NICE Holdings Co., Ltd.

KRX:034310.KS

11220 (KRW) • At close November 4, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 3,882.30969,015.235101,055.23852,928.23477,665.75799,301.93792,750.99490,779.25162,915.09753,713.40763,730.74744,822.11433,822.23726,607.15940,303.94627,206.63223,273.768
Afschrijvingen & Amortisatie 182,033.916181,920.371160,031.813125,887.992129,392.83888,616.56782,012.06777,491.23269,828.29760,928.0951,462.42314,193.2612,072.6686,147.78140,248.80724,943.14114,088.193
Uitgestelde Inkomstenbelasting -440,724.514016,719.21348,359.86245,581.32100003,377.2890001,187.4048,196.65212,732.102-8,076.017
Aandelen Gebaseerde Vergoedingen 3,257.6445,538.4765,657.7392,896.7371,172.165131.91800034.808000-282.87857.67332.4981,426.126
Verandering in Werkkapitaal 57,572.916-76,589.826-57,208.48456,022.461-2,254.38361,932.827-37,317.217-62,670.227-79,101.39930,541.29-30,036.236-11,261.09-7,556.92-7,580.523-15,278.789-11,229.41-19,031.073
Vorderingen -139,509.8-68,550.881-140,430.266-20,154.557-76,907.48734,649.207-84,498.85-87,759.624-11,124.39900000000
Voorraden 40,831.247-58,948.741-49,350.778-6,527.433-27,890.715-16,447.323-15,647.269-7,493.314-7,195.1823,678.191-1,331.768-571.742-246.2521,102.371-1,423.011-3,647.508-867.091
Crediteuren 25,279.514-24,508.35845,080.48837,955.99630,264.981-14,796.65217,087.482,774.1611,699.05800000000
Overig Werkkapitaal 130,971.95575,418.15487,492.07244,748.45572,278.83778,380.15-21,669.948-55,176.913-71,906.21726,863.099-28,704.468-10,689.349-7,310.668-8,682.894-13,855.778-7,581.902-18,163.982
Overige Niet-Contante Posten 498,151.95920,729.0523,221.68923,247.5319,461.135-1,543.789-8,516.56934,023.85832,983.541-2,865.4249,088.773-10,604.3-1,989.998-2,071.838-180.472-280.00915,836.085
Kasstroom uit Operationele Activiteiten 304,174.229200,613.308229,477.209309,342.816261,018.832248,439.46128,929.274139,624.11486,625.536145,729.45994,245.70837,149.98436,347.98724,007.10573,347.81753,404.95427,517.082
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -145,986.87-210,427.994-233,755.927-163,679.363-184,496.3-127,266.879-92,531.987-78,052.946-79,621.524-87,255.497-72,036.869-17,800.41-21,906.267-10,728.434-33,116.029-29,019.858-17,519.891
Netto Overnames 8,304.121,465.049-13,359.136-52,807.749-3,988.292-44,215.11354,896.79647,155.086-102,802.712-8,624.927-10,402.383-19,185.314-6,026.223-5,946.268-1,433.393-5,453.689-1,435.5
Aankoop van Beleggingen -386,931.549-368,773.376-198,987.782-410,188.217-364,990.994-239,285.27-200,039.451-152,360.759-91,593.051-85,349.633-75,545.822-40,086.76-21,948.309-58,961.446-39,567.339-45,775.181-14,465.473
Verkoop/verval van Beleggingen 371,949.539278,360.909120,741.886414,661.194207,899.096167,414.301182,916.032120,509.73975,718.66181,015.18951,149.51736,254.52814,161.04550,570.35754,171.84716,202.7639,620.546
Overige Investeringsactiviteiten 3,494.183-10,248.832-2,930.1094,618.034-8,385.962-21,058.46230,571.65437,437.5066,304.017596.81470,671.657-1,774.467101.28344,247.695865.6741,766.47-4,578.968
Kasstroom uit Investeringsactiviteiten -149,170.576-309,624.243-328,291.068-207,396.101-353,962.453-264,411.423-24,186.956-25,311.373-191,994.61-99,618.054-36,163.9-42,592.423-35,618.47219,181.904-19,079.24-62,279.495-28,379.286
Financieringsactiviteiten:
Schuldaflossingen -19,953.5-1,354,459.154-1,367,898.007-1,407,552.457-1,369,697.016-1,342,693.429-455,818.295-311,658.087-52,939.326-194,964.244-19,403-355.552-41,145.703-7,358.913-55,301.196-10,115.214-309.763
Uitgifte van Gewone Aandelen 10,737-13.4624,002.6351,456,333.852-1.12834,257.71520,551.068327,518.8152,00022,289.63200000203,720
Terugkoop van Gewone Aandelen -31,602.56-70,828.283-28,901.547-3,515.656-391.5510-9,493.609-2220-16,631.278000-80.7910-243.496-560.699
Uitgekeerde Dividenden -32,449.184-32,847.995-26,633.248-20,897.181-6,818.814-4,610.034-12,082.483-10,976.634-9,402.376-8,722.174-9,157.429-1,968.365-4,542.381-3,805.445-8,536.659-6,963.762-5,955.73
Overige Financieringsactiviteiten -35,330.3681,495,585.2121,445,995.49116,734.8521,544,787.1661,348,265.926-1,760.519-5,011.039147,984.866200,628.13314,860.067-7,403.01427,053.2771,726.78448,550.9829,432.2551,196.24
Kasstroom uit Financieringsactiviteiten -108,598.61237,436.31826,565.32441,103.41157,335.53427,156.98841,396.161-348.94585,643.1642,600.07-13,700.362-9,726.931-18,634.807-9,518.366-15,286.873-7,870.217-1,909.952
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 482.714-2,211.351,830.369-3,541.7225,511.714-921.923-2,106.9831,395.836256.396-0.120000-26.02424,138.533656.734
Netto Kasstroomverandering 46,887.756-73,785.967-70,418.166139,508.40360,248.76510,263.103144,031.496115,359.631-19,469.51448,711.35444,381.446-15,169.37-17,905.29233,670.64438,955.687,393.775-2,115.422
Kaspositie aan het Einde van de Periode 577,618.087530,730.331604,516.299674,934.465535,426.061475,177.296464,914.194320,882.697205,523.067224,992.58176,281.22730,910.76146,080.13163,985.42495,203.81556,248.13548,854.36