Dongwha Pharm.Co.,Ltd

KRX:000020.KS

7380 (KRW) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 72,317.11534,347.10460,479.64358,596.43137,779.18340,614.51531,588.1735,730.37744,889.37632,623.18128,164.08818,119.21635,134.38718,140.9959,516.179,967.3044,677.3969,428.619
Kortetermijnbeleggingen 14,917.06573,347.41161,03061,734.41282,239.76463,067.42198,093.26231,0206,0203,055.5273,02016,0201,9202,341.6017,262.84522,954.88352,778.45150,961.639
Liquide middelen en kortetermijnbeleggingen 87,234.18107,694.515121,509.643120,330.843120,018.947103,681.936129,681.43266,750.37750,909.37635,678.70831,184.08834,139.21637,054.38720,482.59616,779.01532,922.18757,455.84760,390.258
Nettovorderingen 74,484.28572,638.22362,266.67762,773.24981,837.58280,247.03268,212.35458,164.14557,954.3856,486.69855,138.90955,501.8763,104.06261,067.23851,125.25553,184.09652,688.30754,745.477
Voorraad 70,697.18446,783.64236,243.97739,504.16633,430.79243,717.60336,606.24326,577.32726,150.9328,382.29730,436.75831,594.44332,162.70839,026.81837,446.76741,372.67226,225.33317,716.975
Overige vlottende activa 5,284.39411.091178.343135.233169.667240.8930-00-00.1820.1830.1980.1980.1970.1970.1970.197
Totaal vlottende activa 237,700.038227,527.471220,198.64222,743.49235,456.988227,887.463234,500.03151,491.848135,014.686120,547.703116,759.938121,235.712132,321.355120,576.85105,351.234127,479.152136,369.684132,852.907
Niet-vlottende activa:
Materiële vaste activa, netto 188,330.487151,152.68142,850.525130,950.7799,214.896,772.495103,746.341142,170.913151,777.299161,854.137171,902.299183,871.644188,283.834149,283.635154,301.668168,856.28771,262.65353,292.551
Goodwill 20,483.2774,555.7924,555.7924,555.79200000000000000
Immateriële activa 35,994.54311,146.68513,582.39212,417.0465,464.6535,581.1696,137.0266,442.3376,431.7967,107.5978,265.2634,194.7075,222.5955,292.2824,574.1631,398.7021,109.421904.485
Goodwill en immateriële activa 56,477.8215,702.47718,138.18416,972.8385,464.6535,581.1696,137.0266,442.3376,431.7967,107.5978,265.2634,194.7075,222.5955,292.2824,574.1631,398.7021,109.421904.485
Langetermijnbeleggingen 73,880.082-16,766.556-9,737.101-11,957.027-52,000.051-26,567.663-76,135.356-9,620.8910,668.89614,883.60211,452.312-1,684.311,036.78310,032.4816,383.52-10,928.394-42,829.699-41,631.304
Belastingvorderingen 6,241.7846,400.0146,194.2223,965.6015,652.43,858.358883.8323,100.3287,274.3545,624.5334,117.84116,666.912,566.911,265.04674.060052,196.627
Overige niet-vlottende activa 2,342.19777,120.37370,160.01671,132.12882,239.76363,067.42198,093.26231,0206,0203,055.5273,667.888-0-037,559.60538,307.08624,666.88254,510.902333.117
Totaal niet-vlottende activa 327,272.37233,608.988227,605.847211,064.31140,571.565142,711.78132,725.104173,112.689182,172.344192,525.397199,405.603203,048.961207,110.122203,433.049203,640.497183,993.47784,053.27765,095.476
Totaal activa 564,972.409461,136.459447,804.487433,807.8376,028.553370,599.243367,225.133324,604.537317,187.03313,073.1316,165.541324,284.672339,431.477324,009.899308,991.731311,472.628220,422.961197,948.382
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 31,412.26622,231.80117,118.71418,522.17517,322.51229,965.37521,776.29825,671.94917,169.60717,980.09618,495.63717,645.46922,057.02517,923.08716,552.6456,548.5586,778.4634,789.055
Kortlopende schulden 20,371.5464,619.6626,418.47911,614.2911,793.242-6,855.765002,0004,0004,00010,00018,50024,25031,62613,336.755,8258,596.4
Belastingschulden 2,224.455,443.7597,788.1358,607.1610,332.8265,101.56716,384.0366,055.3463,657.8633,216.5656,404.87311,585.4863,065.4585,896.5091,799.7339,829.30413,505.5117,065.689
Uitgestelde opbrengsten 1,440.6531,202.09536,935.24131,417.30629,671.0766,855.7650049,979.44146,935.03950,876.97454,954.38547,303.16600019,974.3511,670.619
Overige kortlopende verplichtingen 52,909.3947,508.7815,988.8695,940.2316,927.79730,832.90738,940.35129,780.1270-00-0.0010.00140,484.47844,506.36560,366.55-0.001-0.001
Totaal kortlopende verplichtingen 106,133.85575,562.33966,461.30267,494.00255,714.62760,798.28260,716.64955,452.07669,149.04868,915.13573,372.61282,599.85387,860.19282,657.56592,685.0180,251.85832,577.81225,056.073
Langlopende verplichtingen:
Langetermijnschulden 16,127.682,044.3145,055.6524,074.5345,115.994000002,000010,00018,500020,000336.751,161.75
Uitgestelde opbrengsten niet-vlottend 11,756.13322.87240.47216,775.0890000000030,162.1846,771.66304,435.78310,013.0457,792.044
Uitgestelde belastingverplichtingen niet-vlottend 6,772.1812,096.1632,702.8952,476.021000000030.316394.8412,165.6462,109.7891,421.8992,253.6684,431.661
Overige niet-vlottende verplichtingen 16,867.0142,737.52113,410.946305.91314,323.33812,400.319,563.75616,227.16117,920.2414,432.18313,561.80114,659.833-18,609.614-0.0015,317.8790.001-3,900.206-1,491.382
Totaal niet-vlottende verplichtingen 51,523.0086,900.86921,209.96523,631.55719,439.33212,400.319,563.75616,227.16117,920.2414,432.18315,561.80114,690.14921,947.41227,437.3087,427.66825,857.6838,703.25711,894.073
Totaal passiva 157,656.86382,463.20887,671.26791,125.5675,153.95973,198.59170,280.40571,679.23787,069.28883,347.31788,934.41397,290.002109,807.603110,094.872100,112.678106,109.54141,281.06936,950.146
Eigen vermogen:
Preferente aandelen 1,154.31900000000000000000
Gewone aandelen 27,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.4727,931.47
Ingehouden winsten 34,480.73311,972.217290,329.022270,244.779198,844.679195,595.446239,897.65197,195.919174,195.361173,103.713170,147.33169,661.268172,752.303119,334.253113,223.53110,695.81486,087.65667,944.022
Overige gereserveerde algehele resultaten 293,197.729274,806.014261,485.483246,425.108236,228.664231,694.348193,382.45170,258.359159,610.331000000000
Overige totale aandeelhoudersvermogen 15,015.254-250,309.274-232,811.051-213,345.842-162,130.219-158,130.219-164,266.841-142,460.448-131,619.41928,690.629,152.32829,401.93228,940.166,649.30367,724.05366,735.80365,122.76665,122.744
Totaal eigen vermogen van aandeelhouders 371,779.503364,400.427346,934.924331,255.515300,874.594297,091.045296,944.728252,925.3230,117.742229,725.782227,231.127226,994.67229,623.874213,915.026208,879.053205,363.087179,141.892160,998.236
Totaal eigen vermogen 407,315.545378,673.251360,133.22342,682.24300,874.594297,400.652296,944.728252,925.3230,117.742229,725.782227,231.127226,994.67229,623.874213,915.026208,879.053205,363.087179,141.892160,998.236
Totaal passiva en aandeelhoudersvermogen 564,972.409461,136.459447,804.487433,807.8376,028.553370,599.243367,225.133324,604.537317,187.03313,073.1316,165.541324,284.672339,431.477324,009.899308,991.731311,472.628220,422.961197,948.382