Keppel Corporation Limited

SGX:BN4.SI

6.41 (SGD) • At close November 8, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Operationele Activiteiten:
Nettowinst 908.419726.891897.7918.401876.5011,042.566775.678795.2131,513.6312,373.422,134.3692,621.1751,897.3071,756.4941,504.7911,238.4741,652.528889.724674.782467.508398.06358.258378.69
Afschrijvingen & Amortisatie 221.44241.957406.402413.506375.294182.386212.38236.475220.037265.136242.292210.512208.571188.633174.313139.078125.692127.438132.329180.14223.162186.181197.03
Uitgestelde Inkomstenbelasting -668.940000-98.737-559.01-11.28510.991-488.622-288.577-383.876-56.795-133.51120.326-209.2860000000
Aandelen Gebaseerde Vergoedingen 37.33743.40337.36939.8820032.58339.96955.22156.46155.36249.88251.27438.43723.68226.5270000000
Verandering in Werkkapitaal -397.686503.912-186.599594.573-1,436.595-183.3841,290.185-558.923-1,697.757-1,779.231-733.626-1,447.85-2,049.76-1,301.529-910.403852.114638.2441,004.043993.364-27.969-102.306165.934-5,462.483
Vorderingen -299.259-581.749-107.364445.335-965.715900.291601.19-781.902000000000000000
Voorraden 295.878708.30558.278-349.684-72.104-394.258975.402450.992-1,000.672-2,181.89-2.046-855.588-1,856.459-794.558-1,066.07-73.960000000
Crediteuren -185.342274.318876.307352.164-15.61-694.363-217.728-223.853000000000000000
Overig Werkkapitaal -208.963103.038-1,013.82146.758-383.166210.874314.783-1,009.915-697.085402.659-731.58-592.262-193.301-506.971155.667926.0740000000
Overige Niet-Contante Posten 221.76-1,256.576-1,430.522-853.91-677.905-852.963-374.321-171.426-807.126-422.447-785.157-43.276-292.674-98.285-242.561-0.093-719.128-167.321-241.363-89.527-22.28510.287233.419
Kasstroom uit Operationele Activiteiten 322.33259.587-275.559202.452-825.45124.7531,377.495330.023-705.0034.717624.6631,006.567-242.077450.24670.1482,046.8141,697.3361,853.8841,559.112530.152496.631720.66-4,653.344
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -921.09-696.211-538.366-484.453-500.7-248.987-392.991-466.226-1,158.417-594.931-936.06-835.974-875.773-873.073-475.797-399.598-255.9090000-132.842-196.4
Netto Overnames -483.378-175.0651,657.556-93.698-1,662.354861.143509.933-208.15928.68287.559-42.284-426.001-631.453-73.526723.938-128.863-84.2106.721-103.908-37.102116.172-201.47-1,579.875
Aankoop van Beleggingen -419.157-1,096.092-156.783-743.6-652.576-582.454-333.911-642.592000000-3.814-23.604-482.767-282.107-520.187-59.13000
Verkoop/verval van Beleggingen 671.568341.797670.248376.919202.742179.34296.954174.9640000000391.91316.788000000
Overige Investeringsactiviteiten -58.228958.286392.806670.729924.88164.739265.029364.445355.8321,383.989300.479192.592249.452303.549179.218-11.011259.746-198.924-241.312148.927-49.59861.679108.719
Kasstroom uit Investeringsactiviteiten -1,210.285-667.2852,025.461-274.103-1,688.007676.895381.971-309.931126.097876.617-677.865-1,069.383-1,257.774-643.05423.545-171.163-546.342-374.31-865.40752.69566.574-272.633-1,667.556
Financieringsactiviteiten:
Schuldaflossingen -1,364.13-3,270.039-2,308.566-1,159.414-1,342.45-1,939.475-2,707.102-912.372-1,692.712-794.844-3,024.586-528.79-422.128-921.644-431.184-458.437-1,099.541-1,643.671-1,012.717-334.136-1,005.344-735.921-1,274.422
Uitgifte van Gewone Aandelen 001,629.4972,162.7620.1355.7364.291.1298.89434.29639.74982.42899.28173.5018.33734.1640000000
Terugkoop van Gewone Aandelen 0-499.993-13.048-19.04-4.543-90.758-19.428-3.069-49.367-48.6654,980.073-149.4271,073.73,091.644109.52266.8120000000
Uitgekeerde Dividenden -581.52-643.233-345.752-273.078-417.938-526.152-363.531-544.654-872.479-762.906-668.506-789.456-723.857-627.183-573.562-1,097.743-289.768-71.745-36.116-21.599-27.903-20.325-104.097
Overige Financieringsactiviteiten 2,672.2632,891.68369.7351.4314,110.9381,525.7871,607.1461,591.432-696.775803.368200.8612,662.731248.055-112.373510.224199.559220.191457.015777.3386.582396.257390.135125.87
Kasstroom uit Financieringsactiviteiten 726.613-1,521.585-668.134712.6612,346.142-1,024.862-1,478.625132.466-3,302.439-768.7511,527.5911,277.486275.0511,503.945-376.663-1,255.645-1,169.118-1,258.401-271.495-349.153-636.99-366.111-1,252.649
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -18.34-169.58653.401-9.781-27.285-46.39-58.1657.09628.11242.16734.618-179.94800000000000
Netto Kasstroomverandering 123.316-2,098.8691,135.169631.229-194.6-269.604222.676159.654-3,853.233154.751,509.0071,034.722-1,224.81,311.135717.03620.006-18.124221.173422.21233.694-73.78581.916-7,573.549
Kaspositie aan het Einde van de Periode 1,265.661,444.7733,543.6422,408.4731,777.2441,971.8442,241.4482,018.7721,859.1185,712.3515,564.1834,055.1763,020.4544,245.2542,934.1192,217.0891,597.0831,615.2071,394.034971.824738.13811.915729.999