Dongwon F&B Co., Ltd.

KRX:049770.KS

31850 (KRW) • At close September 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 108,837.98890,820.5869,498.07677,931.25765,664.35856,737.05151,367.5653,721.00256,829.27359,175.32236,583.8921,168.94137,840.01928,464.10724,992.6377,611.4559,772.539
Afschrijvingen & Amortisatie 87,081.42481,291.44875,224.46565,815.84359,770.16445,584.96442,915.81938,744.46636,938.15134,961.49732,878.48931,661.23730,635.29831,031.33527,542.00826,659.23324,090.447
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal 22,704.121-69,535.249-35,837.585-17,343.735-27,827.371-102,572.627-65,715.3143,630.281-20,233.373-15,289.9526,551.857-6,180.407-76,937.447-82,816.06345,199.471-71,106.616-20,161.562
Vorderingen -30,575.985-57,437.355-15,137.183-5,081.755-24,157.1242,379.085-6,210.358-42,585.9062,053.58400000000
Voorraden 61,175.125-146,772-47,619.14120,482.839-7,213.428-44,784.004-14,507.97-30,604.654-19,002.8338,852.83434,567.60812,329.691-73,519.199-68,466.41130,442.823-64,195.037-10,473.781
Crediteuren -17,739.618144,228.02245,188.102-1,330.83718,325.721-47,476.923-32,018.93185,355.01310,453.19300000000
Overig Werkkapitaal 9,844.6-9,553.916-18,269.363-31,413.983-14,782.539-57,788.623-51,207.34434,234.935-1,230.54-24,142.784-8,015.751-18,510.098-3,418.248-14,349.65214,756.648-6,911.579-9,687.781
Overige Niet-Contante Posten 22,693.76724,436.5150,682.0729,873.68336,637.66326,384.13721,088.0768,495.86214,520.27421,811.77725,210.37927,985.51922,463.2999,994.72814,855.21516,990.45613,147.314
Kasstroom uit Operationele Activiteiten 241,317.3127,013.289159,567.026156,277.047134,244.81526,133.52549,656.141104,591.61188,054.325100,658.646121,224.61674,635.28914,001.168-13,325.893112,589.331-19,845.47226,848.738
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -158,091.249-64,038.687-75,724.674-93,115.635-179,813.295-96,476.473-91,866.12-43,518.407-40,783.429-38,976.255-40,458.163-53,704.079-38,936.057-37,557.407-50,460.762-27,812.953-33,965.441
Netto Overnames 5,260.407-2,980.105-20,510.9287,578.517355.843500-29,893.336-19,252.864-44,533.794-1,239.2454,386.4351,325.675390.3472,504.32-302.7667,231.8217,463.767
Aankoop van Beleggingen -81,565.224-448,358.163-285,281.171-59,599.646-8,541.735-16,424.141-13,186.837-1,924.408-10,387.363-64,902.463-40,836.375-111,075.985-1,924.677-27,011.769-17,945.046-32,022.11-10,154.221
Verkoop/verval van Beleggingen 20,000577,651.931169,393.8369,893.60824,753.51214,694.03114,278.119437.74134,101.10381,024.80771,025.3544,843.4345,243.10135,301.13814,330.42525,722.37394,546.392
Overige Investeringsactiviteiten -2,938.532,751.913,832.026-16,721.4753,273.97313,381.375-113,800.9015,736.4983,488.7632,258.3536,519.5955,009.8022,364.957-1,548.19830.8218,821.1775,442.801
Kasstroom uit Investeringsactiviteiten -217,334.59665,026.887-208,290.912-151,964.63-159,971.702-84,325.208-232,946.417-54,393.94-57,063.535-20,682.373-1,090.209-112,773.081-30,906.774-30,006.124-52,323.95-17,694.79455,918.743
Financieringsactiviteiten:
Schuldaflossingen -43,319.7-798,945.377-486,773.515-254,647.608-194,255.102-167,761.662-683,103.126-410,732.402-213,483.432-223,410.735-526,502.744-1,205,390.391-611,789.816-204,293.652-397,100.221-786,598.518-744,375.831
Uitgifte van Gewone Aandelen 00000000000022,867.568254,460.053159.57600
Terugkoop van Gewone Aandelen 000000000000616,205.792-23,371.069368,770.98400
Uitgekeerde Dividenden -13,506.934-13,506.934-13,506.934-11,577.372-11,577.372-9,647.81-9,647.81-9,647.81-11,577.372-7,718.248-5,788.686-9,647.81-6,818.738-4,758.227-2,481.916-3,293.954-6,268.302
Overige Financieringsactiviteiten 70,755.307644,676.153577,602.928272,207.107244,824.477193,803.511872,853.732403,023.793201,039.741150,242.742415,356.8011,259,912.903616,236.811254,442.499369,097.967839,848.793706,112.193
Kasstroom uit Financieringsactiviteiten 13,928.673-167,776.15877,322.4795,982.12738,992.00316,394.039180,102.796-17,356.419-24,021.063-80,886.241-116,934.62944,874.70220,495.82522,019.551-30,324.59449,956.321-44,531.94
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -62.47-200.733374.382-215.273107.09594.987-176.424175.0487.719-38.769-360.523-94.43959.6110000
Netto Kasstroomverandering 37,848.90724,063.28528,972.97610,079.27113,372.211-41,702.658-3,363.90433,016.2927,057.445-948.7372,839.2556,642.4723,649.83-23,700.86329,940.787-814.38-1,574.024
Kaspositie aan het Einde van de Periode 137,668.50399,819.59675,756.31146,783.33536,704.06523,331.85465,034.51268,398.41635,382.12428,324.67929,273.41526,434.1619,791.68815,188.7538,889.6138,948.8269,763.206