Lotte Shopping Co., Ltd.

KRX:023530.KS

63200 (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 163,793.554-318,692.441-272,964.154-686,569.608-816,477.652-464,996.591-20,636.693246,874.755-345,501.285615,724.154880,634.1471,157,637.9441,012,600.451,043,834.21765,849.571786,176.889754,277.005
Afschrijvingen & Amortisatie 1,173,728.2371,224,893.7441,216,623.5041,274,745.931,519,024.233759,608.117904,772.744973,164.259986,190.615899,373.873820,889.117724,267.719559,903.838745,763.271554,297.438480,687.743427,190.597
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal -137,412.735-97,986.16470,524.943-138,349.425-292,630.676-879,525.185-77,904.119-619,258.898-1,254,578.313-316,974.4-884,527.137-1,228,707.809-1,152,772.258-1,288,148.023-561,922.949-245,002.324-349,737.306
Vorderingen -196,636.659-179,662.483-111,678.268226,528.947104,358.965-61,530.736-274,226.348-262,316.579-85,476.54800000000
Voorraden 117,141.04918,088.55672,055.854242,881.158-5,112.45389,171.894295,448.13-47,093.234-86,364.903-155,999.542-380,491.275-344,306.843-384,964.411-292,041.16-101,068.932-40,940.267-84,044.506
Crediteuren -24,311.9864,894.07141,659.076-52,748.568-12,756.342-615,656.408357,827.73338,871.673-49,087.82200000000
Overig Werkkapitaal -33,605.13958,693.697368,488.281-555,010.962-379,120.846-968,697.079-373,352.249-572,165.664-1,168,213.41-160,974.858-504,035.862-884,400.967-767,807.847-996,106.863-460,854.017-204,062.057-265,692.8
Overige Niet-Contante Posten 163,819.965819,623.088413,914.0181,040,112.5491,226,869.107758,188.651763,080.035906,086.4751,254,957.904431,731.031513,669.312250,776.752451,265.91641,996.105196,058.68160,330.89562,779.604
Kasstroom uit Operationele Activiteiten 1,363,929.0211,627,838.2311,828,098.3121,489,939.4461,636,785.012173,274.9921,569,311.9671,506,866.592641,068.9221,629,854.6581,330,665.438903,974.605870,997.946543,445.563954,282.741,182,193.203894,509.9
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -863,270.795-575,617.04-916,710.052-839,263.628-634,457.165-661,485.059-953,501.86-1,309,489.255-1,195,104.161-1,944,810.803-1,959,271.86-1,886,427.954-1,674,173.975-1,544,278.912-1,060,574.11-1,039,189.651-1,099,554.904
Netto Overnames 115,925.389-534,102.29321,917.12524,552.627-32,483.027-7,300.563-11,862.487-55,430.803-130,205.505-82,010.361-75,386.575-1,484,880.709-61,568.256-1,422,203.267-820,859.837-105,501.448-51,725.965
Aankoop van Beleggingen -2,563,072.414-1,654,848.282-2,403,806.503-2,037,259.648-2,025,751.921-1,089,571.736-1,599,423.649-1,664,851.742-1,919,717.518-1,190,925.875-1,057,470.677-793,211.532-948,929.657-1,232,640.149-906,046.671-1,175,321.337-1,827,810.199
Verkoop/verval van Beleggingen 2,801,626.0692,150,565.7482,613,660.11,716,308.3331,374,310.2991,288,147.9561,190,760.2851,952,419.9831,458,770.0841,221,987.9071,224,172.92824,692.346721,189.6071,251,820.239846,138.8731,046,949.0522,846,166.926
Overige Investeringsactiviteiten 28,990.419-9,454.005885,953.201537,527.763277,326.839183,599.505110,788.547108,979.132227,902.7291,395,710.12132,329.105266,184.65206,918.475265,466.825-50,220.36855,593.133-113,279.836
Kasstroom uit Investeringsactiviteiten -479,801.331-623,455.871201,013.871-598,134.553-1,041,054.975-286,609.895-1,263,239.164-968,372.685-1,558,354.371-600,049.011-1,735,627.087-3,073,643.197-1,756,563.806-2,681,835.264-1,991,562.113-1,217,470.251-246,203.978
Financieringsactiviteiten:
Schuldaflossingen -235,957-3,386,946.798-4,375,381.697-2,824,028.008-2,319,536.789-3,024,315.345-4,897,313.743-5,004,721.839-4,428,360.983-10,233,342.159-11,442,144.387-7,025,884.226-8,851,600.528-15,427,621.785-5,930,530.66-6,412,037.468-1,803,013.666
Uitgifte van Gewone Aandelen 69.1241652,730,417.2450429,922.212,785,798.3436,354,492.71734,797.9460012,047,398.224000000
Terugkoop van Gewone Aandelen -582,140.295-165-18,660.7610-429,922.21-7.602-3,795.475000-1,805.705000000
Uitgekeerde Dividenden -149,518.701-147,997.897-138,686.752-160,451.516-183,888.982-185,603.816-81,095.185-77,553.8-73,914.329-58,994.39-62,920.609-54,113.317-53,641.695-36,304.218-36,304.218-36,304.218-36,304.218
Overige Financieringsactiviteiten -126,600.241,936,263.909231,807.4392,441,786.4491,657,775.845-268,507.2-1,297,367.9215,061,043.0625,233,283.5229,876,113.644231,672.9948,241,549.80610,500,628.6318,348,407.9656,944,340.6786,587,097.3641,248,286.06
Kasstroom uit Financieringsactiviteiten -1,094,147.111-1,598,680.786-1,570,504.525-542,693.075-845,649.926-692,635.6274,920.393-21,232.577731,008.21-416,222.905772,200.5171,161,552.2631,595,386.4072,884,481.962977,505.8138,755.678-591,031.824
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -3,673.18432,987.41426,945.711-22,468.2918,038.9643,054.597557.155168.4542,290.24284.0061,226.315-231.27-137.33-13,176.499-3,667.705-3,566.021-258,592.18
Netto Kasstroomverandering -211,091.721-597,979.273485,553.368326,643.528-231,880.925-807,770.918357,066.692517,908.922-176,867.59618,652.169375,487.18-1,024,207.722715,777.804576,167.06184,709.323124,686.107-201,318.082
Kaspositie aan het Einde van de Periode 1,589,717.9851,800,809.7062,398,788.9791,913,235.611,586,592.0831,818,473.0082,626,243.9262,269,177.2341,751,268.3121,928,135.9031,309,483.734933,996.5541,958,204.2771,419,615.704843,448.643758,739.32634,053.213