Hyundai Home Shopping Network Corporation

KRX:057050.KS

47250 (KRW) • At close November 5, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 93,714.54386,322.217101,664.965112,707.6483,168.959166,577.809122,464.406129,458.545111,106.789147,846.567195,475.637103,969.28151,906.139127,714.91995,459.10459,075.76950,596.753
Afschrijvingen & Amortisatie 52,878.3765,349.9579,011.43575,845.48977,225.18228,922.43319,356.4213,222.5379,060.4878,107.446,175.2619,074.4829,047.4038,332.2657,899.217,625.6243,558.863
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal -101,747.064-204,579.884-82,333.39920,372.193-152,967.234-109,985.493-81,618.5551,870.9818,257.095-10,097.28-73,392.00153,922.16611,365.75728,915.50845,156.13421,421.4825,917.289
Vorderingen -58,655.107-80,257.842-2,618.59968,760.8333,166.411-17,467.802-2,830.634-1,689.215-6,215.96600000000
Voorraden -5,982.06-102,328.168-42,177.947-801.898-24,935.415-35,436.558-26,711.806-13,906.164-7,968.038-6,917.79-7,118.3321,408.137-5,135.785-265.12440.758-163.076220.345
Crediteuren 14,063.955-30,689.710,058.3233,767.141-56,230.477-33,227.741-3,278.557-260.0875,708.39500000000
Overig Werkkapitaal -51,173.8528,695.825-47,595.176-51,353.883-74,967.753-74,548.935-54,906.74915,777.14516,225.133-3,179.49-66,273.66952,514.02916,501.54229,180.62844,715.37621,584.5585,696.944
Overige Niet-Contante Posten -18,329.3-1,000.92-8,430.91922,659.34425,016.548-83,545.312-32,290.194-46,631.677-43,341.317-46,011.111-38,427.234-53,880.665-34,192.327-10,967.7686,525.03612,584.84612,431.546
Kasstroom uit Operationele Activiteiten 26,516.549-53,908.63789,912.081231,584.66632,443.4551,969.43627,912.07797,920.38785,083.05499,845.61689,831.663113,085.263138,126.972153,994.924155,039.484100,707.72172,504.451
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -86,526.611-35,501.275-64,579.955-27,501.296-32,147.673-13,707.5-10,186.986-14,319.739-13,237.971-6,340.626-8,489.1-5,953.222-17,218.172-9,334.754-3,291.319-4,092.285-51,797.637
Netto Overnames 198,652.235794.991546.789-11,897.232-42,874.323-269,704.63826,391.053-81,713.704-18,233.19026,105.922-423,601.105-13,463.591-498.22522.22715.66810.174
Aankoop van Beleggingen -30,699.676-1,161.959-546.789-8,999.97-85,285.039-6,916.62-93,552.456-129,107.697-33,440.948-90,720.158-85,00033,859.71-69,775-431,532.638-182,093.044-70,705.751-37,561.56
Verkoop/verval van Beleggingen 70,469.317-1,161.95967,359.603-145,562.659120,208.844325,552.432200,743.708105.3560.03502,003.327177,513.51961,891.70710,69420,615.987169.00117,799.51
Overige Investeringsactiviteiten -1,302.3524,284.95617,364.63420,211.08425,390.43223,048.705-713.87225,399.01927,583.25227,812.74-620-158.52727,924.71-1,743.4472,756.582-4,079.2691,693.447
Kasstroom uit Investeringsactiviteiten 150,592.915-12,745.24620,144.282-173,750.074-14,707.75958,272.379122,681.447-199,636.765-37,328.823-69,248.044-65,999.852-218,339.626-10,640.346-432,415.064-161,989.567-78,692.636-69,856.066
Financieringsactiviteiten:
Schuldaflossingen -5,309.68-2,686,719.274-1,061,113.908-524,537.872-214,712.727-15,000-96,000-96,00000-5,000-2,099.20700000
Uitgifte van Gewone Aandelen 000603,980.603000000000265,433.788000
Terugkoop van Gewone Aandelen 000-18,333.9100-11,873.297-5,547.8930-21,148.1160000000
Uitgekeerde Dividenden -29,764.15-27,474.6-25,185.05-23,375.5-22,206.725-19,869.175-17,692.125-17,765.625-15,396.875-13,200-13,200-13,200-12,000-5,400-5,400-5,400-5,400
Overige Financieringsactiviteiten -11,575.9722,764,209.133884,953.5770173,243.81114,822.127-251.75495,152.9-1,603.134-803.388-90.738510.5971,735.6480000
Kasstroom uit Financieringsactiviteiten -46,649.80250,015.259-201,345.38137,733.321-63,675.641-5,047.048-125,817.17771,839.383-17,000.009-35,151.504-18,290.738-14,788.61-10,264.352260,033.788-5,400-5,400-5,400
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 52.904-28.04484.534-146.926698.606000-0000-00.00100.0010
Netto Kasstroomverandering 130,512.566-16,666.669-91,204.48395,420.987-45,241.3455,194.76724,776.347-29,876.99630,754.222-4,553.9325,541.073-120,042.972117,222.273-18,386.351-12,350.08316,615.086-2,751.615
Kaspositie aan het Einde van de Periode 157,607.67227,095.10643,761.775134,966.25739,545.2784,786.61129,591.8444,815.49734,692.4923,938.2718,492.2022,951.129122,994.1024,779.96923,166.3235,516.40318,901.317