SeAH Holdings Corporation

KRX:058650.KS

99500 (KRW) • At close November 12, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007
Operationele Activiteiten:
Nettowinst 82,005.475156,073.095133,614.656-261,540.30948,464.79164,509.52211,120.899161,892.655207,073.751164,521.94123,163.452126,618.021234,301.214192,869.57-2,721.98138,923.9794,799.348
Afschrijvingen & Amortisatie 133,677.847139,744.608152,523.577228,853.618226,676.608214,523.224206,874.237200,828.009183,466.146139,895.916148,058.658170,701.44184,030.189177,676.578175,247.528166,091.918154,204.68
Uitgestelde Inkomstenbelasting -359,259.0560-497.2700000000000000
Aandelen Gebaseerde Vergoedingen 178.12317,107.534497.2700000000000000
Verandering in Werkkapitaal -79,864.354-275,916.645-516,767.154202,875.05473,859.487-192,126.09-200,602.407-13,324.35884,782.752-42,642.235-99,767.448-103,913.086-185,445.216-98,441.88333,043.649-262,281.31-233,598.598
Vorderingen 62,881.605-287,017.328-207,697.20919,530.68767,244.485-10,614.207-89,380.325-48,178.798161,122.400000000
Voorraden 1,372.634-53,497.182-567,283.832107,506.71444,741.108-113,844.117-117,508.273-5,397.77261,317.211-11,990.80714,712.488-20,402.631-118,127.214-42,501.924148,131.823-311,354.669-83,594.017
Crediteuren -155,979.47966,241.683246,708.163115,480.39926,249.669-49,304.89461,833.63168,202.351-111,739.0800000000
Overig Werkkapitaal 11,860.886-1,643.81911,505.724-39,642.747-64,375.774-78,281.973-83,094.134-7,926.58623,465.54-30,651.428-114,479.936-83,510.456-67,318.001-55,939.959-115,088.17449,073.359-150,004.581
Overige Niet-Contante Posten 438,763.59812,783.426172,362.354286,192.73116,831.07853,830.62146,065.04233,112.80525,538.00332,824.513175,031.881-8,826.66260,549.77617,836.946-20,642.4842,456.857-20,803.413
Kasstroom uit Operationele Activiteiten 215,501.63449,792.018-58,266.567456,381.094365,831.965140,737.275263,457.77382,509.111500,860.652294,600.136246,486.543184,579.712293,435.963289,941.211184,926.71785,191.435-5,397.983
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -169,029.257-140,231.222-104,389.208-64,699.753-102,507.79-120,922.579-133,146.086-203,814.882-123,750.995-97,032.445-165,346.271-413,937.081-206,251.658-203,258.678-267,635.389-212,567.349-211,971.515
Netto Overnames 27,434.632-26,468.74520,260.729-75,710.938-15,063.275-3,249.117-352.861-2,948.464-366,239.67169.144-24,574.78810,494.438-15,905.347-6,742.245-2,243.381-11,704.436-1,325.249
Aankoop van Beleggingen -187,656.085-374,009.477-191,185.094-214,511.112-151,734.167-143,613.197-91,111.215-135,151.238-62,339.755-114,478.56-35,814.761-51,470.103-133,716.12-125,016.585-166,693.181-98,378.591-150,424.332
Verkoop/verval van Beleggingen 231,980.822157,057.622291,802.73648,766.87545,409.031132,686.02564,950.919108,094.22180,658.087148,742.6223,052.30976,043.436109,691.129110,477.587177,883.00973,420.623114,733.989
Overige Investeringsactiviteiten -3,852.555184,320.83129,360.38985,680.10713,498.1434,937.424-3,181.4110,236.781-9,032.758-43,115.398-29,402.82-76,810.45668,016.20516,874.758-2,773.0072,844.8549,124.187
Kasstroom uit Investeringsactiviteiten -101,122.443-199,330.99145,849.552-220,474.822-210,398.059-130,161.444-162,840.653-223,583.582-480,705.092-105,814.639-232,086.331-455,679.767-178,165.791-207,665.163-261,461.949-246,384.899-239,862.92
Financieringsactiviteiten:
Schuldaflossingen 00000000000000000
Uitgifte van Gewone Aandelen -10,660.60602,326,322.2514,631.8593,127,431.13,126,112.83702,078.3041,328.736,293.7341,019.28825,353.5657,442.18539,193.792,080.53201,207,209.025
Terugkoop van Gewone Aandelen -198.953-1,400.901-6,877.323-1,415.76-45.649-88.721-52,190.78-166,915.293-1,496.892,197,631.4992,152,309.115-9,905.62-51.076-4,999.909-63.8960-4,200
Uitgekeerde Dividenden -32,655.402-13,431.981-16,059.411-19,195.141-29,505.831-26,972.727-25,566.248-28,179.458-28,619.095-24,801.72-28,181.316-31,654.049-26,537.953-1,999.55-5,400-5,400-5,400
Overige Financieringsactiviteiten -4,170.2052,948,352.589-102,097.2861,542,725.652-5,827.915-65,154.7042,369,804.2192,163,522.1711,357,691.036-1,464.439-15,061.3173,090,015.611,749,295.11,302,290.207916,597.613998,888.873-19,161.752
Kasstroom uit Financieringsactiviteiten -95,425.566203,446.549-31,314.653-210,876.055-62,670.01765,540.266-147,253.233-221,550.503-163,947.44965,243.758-68,406.354320,303.042-164,101.82611,228.01577,889.664200,244.168224,554.158
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -376.945-628.1994,609.362-4,266.154969.832747.474-3,726.154-791.898313.435350.032-52.294-3.219256.59461.538142.853856.763-11.074
Netto Kasstroomverandering 17,394.47853,279.378-77,289.15220,764.06493,733.72176,863.571-50,362.27-63,416.872-143,478.455254,379.286-54,058.43649,199.767-48,575.06149,055.4962,971.29939,907.467-20,717.819
Kaspositie aan het Einde van de Periode 263,996.351246,601.872193,322.495270,611.647249,847.583156,113.86279,250.291129,612.56193,029.432336,507.88782,128.601136,187.03786,987.27130,003.43780,947.94177,976.64238,069.175