Samsung C&T Corporation

KRX:028260.KS

123100 (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 2,218,290.42,544,956.9691,829,084.041,160,650.821,047,890.6811,748,243.543481,104.47820,841.9272,685,651.116455,072.36266,371.573465,410.926409,079.738728,169.742590,124.059365,113.315675,956.208
Afschrijvingen & Amortisatie 820,917.05627,000.681521,712.822544,008556,106.814463,117.469479,991.966499,629.687281,041.697143,939.284182,123.705160,759.533121,923277,681.49270,831.544212,913.985172,013.192
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal -1,062,539.661-439,686.859-1,317,207.353-562,398-712,699.34-468,688.554-159,832.592715,164.109-211,703.223-117,879.899-206,446.244-266,695.258-775,855-1,251,234.033100,332.761-704,653.767-205,554.497
Vorderingen 110,734.807-1,050,606.406-624,508.609-870,762.41480,910.16598,681.757171,649.95187,758.419000000000
Voorraden -206,201.258-69,843.892-814,049.719-168,432-160,756.246-153,602.664-207,326.80184,044.574-51,773.912-68,622.208282,018.91-118,125.022-114,429-365,723.621-65,696.444-145,157.58-54,812.109
Crediteuren 369,059.563-151,226.784512,895.201443,311.828-91,846.691-168,347.73855,695.90872,017.642000000000
Overig Werkkapitaal -1,336,132.772831,990.223-391,544.22633,484.583-941,006.569-315,085.8947,494.209631,119.535-159,929.311-49,257.691-488,465.154-148,570.237-661,426-885,510.412166,029.205-559,496.187-150,742.388
Overige Niet-Contante Posten 821,985.592-113,984.371162,142.22125,635.756-120,448.527-64,295.651511,172.469119,759.521-2,817,337.451-338,017.872185,402.362273,055.944-67,619.708-37,378.058105,194.39173,676.558-104,059.721
Kasstroom uit Operationele Activiteiten 2,798,653.3812,618,286.421,195,731.7281,267,896.576770,849.6291,678,376.8061,312,436.321,355,395.243-62,347.86143,113.873427,451.396632,531.145-312,471.97-282,760.8591,066,482.75447,050.091538,355.182
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,428,072.887-1,251,936.962-586,792.84-321,733.806-387,704.427-604,752.653-742,095.032-532,844.66-300,615.558-202,026.134-279,531.72-511,879.373-189,279.273-415,705.302-273,909.192-303,424.112-494,702.168
Netto Overnames -765,450.542-1,078,966.887303,905.029-477.97878,509.203762,837.715-22,781.81956,049.2392,570,256.994317,912.726-76,637.4832,636.088-624,819.965-1,599.84-18,378.185-274,227.047-9,678.148
Aankoop van Beleggingen -309,882.05-2,073,853.511-731,764.656-2,047,756.253-1,271,376.772-1,822,846.988-18,267.885-1,101,102.767-9,235.463-66,490.483-268,622.673-203,937.986-296,196.946-49,263.197-132,428.041-169,001.276-252,806.779
Verkoop/verval van Beleggingen 482,875.7411,106,114.548159,144.2781,569,138.3552,112,280.991751,277.6241,015,092.654470,586.18251,710.3042,070.173218,955.888154,581.014197,766.023443,461.33415,476.67963,880.83883,936.229
Overige Investeringsactiviteiten -84,128.907102,964.50951,085.689-47,525.47675,431.4221,081,276.25247,990.294295,222.57456,515.5892,983.681237,873.365-15,304.549149,576.698-47,092.747-10,792.0978,853.972328,471.083
Kasstroom uit Investeringsactiviteiten -2,104,658.644-3,195,678.303-804,422.5-848,355.159607,140.416167,791.95279,938.212-812,089.4322,368,631.86554,449.963-167,962.622-573,904.807-762,953.462-70,199.752-420,030.836-673,917.625-344,779.783
Financieringsactiviteiten:
Schuldaflossingen -1,179,440-535,927.892-868,202.376-1,165,878.036-1,693,737.016-1,905,546.595-1,777,462.617-1,960,484.829-342,428.09-5,951,138.778-1,448,355.654-778,451.757-946,622.347-469,893.717-1,813,339.151-144,422.265-668,577.514
Uitgifte van Gewone Aandelen 00000360,336.1501,378,592.581256,184.013524,587.267548.791,723.312,951.434,223.5353,206.377,229.24510,408.55
Terugkoop van Gewone Aandelen 0-198,680.08000-2.930-675,525.66-415,596.17801,094,974.0491,202,388.9552,285,196.467790,335.891637,816.177-132,479.387-136,973.194
Uitgekeerde Dividenden -376,437.495-692,787.708-379,416.94-329,937.346-329,937.348-329,937.642-95,749.752-86,701.992-3,649.5660-83,240.146-79,479.011-76,512.584-75,445.121-75,320.771-76,032.68-103,230.874
Overige Financieringsactiviteiten -262,980.074,019,121.994567,684.491882,971.864417,538.0151,470756,530.1181,466,547.695-21,879.5035,380,910.45313,324.002-3,886.141-32,857.255-169,431.28741,124.2841,739,555.25532,872.943
Kasstroom uit Financieringsactiviteiten -1,818,857.5652,560,766.416-685,084.195-616,302.34-1,612,355.398-1,884,735.976-1,116,682.251122,427.795-527,369.324-45,641.061-122,748.959342,295.3551,232,155.71179,789.301-1,206,513.0911,393,850.163-365,500.089
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 43,954.64-37,496.973145,855.404-105,181.63835,236.01-51,046.54-181,070.171-33,607.994-17,239.6521,105.664-46,338.007-24,880.647-12,764.419089,599.41325,232.2353,255.9
Netto Kasstroomverandering -1,080,908.1881,945,877.561-147,919.564-301,942.562-199,129.342-89,613.761294,622.11632,125.6131,761,675.029153,028.43990,401.808376,041.046143,965.86-273,171.31-470,461.76792,214.859-118,668.79
Kaspositie aan het Einde van de Periode 3,119,516.3034,200,424.492,254,546.932,402,466.4932,704,409.0552,903,538.3972,993,152.1582,698,530.0472,066,404.434304,729.4051,468,603.1431,378,201.3351,002,160.2881,149,423.4321,422,594.7421,893,056.5021,100,841.643