seha corporation

KRX:027970.KS

1066 (KRW) • At close September 13, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst -66,630.1522,263.25810,243.43613,282.29811,222.345,318.865-2,478.1785,472.855-34,637.819-22,013.711-62,818.82343,515.829-6,670.519-61,784.6-7,521.025135.7831,090.936
Afschrijvingen & Amortisatie 12,116.5077,520.5097,132.7136,627.6716,423.8155,827.4885,380.3255,441.0455,203.0625,415.3335,860.7516,124.6277,091.7685,804.0885,234.725,563.9885,559.123
Uitgestelde Inkomstenbelasting 000000000033,661.099-70,786.4-7,882.911000-9,956.623
Aandelen Gebaseerde Vergoedingen 000000000055.741228.6172.859000136.591
Verandering in Werkkapitaal 87,112.947-4,875.507-1,323.7033,938.005-2,804.14-5,896.903-5,708.728-7,279.682-10,807.176-2,958.885-166.8249,219.442-2,855.6132,520.626-73.65-1,530.275-9,520.15
Vorderingen 3,443.738-299.965140.4632,876.635-1,536.7641,598.0424.705-3,444.7000000000
Voorraden 70,158.593-7,719.315-3,096.2862,533.234915.105-1,388.404-3,743.5181,105.365722.379-1,076.942-484.8464,590.679-897.185-5,078.6913,064.815-3,499.091,357.725
Crediteuren 12,047.6531,470.2681,385.256-770.854-462.623-1,213.698-1,020.018-531.071000000000
Overig Werkkapitaal 1,462.9631,673.505246.864-701.011-1,719.857-4,508.499-1,965.21-8,385.048-11,529.555-1,881.943318.0214,628.763-1,958.4287,599.317-3,138.4651,968.815-10,877.875
Overige Niet-Contante Posten 64,155.5121,375.634645.8666,885.061-286.1984,363.736-4742,262.83226,700.19517,666.2458,459.57912,361.1537,610.57562,292.9228,355.574-6,377.682140.916
Kasstroom uit Operationele Activiteiten 96,754.8136,283.89316,698.31230,733.03514,555.8169,613.185-3,280.585,897.049-13,541.738-1,891.018-14,948.477663.25-2,533.8418,833.0355,995.619-2,208.186-12,549.207
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -10,617.274-12,116.96-9,728.723-8,473.976-6,572.903-6,162.692-3,866.692-3,585.744-3,245.907-2,993.173-3,456.603-7,117.142-4,654.717-15,642.839-2,308.031-3,886.777-4,529.898
Netto Overnames 20,161.00878.84313.43416.32513.41116.58.353-2-5.64450.487598.208744.838293.395-3,273.217670.7552,418.809-1,406.55
Aankoop van Beleggingen -0-4,000-13.434-3,361.786-13.411-5020-1,000-210.046-3,160.938-5,235.82-5,443.91-6,310.774-7,128.157-2,587.477-3,688.13-1,569.7
Verkoop/verval van Beleggingen 15,401.9763,491.66-16.3251.5205.375011,941.1276,591.1575,932.2846,771.0346,269.3154,311.1926,398.0492,922.00613,814.58
Overige Investeringsactiviteiten -10.0836.515146.66716.325438.19216.5447.278202-384.37270817.838-415.312,661.057-16,740.449-7,248.74-5,997.3188,427.483
Kasstroom uit Investeringsactiviteiten 9,534.651-10,629.625-6,090.396-11,819.437-6,133.211-6,442.817-3,419.414-4,384.744-1,904.84757.533-1,344.093-5,460.49-1,741.724-38,473.47-5,075.444-8,231.4114,735.915
Financieringsactiviteiten:
Schuldaflossingen -55,256.5-22,291.228-22,308.575-201,213.056-33,457.037-72,420.583-73,557.836-24,710.493-35,932.272-75,638.557-211,850.625-229,429.991-182,956.038-163,344.331-194,340.132-142,011.994-105,024.467
Uitgifte van Gewone Aandelen 00034,811.34800000008,660.4861,994.07311,053.20417,018.38501,066
Terugkoop van Gewone Aandelen 0000000-20.718-2.64900000-446.366-523.2190
Uitgekeerde Dividenden -5,000-2,500000000000000000
Overige Financieringsactiviteiten -1,298.58425,958.16615,573.225151,332.06525,602.02970,191.54580,882.91922,823.21351,165.56579,171.927230,320.777223,713.572181,697.87174,494.602177,557.278145,602.643113,594.269
Kasstroom uit Financieringsactiviteiten -61,555.0841,166.938-6,735.35-15,069.644-7,855.008-2,229.0387,325.083-1,887.2815,230.6433,533.3718,470.1522,944.067735.90622,203.475-210.8353,067.439,635.802
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 67.612-388.82517.81-27.314-14.546-20.274-24.7510.6044.2173.289-3.082-4.7513.735-36.42800-0.001
Netto Kasstroomverandering 44,801.992-3,567.623,890.3753,816.64553.052921.056600.338-374.371-211.7182,403.1742,174.499-1,857.924-3,535.923-7,473.388709.34-7,372.16611,822.509
Kaspositie aan het Einde van de Periode 53,970.85911,633.28315,200.90311,310.5287,493.8876,940.8356,019.7795,419.4425,793.8136,005.5313,602.3571,427.858-466.453,069.47310,542.8629,833.52217,205.688