Namsun Aluminum Co., Ltd. (008350.KS)

KRW 1422.0

(-1.32%)

Annual Cash Flows

(In KRW)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 2.79 Billion -6.74 Billion 12.05 Billion -9.03 Billion 27.65 Billion 24.2 Billion
Net Income -263.74 Million 27.92 Billion 41.68 Billion 10.53 Billion 14.47 Billion 25.22 Billion
Depreciation & Amortization 3.98 Billion 4.21 Billion 5.12 Billion 5.48 Billion 5.47 Billion 5.29 Billion
Deferred income taxes - - - - - -
Stock-based compensation - - - - - -
Change in working capital -10.45 Billion -11.1 Billion 8.59 Billion -14.07 Billion 9.52 Billion 11.48 Billion
Other non-cash items 9.53 Billion -27.78 Billion -43.36 Billion -10.98 Billion -1.81 Billion -17.79 Billion
Investing Cash Flow -9.41 Billion 8.37 Billion 7.05 Billion 968.2 Million -2.62 Billion -8.21 Billion
Investments in PPE -3.61 Billion -3.07 Billion -2.38 Billion -2.57 Billion -3.03 Billion -19.9 Billion
Acquisitions 121.08 Million 176.62 Million 11.89 Billion 5.36 Billion 100.02 Million 5.03 Billion
Investment purchases -8.18 Billion -3.15 Billion -5.08 Billion -2.58 Billion -19.75 Billion -14.65 Billion
Sales/Maturities of investments 2.19 Billion 8.15 Billion 2.55 Billion 1 Billion 20.19 Billion 21.17 Billion
Other Investing Activities 67.48 Million 6.27 Billion 65.72 Million -237.02 Million -131.88 Million 130.7 Million
Financing Cash Flow 19.06 Billion 26.44 Billion -10.23 Billion -2.98 Billion -10.93 Billion -6.45 Billion
Debt repayment -19.23 Billion -63.84 Billion -45.72 Billion -69.68 Billion -157.06 Billion -187.02 Billion
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance - 37.91 Billion - - - -
Other Financing Activities 38.29 Billion 52.37 Billion 35.48 Billion 66.69 Billion 146.13 Billion 180.56 Billion
Accounts receivables -29.64 Billion -433.26 Million 11.25 Billion 6.73 Billion 16.32 Billion 12.05 Billion
Accounts payables 19.22 Billion -1.72 Billion 116.38 Million -3 Billion -4.26 Billion 301.94 Million
Inventory 7.08 Billion 3.51 Billion -13.54 Billion -7.78 Billion 5.75 Billion 1.21 Billion
Other working capital -7.12 Billion -12.46 Billion 10.77 Billion -10.02 Billion -8.29 Billion 10.26 Billion
Cash at beginning of period 53.51 Billion 25.44 Billion 16.56 Billion 27.62 Billion 13.53 Billion 4 Billion
Cash at end of period 65.95 Billion 53.51 Billion 25.44 Billion 16.56 Billion 27.62 Billion 13.53 Billion
Capital Expenditure -3.61 Billion -3.07 Billion -2.38 Billion -2.57 Billion -3.03 Billion -19.9 Billion
Effect of forex changes on cash -2.04 Million - 10.00 -6.98 Million -2.33 Million -344.02 Thousand
Net cash flow / Change in cash 12.44 Billion 28.07 Billion 8.87 Billion -11.06 Billion 14.09 Billion 9.53 Billion
Free Cash Flow -816.3 Million -9.82 Billion 9.67 Billion -11.6 Billion 24.62 Billion 4.3 Billion

Cash Flow Charts