Quiñenco S.A.

SSE:QUINENCO.SN

2387.1 (CLP) • At close November 17, 2023
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,220,071.2991,244,112.5831,411,074.994793,115.39463,229.794564,843.974515,116.759502,486.155478,883.593483,499.229485,286.028444,530.859392,720.434334,195.719483,824.686282,965.481310,227.198105,241.00776,291.94851,079.52623,352.71437,694.846-75,463.29215,477.125-4,920.268160,058.18626,428.17979,980.005
Afschrijvingen & Amortisatie 97,451.43394,069.88984,282.37578,488.99375,019.51273,096.68238,014.73235,416.82633,562.11629,800.08932,585.87931,156.05531,855.93731,342.54730,544.76632,026.71900000050,796.61949,256.87839,689.82743,529.03839,774.581-43,980.233
Uitgestelde Inkomstenbelasting 0000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 0000000000000000000000000000
Verandering in Werkkapitaal 400,628.239-983,773.008-1,027,765.3812,023,977.695-584,040.573-181,747.302-2,043,948.05166,863.843-207,854.538-1,883,336.472-666,043.65-1,099,161.063-1,207,800.154-1,138,573.74744,728.451-57,483.508000000-11,708.8922,902.019-2,311.46126,392.905-40,240.12813,636.942
Vorderingen -1,566,269.107000000000000000000000000000
Voorraden 00000000000000000000007,782.59910,466.844-6,264.7687,127.675-4,529.7673,376.349
Crediteuren 0000000000000000000000000000
Overig Werkkapitaal 1,966,897.346-983,773.008-1,027,765.3811,812,406.951-584,040.573-181,747.302-2,108,114.1966,863.843-207,854.538-1,883,336.472-666,043.65-1,099,161.0630000000000-19,491.48912,435.1753,953.30719,265.23-35,710.36110,260.593
Overige Niet-Contante Posten -3,581,217.691366,320.762123,774.7721,315,209.682,619,752.663881,070.9011,087,891.214566,334.972-421,438.921431,546.412-27,135.672464,010.761-308,918.815450,748.36140,931.1597,373.046-310,227.198-105,241.007-76,291.948-51,079.52634,478.16127,147.06366,382.549-73,919.789-34,262.334-211,990.973-3,297.24210,962.172
Kasstroom uit Operationele Activiteiten -1,863,066.72720,730.226591,366.764,210,791.7582,573,961.3961,337,264.255-402,925.3461,171,101.796-116,847.75-938,490.742-175,307.415-159,463.388-1,092,142.598-322,287.12600,029.053354,881.738310,227.198105,241.00776,291.94851,079.52657,830.87564,841.90930,006.98613,716.233-1,804.23617,989.15622,665.3960,598.885
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -219,277.698-322,988.312-203,342.065-135,491.909-129,080.295-134,458.82-101,996.911-124,747.902-134,668.896-86,807.602-132,499.415-53,730.931-51,713.377-37,996.677-38,807.529-49,211.496-60,178.506-54,661.587-26,748.979-18,703.426-19,111.939-12,075.492-22,884.699-31,150.779-32,965.851-55,786.491-76,186.571-56,740.201
Netto Overnames 205,663.025-36,586.80510,847.345-201,890.132-267,960.849-279,638.193-172,655.493-223,809.691-110,159.919-86,830.926-239,059.701-325,978.452-389,290.465-266,990.933-426,816.725-867.0990006,176.1784,210.90815,758.4492,771.551,526.8237,446.2923,371.7784,790.7860
Aankoop van Beleggingen 00-836,695.943-2,524,866.018-1,016,371.884-2,046,155.605-1,791,559.277-2,618,460.298-763,668.951-764,645.337-1,397,173.07-667,523.152-341,423.911-460,773.04334,866.986-116.837-292,655.705-159,652.76-80,874.016-10,577.011-50,724.876-49,777.012-903.641-160,769.232-52,876.582-397,652.393-72,086.390
Verkoop/verval van Beleggingen 0037,240.529606,942.9831,189,569.1062,041,302.2792,112,104.1231,509,393.5661,284,228.1221,404,394.2091,830,631.254283,714.896594,565.229-63,149.656222,868.14551,919.796419,931.68576,422.8632,147.34971,795.20440,065.36720,402.81638.37158,439.73959,002.71339,867.44233,828.61546,786.549
Overige Investeringsactiviteiten 2,521,696.7783,358,594.1541,139,596.833-746,190.038333,689.637214,951.779-71,151.10576,661.547200,597.191-63,267.467143,875.18546,451.548218,230.436200,474.7130,310.424131,360.238223.6725,151.032-3,055.3393,198.711-5,460.60337,652.0121,255.867-4,579.715-196.85432,417.09210,978.167-108,218.56
Kasstroom uit Investeringsactiviteiten 2,508,082.1052,999,019.037147,646.699-3,001,495.114109,845.715-203,998.56-25,258.663-1,380,962.778476,327.547402,842.877205,774.253-717,066.09130,367.912-628,435.609-77,578.699133,084.60267,321.146-132,740.452-108,530.98551,889.656-31,021.14311,960.765877.447-36,533.164-19,590.27822,217.426101,324.607-118,172.211
Financieringsactiviteiten:
Schuldaflossingen -638,554.216-1,041,454.043-1,393,036.468164,286.622-378,453.2561,159,585.835638,556.58247,679.09-631,377.378894,188.90423,520.97634,234.454877,078.833726,632.813198,485.355-528,403.68460,360.659-4,061.896-1,190.336-95,006.487-31,517.182-151,927.9298,337.188-50,590.60578,902.939-29,684.94617,102.6170
Uitgifte van Gewone Aandelen 0000100,749.220079,215.517096,547.91266,485.482483,832.125369,155.196220,953.76100135,591.64980,003.79210,163.41830,920.43610,538.80947,585.8391,089.701723.8023,690.3252,823.86811,833.7170
Terugkoop van Gewone Aandelen 0-254.4030-259.664-779.5440-2,115.964000-11,719.936000000-5,531.911-230.556-795.561-295.89-583.026000000
Uitgekeerde Dividenden -1,496,310.336-2,144,939.593-1,566,587.534-753,867.895-338,127.556-284,740.943-236,730.846-213,459.274-223,808.086-294,724.823-466,358.126-179,318.755-167,335.845-234,161.674-248,900.993-45,052.714-91,421.049-20,079-17,559.222-15,706.522-20,251.829-1,263.041-7,910.663-1,694.947-51,032.851-19,942.649-75,421.975-13,724.639
Overige Financieringsactiviteiten -149,588.996-176,761.5941,062,577.812-135,519.397184,151.502-108,906.359144,405.543-44,476.048877,073.909-56,360.739396,435.471334,822.19-15,733.111-17,555.877-65,817.264-72,698.766-102,031.065-417.9045,553.671-151.5821.847401.6613,613.931-7,215.425-2,432.914-22,316.3563,450.014114,576.619
Kasstroom uit Financieringsactiviteiten -2,284,453.548-3,363,409.633-1,897,046.19-361,588.48-432,459.634765,938.533546,231.27768,959.28521,888.445639,651.2548,363.8611,273,570.0141,044,987.278695,869.024-116,232.902-646,155.16-124,237.61644,192.884-4,562.407-81,069.471-41,433.311-99,693.6425,130.157-58,777.17526,717.246-66,017.271-44,996.598100,851.98
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 254,979.4169,283.7372,897.529383,784.002-62,301.56134,532.636142,523.495-63,964.316-40,309.40888,606.92760,401.43360,912.68-31,804.167-2,367.353-436.579-17,857.2299,997.1283,597.289574.982-3,590.321-663.185-14,818.4312,571.986-927.832-1,713.41516,983.851-5,293.1110
Netto Kasstroomverandering -1,384,458.753425,623.367-1,155,135.2021,231,492.1662,217,750.3631,933,736.864260,570.763-204,866.013341,058.834192,610.31699,232.132457,953.215-48,591.575-257,221.058405,780.873-176,046.049128,677.041-13,440.502-56,872.84451,464.638-15,286.764-37,709.39938,586.576-82,521.9383,609.317-8,826.83873,700.28843,278.654
Kaspositie aan het Einde van de Periode 5,819,131.7377,203,590.496,777,967.1227,932,351.2576,700,859.0914,483,108.7282,616,008.4182,352,915.3532,557,781.3662,216,722.5322,024,112.2161,924,880.0841,466,926.8691,515,518.4441,772,739.5021,366,958.629161,470.21530,113.10740,552.70895,421.742,429.59756,308.64593,087.17252,913.198131,362.887140,488.818145,532.80568,754.741