Chunil Express Co., Ltd.

KRX:000650.KS

41350 (KRW) • At close October 17, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,970.9177,608.06113,293.1224,847.8941,046.0771,273.3242,534.5152,287.2823,496.9211,980.4352,675.4722,071.2891,017.0431,352.038426.4731,089.0971,037.236
Kortetermijnbeleggingen 6666310.958873.24916,616.458,381.515,887.6817,813.69710,609.53516,778.1915,519.463.383.2053.55511.111
Liquide middelen en kortetermijnbeleggingen 2,976.9177,614.06113,299.1224,853.8941,046.0772,146.57319,150.96510,668.78219,384.60119,794.13213,285.00718,849.47916,536.5031,355.418429.6781,092.6521,048.347
Nettovorderingen 1,521.5881,462.1531,217.88910,343.77710,767.14110,331.1839,715.532,181.3192,367.272,256.9551,967.1641,987.9871,565.8351,311.0181,405.3951,363.4591,290.363
Voorraad 298.863404.664279.457303.906336.2333.643276.148313.451383.668333.618363.058323.155416.173415.189342.581367.445310.501
Overige vlottende activa 740.605000-0-0-000.0010-00-014,173.0116,183.10914,082.2229,417.511
Totaal vlottende activa 5,537.9729,480.87814,796.46815,501.57712,149.41812,811.39929,142.64313,163.55322,135.54122,384.70615,615.22921,160.62118,518.51117,254.63518,360.76316,905.77812,066.722
Niet-vlottende activa:
Materiële vaste activa, netto 13,977.36712,616.57114,407.20617,961.41719,184.42316,751.67615,738.95413,708.90615,205.16114,268.14411,190.49610,407.97911,004.93919,360.07321,806.03220,332.33222,827.919
Goodwill 00000000000000000
Immateriële activa 927.602927.602927.602927.602927.602717.602717.602717.602717.602717.602581.88581.88581.880000
Goodwill en immateriële activa 927.602927.602927.602927.602927.602717.602717.602717.602717.602717.602581.88581.88581.880000
Langetermijnbeleggingen 34,815.83427,088.00227,776.46227,876.85433,525.9634,914.089-9,232.173-997.523-8,503.028-10,427.6814,948.323-9,079.502-7,805.3927,777.3392,912.7942,974.1682,729.699
Belastingvorderingen 5,572.9934,205.5974,798.3124,752.46814,257.3815,214.26131,475.4164,585.99433,512.33235,330.23328,002.69134,156.66132,378.6590000
Overige niet-vlottende activa 0527.00900-00-021,363.449-0-00-00.0011,121.949609.895621.344584.74
Totaal niet-vlottende activa 55,293.79645,364.7847,909.58251,518.3467,895.36467,597.62838,699.79839,378.42740,932.06739,888.29744,723.3936,067.01936,160.08628,259.36125,328.72123,927.84426,142.358
Totaal activa 60,831.76854,845.65862,706.0567,019.91780,044.78280,409.02767,842.44252,541.98163,067.60862,273.00260,338.61957,227.63954,678.59645,513.99643,689.48440,833.62238,209.08
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,209.8381,360.051930.633796.9821,532.8421,375.8141,442.8091,472.0381,374.1741,623.421,706.3161,872.9131,815.8342,402.9422,321.8011,983.72,128.17
Kortlopende schulden 623.14311,552.406545.631556.1768,964.3731,575.194000000002,113.42901,286.856
Belastingschulden 0.006455.322321.217271.048579.462709.5598,257.0151,671.226496.7581,027.8021,308.175179.988421.732883.1631,026.9261,159.3621,079.639
Uitgestelde opbrengsten 186.568132.2884,686.2477,417.3567,349.099709.559000000005,269.71105,981.744
Overige kortlopende verplichtingen 6,671.8544,961.81-0.0010-06,233.87613,929.947,010.8469,600.668,738.4368,818.4058,005.3277,088.7186,911.991-0.0015,917.859-0.001
Totaal kortlopende verplichtingen 8,691.40218,006.5566,162.518,770.51417,846.3149,894.44215,372.7498,482.88410,974.83410,361.85610,524.7219,878.248,904.5529,314.9339,704.947,901.5599,396.769
Langlopende verplichtingen:
Langetermijnschulden 11,0001,272.10111,984.65812,423.5981,329.48300000000009000
Uitgestelde opbrengsten niet-vlottend 1,211.564004,006.2220000000000000
Uitgestelde belastingverplichtingen niet-vlottend 9,675.9734,899.6264,755.9033,880.5617,512.7398,049.8751,371.5141,268.1751,659.2761,110.9531,355.4891,308.9281,874.67158.34889.04979.07753.079
Overige niet-vlottende verplichtingen 11,193.8814,051.6223,874.732-02,352.479581.0563,959.3983,935.7861,251.8974,541.553,881.9314,864.0872,795.8183,657.5623,718.1674,666.7594,090.73
Totaal niet-vlottende verplichtingen 33,081.41710,223.34920,615.29320,310.38211,194.7018,630.9315,330.9125,203.9612,911.1745,652.5035,237.426,173.0154,670.4893,715.913,807.2165,645.8364,143.809
Totaal passiva 41,772.81928,229.90626,777.80329,080.89629,041.01518,525.37320,703.66113,686.84613,886.00816,014.35915,762.14116,051.25513,575.04113,030.84313,512.15613,547.39513,540.578
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 7,146.17,146.17,146.17,146.17,146.17,146.17,146.17,146.17,146.17,146.17,146.17,146.17,146.17,146.17,146.17,146.16,741.6
Ingehouden winsten -13,672.0384,191.23712,966.49414,940.37619,750.14229,108.38240,089.58531,806.2442,132.0339,207.70937,528.32934,129.42334,056.21325,283.45622,978.07920,089.1317,842.847
Overige gereserveerde algehele resultaten 25,658.38823,334.79727,872.03430,908.92735,590.85637,112.50314,845.42613,701.126000000000
Overige totale aandeelhoudersvermogen -73.501-8,056.381-12,056.381-15,056.381-11,483.331-11,483.331-14,942.331-13,798.331-96.53-95.166-97.951-99.139-98.75853.59753.1550.99884.056
Totaal eigen vermogen van aandeelhouders 19,058.94926,615.75335,928.24737,939.02151,003.76761,883.65447,138.7838,855.13549,181.646,258.64344,576.47841,176.38441,103.55532,483.15330,177.32927,286.22824,668.503
Totaal eigen vermogen 19,058.94926,615.75335,928.24737,939.02151,003.76761,883.65447,138.7838,855.13549,181.646,258.64344,576.47841,176.38441,103.55532,483.15330,177.32927,286.22824,668.503
Totaal passiva en aandeelhoudersvermogen 60,831.76854,845.65862,706.0567,019.91780,044.78280,409.02767,842.44252,541.98163,067.60862,273.00260,338.61957,227.63954,678.59645,513.99643,689.48540,833.62338,209.081