Metalabs Co., Ltd.

KRX:090370.KS

1604 (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 -7,299.954-4,146.497-14,647.574-19,340.233-25,362.334-14,015.782-37,939.378-39,219.757-36,710.092-4,037.119-11,079.98-26,417.144478.478-2,350.432-4,123.1681,701.5511,167.976
Afschrijvingen & Amortisatie 2,350.3733,084.7453,625.1554,242.0065,629.8182,632.107988.1553,002.5483,761.7493,936.6084,418.375,327.1931,052.6394,180.0144,627.333,551.5732,377.467
Uitgestelde Inkomstenbelasting 00000013,236.7580000000000
Aandelen Gebaseerde Vergoedingen 010.81100009.9860000000000
Verandering in Werkkapitaal 1,498.446-640.5381,750.565-565.961-8,000.42-62.57312,354.27815,679.0224,838.38-17,266.9562,863.05-7,415.919-14,069.226-7,238.672-18,605.613-7,342.155-18,715.618
Vorderingen 2,036.933-1,347.0731,337.307-80.481-5,231.6311,224.5043,682.0315,947.7571,778.05100000000
Voorraden 494.91,741.811,373.132-1,437.461-1,624.6516,391.03415,380.05722,974.7945,022.161-11,460.956-1,235.342-1,094.92-11,484.629-5,762.914-4,935.715-13,121.657-11,190.749
Crediteuren -7.401-41.865-166.38642.943-105.861-5,441.934-2,761.076-11,802.451-858.81200000000
Overig Werkkapitaal -1,025.986-993.41-793.488909.038-1,038.277-6,453.607-3,025.779-7,295.772-183.781-5,8064,098.392-6,320.999-2,584.597-1,475.758-13,669.8985,779.502-7,524.869
Overige Niet-Contante Posten 3,401.5632,139.11911,551.34417,027.79923,711.6054,549.5122,882.1810,523.4220,226.586,529.3326,365.59319,635.3918,516.4027,632.0644,696.7961,753.8993,610.796
Kasstroom uit Operationele Activiteiten -49.572447.642,279.491,363.611-4,021.331-6,896.736-8,468.021-10,014.767-7,883.383-10,838.1352,567.033-8,870.479-4,021.7072,222.974-13,404.655-335.133-1,559.379
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -491.577-2,571.935-409.831-2,363.997-3,751.275-2,235.901-1,086.669-1,905.215-2,538.814-3,309.814-3,883.269-3,506.9-4,521.151-2,650.468-5,231.425-18,385.178-37,422.064
Netto Overnames -3,621.964-8,225.438-15,167.186412.233-530-62,959.00917.1461,115.19911.1664,967.598-2,152.7-0.36-153.756-368.58-363.3-1,110.481-1,020.818
Aankoop van Beleggingen -82,488.308-114,565.914-12,317.641-5,095.71-12,912.233-12,390-10-2,393.12-70.001-12,729.24-4,866.755-635.78-9,884.008-12,568.324-29,695.801-1,453.479-14,741.553
Verkoop/verval van Beleggingen 58,08796,467.5625,318.7211,531.15715,614.5944,393.655604,907.364,53512,036.7557,755.3772,187.9817,603.2628,040.71424,6382,819.32514,195
Overige Investeringsactiviteiten 1,349.923945.181,876.391-1,802.9831,250.13418,862.258127.701392.33810.66-57.21-718.283,513.182-2,108.317355.67828,022.3611,207.587-365.535
Kasstroom uit Investeringsactiviteiten -27,164.926-27,950.546-20,699.5462,680.699-328.78-54,328.997-891.8222,116.5622,006.846908.088-3,865.6261,558.124-9,063.969-7,190.9817,369.835-16,922.226-39,354.97
Financieringsactiviteiten:
Schuldaflossingen -25,974-16,118.263-1,958.264-34,956.876-5,262.215-50,497.971-25,312.757-49,541.62-6,594.298-53,651.443-11,034.317-44,744.625-30,000-2,500-86,081.1540-4,129.652
Uitgifte van Gewone Aandelen 030,0005,999.999-28.06-12.6850,418.96719,918.19420,254.869299.6975,942.5651,613.88612,694.27700000
Terugkoop van Gewone Aandelen 0-8.04600000000429.66600-950.13000
Uitgekeerde Dividenden 0000000000-383.162-390.882-390.882-818.406-1,305.787-1,287.111-1,287.111
Overige Financieringsactiviteiten 870.0044,467.30122,247.93828,132.788-751.05868,296.8759,491.21246,656.47511,824.88461,239.5520.00151,496.70841,143.4584,00083,055.03421,00021,129.652
Kasstroom uit Financieringsactiviteiten 26,844.00418,340.99226,289.673-6,852.147-6,025.95368,217.8714,096.64917,369.7245,530.28313,530.674-9,373.92619,055.47810,752.576-268.536-4,331.90719,712.88915,712.889
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0-12.0440-0.719-0.0831.788-598.132-57.214-2.5168.507-1.192-0.0764.3990000
Netto Kasstroomverandering -370.493-9,173.9587,869.617-2,808.557-10,376.1476,993.927-5,861.3269,414.305-348.7713,609.134-10,673.71111,743.047-2,328.701-5,236.542-366.7272,455.53-25,201.46
Kaspositie aan het Einde van de Periode 1,669.1362,039.62911,213.5873,343.976,152.52716,528.6749,534.74715,396.0745,981.7686,330.5392,721.40513,395.1161,652.0692,913.4838,150.0258,516.7526,061.222