Embotelladora Andina S.A.

NYSE:AKO-B

18.47 (USD) • At close September 18, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 171,441.41125,497.642154,698.15121,999.805173,721.92896,603.371117,835.7990,525.99187,863.48451,875.08488,982.67887,636.96197,024.405103,597.37286,918.33394,835.95781,602.09274,394.56856,067.97140,002.77815,754.45933,021.61433,066.75531,500.85927,158.28545,710.13
Afschrijvingen & Amortisatie 107,913.983115,156.633102,137.48108,831.905108,763.05997,623.02997,437.345102,96783,33783,33753,82453,283.2420036,960.66346,021.08935,887.4536,271.56535,608.65139,627.77840,093.93648,932.99755,850.62848,893.53243,939.65138,487.639
Uitgestelde Inkomstenbelasting 000000000105,537111,415000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal 000000000405,880337,135000-5,834.82226,075.2933,634.9615,633.653-3,461.895-24,714.445-17,228.89411,627.522-54.1978,017.745-9,660.138-2,666.02
Vorderingen 000000000195,434152,8170005,755.529-16,600.742861,758,139723,574.496677,672,0860555,242,92100000
Voorraden 00000000000000-10,035.5731,113.953-5,406.873-4,702.8752,422.245-2,102.222-3,401.902-2,628.2427,524.124635.375-2,682.901-96.946
Crediteuren 000000000210,446184,318000-6,240.972-1,703.237-861,721,907.426-688,066.509-677,649,395.4750-000000
Overig Werkkapitaal 000000000-405,880-337,1350004,686.19443,265.319-27,189.741-15,171.459-28,574.665-22,612.222-555,256,747.99214,255.764-7,578.3217,382.37-6,977.237-2,569.074
Overige Niet-Contante Posten 87,474.843-115,156.63348,219.35347,937.288-27,336.513-96,603.371-117,835.7922,021.009884.516-68,664.084-65,364.678-87,636.96141,926.09122,250.3374,007.466-7,601.48916,014.442689.5638,658.59915,099.44528,070.7494,723.343684.7324,105.8963,890.418-1,308.774
Kasstroom uit Operationele Activiteiten 366,830.236125,497.642305,054.983278,768.998255,148.47496,603.371117,835.79215,514172,085172,085188,85787,636.961138,950.496125,847.709122,051.64159,330.85137,138.945126,989.3596,873.32770,015.55666,690.2598,305.47689,547.91892,518.03265,328.21780,222.976
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -192,707.498-186,702.179-144,027.296-86,082.847-111,131.565-121,063.273-180,781.129-128,217.485-112,399.528-114,216.855-183,697.386-143,763.67-126,930.944-95,461.555-49,762.563-67,074.398-56,024.403-37,023.961-27,409.372-32,977.222-25,343.044-23,840.778-22,615.995-26,659.989-33,123.875-48,618.516
Netto Overnames 005,171.139207.889448.307-15,615.466-15,570.161-17,586.575-915.0694,616.752-257,539.987-35,877.244,077.930195.467-1,139.982698.207000928.656632.56526,884.3367,247.28100
Aankoop van Beleggingen 00-54,943.577-139,922.435-70.373-1,953.309-53,837.967-77,789.768-98,396.2-186,717.244-52,950.29-2,816.228-39,484.304-15,229.291-22,809.451-9,069.083-21,558.267-1,294.995-25,298.661-27,668.889-142,805.588-52,827.81-961,403.169-414,424.73100
Verkoop/verval van Beleggingen 32,156.738101,337.576678.2742,122.9541,135.03420,286.28481,258.426109,607.08106,609.849127,268.3730,639.77816,896.68681,958.070239.3811,060.242108,329.68242,256.12360,229.14522,348.334149,410.22637,806.196772,813.612445,580.42700
Overige Investeringsactiviteiten 2,261.882196.132-5,131.22-204.319-429.403260.11699.42170.4311,969.8782,273.24115,998.3649,390.249-9,241.9528,489.0080.716757.650.4982,048.4563,392.379852.2224.1623.6021,641.771580.42424,981.472-2,956.859
Kasstroom uit Investeringsactiviteiten -158,288.878-85,168.471-198,252.68-223,878.758-110,048-118,085.648-168,831.41-113,916.317-103,131.07-166,775.736-447,549.521-156,170.203-89,621.198-82,201.838-72,136.45-75,465.57131,445.7175,985.62310,913.491-37,445.556-17,805.589-38,226.225-182,679.44412,323.412-8,142.403-51,575.375
Financieringsactiviteiten:
Schuldaflossingen -363,674.308-36,273.185-11,972.349-29,171.823-27,025.009-46,630.825-56,892.879-41,397.281-122,974.28-164,481.604-273,136.666-188,709.976-111,722.342-23,328.736-23,461.666-89,663.5670000000000
Uitgifte van Gewone Aandelen 00000000000259,021.890000000000014.88300
Terugkoop van Gewone Aandelen 00000000000-21.72500000000000000
Uitgekeerde Dividenden -165,877.422-274,316.05-106,347.165-99,985.5-86,265.896-87,535.698-74,968.175-67,591.93-54,319.681-52,268.909-73,041.053-69,766.002-70,905.803-66,524.747-62,146.43-73,505.825-78,347.61-73,723.109-72,589.084-45,578.334-51,009.512-58,780.260-70,447.625-19,687.136-16,674.745
Overige Financieringsactiviteiten 342,424.93223,625.8533,000242,198.284-13,821.73219,531.24553,515.28410,764.68678,733.584169,830.272649,283.575-4,075.171115,468.7627,305.74418,076.40283,876.548-12,389.94-38,651.757-41,591.1431,950-2,802.616-4,973.34359,970.258-31,396.688,547.38-775.57
Kasstroom uit Financieringsactiviteiten -187,126.798-286,963.382-115,319.514113,040.961-127,112.637-114,635.278-78,345.77-98,224.525-98,560.377-46,920.241303,105.856-3,550.984-67,159.385-62,547.739-67,531.694-79,292.844-90,737.55-112,374.866-114,180.227-43,628.334-53,812.128-63,753.60359,970.258-101,829.423-11,139.757-17,450.315
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -9,412.864-37,950.6043,298.532-15,968.4882,041.5363,574.34-5,804.932797.223-13,571.278-2,280.146-3,187.189-4,911.28864.9292,676.0673,814.675-7,493.535-1,124.502-609.691-576.725-3,811.667-4,152.2-6,157.781-9,622.604-762.4500
Netto Kasstroomverandering 12,001.696-12,630.033-5,218.679151,962.71320,029.3731,296.497-5,021.76412,102.94149,646.505-461.69224,453.87124,224.333-16,965.158-16,225.801-13,801.829-2,921.176,722.6119,990.415-6,970.649-14,870.556-9,079.667-9,832.133-42,784.5342,249.57146,046.05711,197.285
Kaspositie aan het Einde van de Periode 303,683.683291,681.987304,312.02309,530.699157,567.986137,538.613136,242.116141,263.88129,160.93979,514.43479,976.12655,522.25531,297.92296,219.208112,445.009129,252.69121,371.51441,594.78121,159.62927,033.33441,041.61749,624.6457,725.04995,900.40189,331.39343,334.949