Chosun Refractories Co.,Ltd.

KRX:000480.KS

5710 (KRW) • At close September 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 93,703.251132,146.462116,827.462116,758.50358,930.53431,872.38729,319.32737,216.44429,123.09712,020.46139,439.32134,407.97822,121.34133,991.21515,910.4089,821.26813,083.871
Kortetermijnbeleggingen 64,609.93764,809.57453,642.629129,929.65865,864.71763,066.10558,868.25231,237.05650,372.47832,723.10228,959.16211,735.848,256.846,393.437,199.4977,081.0282,866.666
Liquide middelen en kortetermijnbeleggingen 158,313.189196,956.036170,470.091246,688.161124,795.25194,938.49288,187.57868,453.579,495.57544,743.56368,398.48346,143.81830,378.18140,384.64523,109.90516,902.29615,950.537
Nettovorderingen 137,748.768124,794.404125,336.743102,578.75116,035.602132,848.545114,252.532160,366.869136,458.678150,140.511137,273.932170,881.249163,753.959142,269.4950093,690.79
Voorraad 128,924.371138,598.909119,758.226101,479.952124,932.937141,725.799150,964.459121,684.079120,607.036144,451.826140,200.202148,512.1146,356.235131,667.44114,500.913119,815.14284,603.056
Overige vlottende activa 6,043.4310-0.0010-0.001-0-0-0-0-00.00100.001-0.001148,388.536114,323.1020.001
Totaal vlottende activa 431,029.759460,349.349415,565.059450,746.862365,763.79369,512.835353,404.569350,504.448336,561.288339,335.9345,872.618365,537.167340,488.376314,321.579285,999.354251,040.54194,244.384
Niet-vlottende activa:
Materiële vaste activa, netto 382,958.819367,059.923420,831.582362,853.913370,199.56375,897.269369,640.658363,836.182377,366.034448,629.827470,679.894461,831.625449,369.461283,246.088276,595.491288,516.811284,757.517
Goodwill 12,264.77712,828.76518,102.4995,338.850000032,095.56532,095.56532,095.56532,095.56529,121.45131,129.99333,138.53633,900.504
Immateriële activa 8,999.3679,187.66110,049.2797,681.5438,072.1477,585.9237,237.3538,476.1989,075.67911,404.0212,255.00812,599.65312,444.8886,606.5427,583.7938,732.2378,090.455
Goodwill en immateriële activa 21,264.14422,016.42628,151.77813,020.3938,072.1477,585.9237,237.3538,476.1989,075.67943,499.58544,350.57344,695.21844,540.45335,727.99338,713.78641,870.77341,990.959
Langetermijnbeleggingen 762,444.393357,066.605394,449.453256,784.822222,800.196180,458.091176,369.796182,612.50896,923.226194,095.92223,525.588263,280.306289,329.054328,052.765398,891.895254,835.897355,530.312
Belastingvorderingen 12,609.8031,311.6961,315.654975.7754,263.9821,580.8571,164.446571.70664.38258.15317.18631,915.75329,945.1182,956.078603.685360.464790.416
Overige niet-vlottende activa 11,494.94412,638.05489,022.452161,896.15197,959.69795,587.2391,409.464,225.03383,706.56185,289.44248,748.984-00.00131,722.82432,163.5934,208.11730,892.688
Totaal niet-vlottende activa 1,190,772.11,160,092.704933,770.919795,531.053703,295.582661,109.369645,821.653619,721.627567,135.883771,572.926787,322.225801,722.903813,184.086681,705.748746,968.447619,792.062713,961.892
Totaal activa 1,621,801.8591,620,442.0531,349,335.9771,246,277.9161,069,059.3721,030,622.205999,226.222970,226.075903,697.1711,110,908.8261,133,194.8431,167,260.0691,153,672.463996,027.3271,032,967.801870,832.602908,206.276
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 69,532.51763,858.8968,761.08453,951.65959,217.17262,436.62968,455.94972,539.35363,878.76780,677.65474,688.33175,930.54867,714.53369,197.72976,210.67361,526.64340,150.298
Kortlopende schulden 545,771.765375,227.981268,211.238241,866.648123,377.028134,995.567137,543.379124,128.251102,712.419142,571.503107,695.352125,382.223168,259.365167,924.61178,087.992177,862.971145,605.632
Belastingschulden 7,914.9178,204.64112,439.2754,423.4392,649.2125,707.9865,752.9456,219.4859,307.50413,874.0428,284.9087,769.8657,039.5958,531.0535,263.3441,025.1796,566.104
Uitgestelde opbrengsten 7,684.11825,797.519111,193.469109,428.83597,825.79321,992.20283,249.38984,381.10933,611.80439,835.7338,316.30549,102.98436,649.3128,531.0535,263.3441,025.17926,730.986
Overige kortlopende verplichtingen 87,431.7186,416.50100-067,165.13-0.001026,804.6365,719.2016,753.0434,576.072022,321.95432,602.2623,337.88-0.001
Totaal kortlopende verplichtingen 710,420.11551,300.892448,165.791405,247.142280,419.993286,589.528289,248.716281,048.713227,007.626268,804.089227,453.031254,991.827272,623.211267,975.346292,164.269263,752.673212,486.915
Langlopende verplichtingen:
Langetermijnschulden 31,679.914192,083.42951,535.40641,533.9732,842.068176,776.06830,263.56331,798.75117,588.62575,193.81113,639.958128,552.44697,209.41489,501.8187,249.9993,434.8679,499.6
Uitgestelde opbrengsten niet-vlottend 3,435.4291,003.177330.268385.016595.51711.177623.812597.3041,105.28216,185.84219,379.11922,891.8425,478.58878,281.10881,527.69782,572.7250
Uitgestelde belastingverplichtingen niet-vlottend 21,662.63124,859.94934,426.54825,997.00220,271.02819,944.95224,308.29321,442.69915,884.10536,912.850,018.41156,135.05366,472.3446,979.48554,237.84522,978.28758,811.696
Overige niet-vlottende verplichtingen 24,101.2224,130.67526,198.540,468.94231,598.327-147,099.1361,164.3331,145.01240,827.04763,371.37463,329.22367,646.27870,016.210.0010.002-0.00182,537.621
Totaal niet-vlottende verplichtingen 80,879.193242,077.23112,490.722108,384.92985,306.93250,333.0656,360.00154,983.76575,405.059191,663.825246,366.711275,225.617259,176.551214,762.404223,015.534198,985.871220,848.917
Totaal passiva 791,299.303793,378.122560,656.513513,632.072365,726.925336,922.588345,608.717336,032.478302,412.685460,467.914473,819.742530,217.444531,799.762482,737.75515,179.803462,738.544433,335.832
Eigen vermogen:
Preferente aandelen 000006,493.9500000000000
Gewone aandelen 23,445.24520,00020,00020,00020,00020,00020,00020,00020,00020,00020,00020,00020,00020,00020,00020,00020,000
Ingehouden winsten 144,353.334602,767.369559,953.176537,650.21471,270.608454,424.27439,082.17436,731.22436,177.393433,795.311417,263.399400,199.779377,229.896234,549.088206,829.846184,935.635180,953.074
Overige gereserveerde algehele resultaten 340,147.037451,365.7442,587.539389,718.823371,284.266-6,493.95376,101.869364,017.094312,683.60900000000
Overige totale aandeelhoudersvermogen 82,767.672-382,658.664-357,658.664-330,158.664-270,785112,849.889-277,886.13-277,886.13-256,086.1394,079.54116,730.745133,031.685145,977.344198,480.532231,981.876146,177.225222,033.552
Totaal eigen vermogen van aandeelhouders 590,713.289691,474.405664,882.051617,210.369591,769.874587,274.159557,297.909542,862.184512,774.872547,874.851553,994.144553,231.464543,207.24453,029.62458,811.722351,112.86422,986.626
Totaal eigen vermogen 830,502.556827,063.931788,679.464732,645.844703,332.447693,699.617653,617.505634,193.597601,284.486650,440.912659,375.101637,042.625621,872.701513,289.578517,787.998408,094.058474,870.444
Totaal passiva en aandeelhoudersvermogen 1,621,801.8591,620,442.0531,349,335.9771,246,277.9161,069,059.3721,030,622.205999,226.222970,226.075903,697.1711,110,908.8261,133,194.8431,167,260.0691,153,672.463996,027.3281,032,967.801870,832.602908,206.276