LF Corp.

KRX:093050.KS

14850 (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 82,513.769177,302.503136,154.46328,596.0369,449.58381,339.77969,953.78651,155.66750,611.01681,064.97164,914.19456,745.57893,678.36592,242.32571,536.51972,681.05565,736.459
Afschrijvingen & Amortisatie 88,567.19779,928.34277,839.62686,178.88374,753.90443,909.47643,563.41641,098.66741,034.44342,660.87650,847.01651,706.42841,933.23745,186.52129,416.4321,928.72118,148.294
Uitgestelde Inkomstenbelasting 00000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000
Verandering in Werkkapitaal -92,348.073-92,377.66431,373.737117,208.53-54,695.327-32,604.116-37,105.16932,716.337-53,436.947562.45876,324.59852,991.17-216,654.547-20,993.452-78,583.512-10,157.183-62,762.814
Vorderingen -34,518.84313,895.709502.4999,382.383-25,207.05341.226-13,078.692-7,444.531000000000
Voorraden -9,223.169-142,316.491-2,267.73665,426.2423,000.563-36,647.075-18,949.05152,600.529-46,358.665-4,018.65696,609.44669,969.644-186,822.845-36,511.522-73,998.487-9,346.368-42,972.913
Crediteuren -23,105.19322,992.00323,154.744-16,107.551-24,325.22312,114.702-13,541.91712,931.341000000000
Overig Werkkapitaal -25,500.86813,051.1159,984.239-31,492.544-8,163.6134,042.96-18,156.117-19,884.192-7,078.2824,581.114-20,284.848-16,978.474-29,831.70215,518.07-4,585.025-810.815-19,789.901
Overige Niet-Contante Posten 13,833.829-3,930.15565,473.07273,631.31163,583.48932,043.19943,047.26316,329.19913,443.469-21,739.942-19,944.15618,036.10619,970.86725,741.18428,085.7222,192.56132,153.74
Kasstroom uit Operationele Activiteiten 92,566.722160,923.026310,840.898305,614.753153,091.649124,688.338119,459.296141,299.8751,651.981102,548.362172,141.652179,479.282-61,072.078142,176.57850,455.157106,645.15453,275.679
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -228,295.703-173,804.397-97,009.737-75,067.802-70,367.69-60,213.889-127,633.193-46,322.785-55,049.555-43,990.944-56,120.526-52,999.608-68,148.508-64,117.806-80,581.459-39,962.321-31,490.667
Netto Overnames -11,670.6923,088.52862,081.992-39,505.932-159,366.357-1,457.049-64,036.629-2,369.233-33,090.8650-5,443.95-2,561.66-9,949.4201,775.786-1,800-10,089.19
Aankoop van Beleggingen -127,435.63-277,672.44-458,272.256-240,860.244-34,593.004-25,438.168-90,973.612-204,687.146-210,374.602-24,641.965-30,552.153-70,225.412-1,859.689-17,350.994-4,946.4-108,200-10,000
Verkoop/verval van Beleggingen 72,828.954312,403.59319,113.48854,550.5523,842.042224,909.663250,903.73174.814114,362.1570-9,108.5091,594.93168,200065,098-1,014.249-483.222
Overige Investeringsactiviteiten -12,380.46742,389.47447,740.56631,295.851-1,969.9231,225.9322,779.43819,498.4826,859.17321,227.52615,735.561,905.498-13,697.082-26,529.845-51,610.445-5,897.925-2,729.515
Kasstroom uit Investeringsactiviteiten -306,953.538-93,595.246-126,345.947-269,587.577-242,454.932139,026.489-28,960.267-233,705.87-157,293.692-47,405.384-85,489.577-122,286.252-25,454.699-107,998.645-70,264.518-156,874.495-54,792.594
Financieringsactiviteiten:
Schuldaflossingen -127,250-106,975-90,909.9-87,330.7-39,547.5-38,945.7-75,665.6-67,389.700000-18,142.8-913.37300
Uitgifte van Gewone Aandelen 000-87,330.70000000000000
Terugkoop van Gewone Aandelen 000-8,258.5580000000000000
Uitgekeerde Dividenden -21,509.443-19,957.755-16,142.565-14,620-14,620-14,620-14,620-14,620-14,620-11,696-11,696-11,696-11,696-11,696-11,696-11,696-2,924
Overige Financieringsactiviteiten 225,305.522-32,837.61-5,275.346248,828.88956,954.18-38,929.764-70,094.40967,389.65313,011.91411,878.22154,416.42530,154.08177,897.877-467.11649,194.5021,248.6541,788.388
Kasstroom uit Financieringsactiviteiten 76,546.08-159,770.365-112,327.8149,666.3952,786.68-53,549.764-84,714.40952,769.653-1,608.086182.22142,720.42518,458.08166,201.877-30,305.91636,585.129-10,447.346-1,135.612
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 794.505-2,939.182-1,339.805-3,419.514-2,332.253-1,169.578-7,101.528-595.239760.862-15.581-312.994-702.932-71.6431,265.607000.001
Netto Kasstroomverandering -137,046.231-95,381.76770,827.33582,274.058-88,908.856208,995.485-1,316.908-40,231.585-106,488.93555,309.619129,059.50674,948.179-20,396.5435,137.62416,775.768-60,676.687-2,652.526
Kaspositie aan het Einde van de Periode 168,108.285305,154.517400,536.283329,708.948247,434.89336,343.746127,348.261128,665.169168,896.754275,385.689220,076.0791,016.56516,068.38532,245.69627,108.07211,369.59167,176.84