Youngone Corporation

KRX:111770.KS

41250 (KRW) • At close November 8, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009
Operationele Activiteiten:
Nettowinst 515,959.248743,155.039334,303.486182,425.908174,282.787111,285.16694,672.822108,970.651144,523.885143,317.702121,929.363131,284.027128,516.42474,306.46450,192.488
Afschrijvingen & Amortisatie 94,321.82793,049.96186,589.42883,843.91982,404.90564,204.51159,539.10457,740.951,931.95134,318.45929,642.87230,764.16127,082.20217,504.2466,645.273
Uitgestelde Inkomstenbelasting 000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000
Verandering in Werkkapitaal -109,818.736-418,958.628-173,367.70648,595.93-72,063.595-41,092.873-47,364.696-101,882.58129,280.46-4,973.118-59,191.816-2,975.931-49,579.412-14,347.084-24,467.561
Vorderingen 31,202.233-141,377.987-13,696.95320,303.646-7,152.669-22,827.185-62,681.061-6,145.4240,726.935000000
Voorraden -293,496.146-359,610.709-108,786.04933,585.331-28,334.58-30,976.874-2,961.659-65,654.926-11,018.24-25,463.688-12,611.46-7,484.502-43,127.342-31,286.33658,347.708
Crediteuren 79,859.86894,336.06450,081.444-11,246.334-22,493.05215,780.33722,073.39616,634.83511,572.86000000
Overig Werkkapitaal 72,615.309-12,305.996-100,966.1485,953.287-14,083.294-10,115.999-44,403.037-36,227.65540,298.720,490.57-46,580.3564,508.571-6,452.0716,939.252-82,815.269
Overige Niet-Contante Posten 24,648.93441,553.85539,828.54131,224.33647,129.02949,544.98952,296.0737,066.1332,618.82422,038.7949,587.27219,482.92635,486.0523,203.615-6,985.362
Kasstroom uit Operationele Activiteiten 525,111.273458,800.227287,353.749346,090.093231,753.126183,941.793159,143.3101,895.1258,355.12194,701.837101,967.691178,555.183141,505.26680,667.24125,384.838
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -181,416.59-154,306.962-145,113.617-92,172.654-128,668.407-128,569.041-146,085.129-73,025.048-58,727.474-117,921.649-109,672.729-163,288.328-73,919.939-59,171.046-15,924.492
Netto Overnames 3,299.785-45,912.634724.9925,697.49-2,000.214-2,295.919-1,949.361-26,348.99-131,967.314-8,762.88-46,994.39-721.593-3,882.125-24,459.498-514.856
Aankoop van Beleggingen -246,547.268-212,917.457-83,739.857-58,214.431-1,596.168-5,729.614-25,113.632-15,857.662-957.767-3,041.159-45,807.16-82,179.203-2,102.611-50,424.722-2,205.88
Verkoop/verval van Beleggingen 2257.812,225.926140,811.2541,638.35616,584.4467,146.13314.60814,639.64522,971.18529,931.255851.98331,00034,007.25673,809.996
Overige Investeringsactiviteiten -12,827.51323,361.70314,301.76111,162.58118,966.0953,143.1213,316.90713,018.9849,899.39813,805.466351.4811,023.755-8,146.7184,941.477-1,741.856
Kasstroom uit Investeringsactiviteiten -437,489.586-389,517.541-211,600.7957,284.24-111,660.337-116,867.007-162,685.082-102,198.108-167,113.512-92,949.037-172,191.544-234,313.385-57,051.393-95,106.53353,422.912
Financieringsactiviteiten:
Schuldaflossingen -105,126-41,763.073-143,514.296-172,682.952-28,512.396-155,046.103-86,234.477-265.989-1,016.781-23,905.659-20,129.51-27,355.8230-37,366.103-39,471.144
Uitgifte van Gewone Aandelen 00000049,004.04898,633.4900120,202.2740000
Terugkoop van Gewone Aandelen 000000-2,938.618-12,995.43000000-2.414
Uitgekeerde Dividenden -67,115.073-43,866.061-21,933.031-17,546.424-15,353.121-13,159.818-10,990.681-8,862.236-8,862.236-8,862.236-8,162.236-8,162.236-8,162.236-6,121.6770
Overige Financieringsactiviteiten 2,320.856176,167.76161,007.19461,568.06518,729.49987,779.546-597.334-67,726.829166,236.632-35,263.324062,767.69,979.5148,621.01727,715.808
Kasstroom uit Financieringsactiviteiten 21,233.87290,538.627-104,440.133-128,661.312-25,136.019-80,426.376-51,757.0638,783.005156,357.616-68,031.21991,910.52827,249.5411,817.278-34,866.763-11,757.75
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 51,593.755-65,653.7385,587.024-6,734.809-4,190.505-19,481.403-16,775.251-817.5113,957.7972,711.826-1,326.406-1,471.794-1,509.5322,347.7636,248.318
Netto Kasstroomverandering 160,449.31494,167.575-23,100.156217,978.21390,766.265-32,832.993-72,074.0957,662.486251,557.02236,433.40720,360.27-29,980.45484,761.619-41,996.37473,298.319
Kaspositie aan het Einde van de Periode 896,394.078735,944.764641,777.189664,877.345446,899.133356,132.868388,965.861461,039.956453,377.47201,820.449165,387.042145,026.772175,007.22679,200.099121,196.473