Hankook & Company Co., Ltd.

KRX:000240.KS

17680 (KRW) • At close December 20, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 196,740.51890,685.98876,219.108125,681.349103,029.504198,335.208129,484.16225,653.912124,995.571211,798.68970,876.55585,418.967635,195.528603,290.137516,653.21296,695.41178,131.293
Kortetermijnbeleggingen 58,541.08161,350.739240,065.305231,985.289170,765.774145,502.478161,268.162304,363.587304,160212,976326,464.265373,195.385314,968.377422,446.85441,099.98970,563.24241,734.775
Liquide middelen en kortetermijnbeleggingen 255,281.598152,036.728316,284.413357,666.638273,795.278343,837.686290,752.322530,017.499429,155.571424,774.689397,340.819458,614.352950,163.9041,025,736.991557,753.199367,258.652219,866.068
Nettovorderingen 253,570.331197,710.484161,377.525125,109.439129,032.085155,777.901153,954.757148,091.29827,696.9540001,419,777.515942,733.06774,861.34600
Voorraad 171,043.305164,604.881145,751.242103,938.73698,267.14484,842.60946,038.49444,489.40600001,329,259.381978,303.701895,305.3511,246,785.386690,336.548
Overige vlottende activa 31,950.67217,005.703168,305.42812,135.2823,272.48730,084.56117,166.1167,257.85441,110.89630,951.99832,217.41163,410.9531,497,209.03437,902.157129,782.80583,610.58128,929.473
Totaal vlottende activa 719,088.878531,357.796630,341.082598,850.093524,366.995590,386.119495,375.041735,097.408462,803.421455,726.687429,558.23522,025.3043,776,632.3192,984,675.9092,357,702.7012,520,807.0591,614,292.552
Niet-vlottende activa:
Materiële vaste activa, netto 285,840.387283,633.788260,993.471258,412.697252,469.654158,359.983158,925.09150,772.22429,118.29230,341.58631,180.29631,466.2963,333,178.9782,555,096.2892,426,193.3312,661,338.4882,382,835.74
Goodwill 00910.262910.2622,726.2622,627.9632,510.0950000000000
Immateriële activa 13,682.94413,746.66413,620.80413,772.52116,140.23221,828.88828,172.83734,265.0938,976.6566,423.15,691.825,052.09193,773.04533,241.81623,858.120,827.79519,514.424
Goodwill en immateriële activa 13,682.94413,746.66414,531.06614,682.78318,866.49424,456.85130,682.93234,265.0938,976.6566,423.15,691.825,052.09193,773.04533,241.81623,858.120,827.79519,514.424
Langetermijnbeleggingen 3,540,180.8293,313,612.2262,840,148.692,618,086.9752,605,214.6792,544,863.3462,376,110.0561,840,851.7861,834,222.4021,770,561.5061,524,620.26514,176.426-208,033.786-383,550.87-4,969.486-42,434.262-18,843.815
Belastingvorderingen 0-3,313,612.226334,565.428301,768.543205,518.398179,874.29190,766.816335,854.847331,162.212242,715.864361,467.432400,941.09450,208.932131,144.477143,694.401129,198.12673,975.934
Overige niet-vlottende activa 82,202.9253,473,080.428650.018650.017650.018650.019650.018650.018650.018650.018650.018650.018390,620.127437,627.456,451.51285,071.91557,505.398
Totaal niet-vlottende activa 3,921,907.0843,770,460.883,450,888.6733,193,601.0153,082,719.2422,908,204.4892,757,134.9122,362,393.9682,204,129.582,050,692.0731,923,609.831452,285.9253,659,747.2952,773,559.1122,645,227.8582,854,002.0622,514,987.681
Totaal activa 4,640,995.9624,301,818.6764,081,229.7553,792,451.1073,607,086.2383,498,590.6083,252,509.9533,097,491.3762,666,933.0012,506,418.762,353,168.061974,311.2297,436,379.6145,758,235.0215,002,930.565,374,809.1214,129,280.233
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 62,646.28640,536.42649,157.92342,351.61612,330.05644,974.24344,193.71139,761.0460000488,687.464497,965.967458,384.237406,975.857326,487.525
Kortlopende schulden 320,112.888164,215.526123,323.75194,494.22446,207.82568,343.644-20,205.23726,000.03200002,344,755.3871,582,627.9761,259,827.9841,941,787.0851,082,534.93
Belastingschulden 14,659.31319,552.4349,376.01511,697.13813,829.00918,013.01718,491.89517,468.2263,102.2626,936.0594,574.98871,000.15767,570.56869,805.71983,492.35197,816.76350,433.476
Uitgestelde opbrengsten 156.8917,126.26769,547.75565,811.02659,753.04218,013.01770,158.80456,834.5450000835,073.435503,304.506342,139.984444,385.312322,428.107
Overige kortlopende verplichtingen 64,523.75360,967.56959,924.81654,350.88543,053.74529,526.285-18,462.07535,910.79518,386.9227,098.1945,652.14113,420.013769,331.461559,445.279384,402.616441,339.076317,573.583
Totaal kortlopende verplichtingen 462,099.131285,271.956242,029.428202,893.863135,124.745196,883.225164,335.902126,215.68321,489.18414,034.25310,227.12984,420.173,670,344.882,709,844.9412,186,107.1882,887,918.7811,777,029.514
Langlopende verplichtingen:
Langetermijnschulden 19,386.01920,569.24624,330.66925,846.69412,976.1870000000452,726.161403,546.812588,515.487620,409.784560,661.059
Uitgestelde opbrengsten niet-vlottend 3,997.433,988.0983,786.0433,525.4743,473.4000000000000
Uitgestelde belastingverplichtingen niet-vlottend 120,345.836122,347.69959,879.43353,442.63851,868.86858,537.96588,348.23591,598.02978,577.11468,206.87562,674.03153,732.19700000
Overige niet-vlottende verplichtingen 18,632.97713,200.54615,981.9036,243.8419,509.8711,087.38692,066.479101,895.92378,799.8549,062.9528,935.72610,906.39396,610.435114,344.247114,800.64798,595.31582,244.419
Totaal niet-vlottende verplichtingen 162,362.262160,105.588103,731.12489,058.64777,828.32665,835.05792,066.479101,895.92378,799.85477,269.82671,609.75764,638.589549,336.597517,891.059703,316.134719,005.099642,905.478
Totaal passiva 624,304.502445,377.544345,760.552291,952.51212,953.071262,718.282256,402.381228,111.606100,289.03891,304.0881,836.887149,058.7594,219,681.4773,227,7362,889,423.3213,606,923.882,419,934.992
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 47,467.6247,467.6247,467.6246,510.08746,510.08746,510.08746,510.08746,510.08746,510.08746,510.08746,510.08714,157.4376,094.96576,094.96576,094.96576,094.96576,094.965
Ingehouden winsten 1,591,306.2512,432,332.7792,302,458.5842,151,524.9582,042,485.6921,884,292.0221,639,081.0451,489,859.0041,255,925.3381,114,488.258963,156.3526,049,084.1932,833,834.6451,636,127.751,239,637.213919,228.496980,082.361
Overige gereserveerde algehele resultaten 981,994.67981,569.491979,738.801927,233.411822,537.736728,575.727726,763.315705,016.456000000000
Overige totale aandeelhoudersvermogen 1,395,922.9182,380,778.1332,370,007.9581,634,591.7842,119,140.5962,009,669.4092,012,528.7791,990,781.921,985,174.0831,972,281.8811,957,030.281-5,237,989.153295,959.627668,132.547684,109.0841,001,510.336261,298.151
Totaal eigen vermogen van aandeelhouders 4,016,691.4593,856,441.1323,735,587.7183,389,337.5893,296,310.8363,149,346.7522,921,057.8862,803,434.6142,566,643.9632,415,114.6812,271,331.174825,252.473,205,889.2362,380,355.2621,999,841.2621,684,435.4551,668,787.055
Totaal eigen vermogen 4,016,691.4593,856,441.1323,735,469.2023,500,498.5973,394,133.1673,235,872.3262,996,107.5732,869,379.7692,566,643.9632,415,114.6812,271,331.174825,252.473,216,698.1372,530,499.0222,113,507.2391,767,885.2421,709,345.24
Totaal passiva en aandeelhoudersvermogen 4,640,995.9624,301,818.6764,081,229.7553,792,451.1073,607,086.2383,498,590.6083,252,509.9533,097,491.3762,666,933.0012,506,418.7612,353,168.061974,311.2297,436,379.6145,758,235.0225,002,930.565,374,809.1224,129,280.232