21,850.58-59,874.168-23,515.532-62,814.241-27,710.675-1,000
Uitgifte van Gewone Aandelen 19,970.53807,486.52100000000505.6864,545.0570000
Terugkoop van Gewone Aandelen -704.075034,981.970000-0.004000-0.013-0.0050000
Uitgekeerde Dividenden -539.864-539.864-514.451-514.45100-514.4510-756.6780-1,187.128-1,261.128-1,279.97400-1,261.128-857.568
Overige Financieringsactiviteiten -457,758.629076,933.28427,238.80288,536.96815,077.36819,970.56362,093.27291,689.79759,117.94528,311.644014,00048,327.18536,769.93913,322.01
Kasstroom uit Financieringsactiviteiten 7,722.5998,218.765-17,987.34515,980.058-14,198.54164,465.062-2,134.146-12,043.94-13,664.464-3,947.986-1,882.6635,705.6033,390.91-9,515.532-14,487.0567,798.13611,464.442
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -263.656-1,208.337368.933-407.474-38.363-72.31-549.297-231.092181.581292.66560.172-1,420.6511,497.74630.171-215.93575.8711,230.989
Netto Kasstroomverandering 8,104.87-7,223.7062,502.71616,998.722-361.462-2,945.7214,835.156-3,295.645632.6022,237.403-1,832.473-856.6994,182.775644.226-1,134.742-10,014.69312,783.137
Kaspositie aan het Einde van de Periode 29,532.38121,427.51128,651.21626,148.59,149.7789,511.24112,456.9617,621.80510,917.4510,284.8488,047.4459,879.91810,736.6176,721.046,076.8147,211.55617,226.249