LS Networks Corporation Limited

KRX:000680.KS

4015 (KRW) • At close July 3, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 16,543.46219,190.41222,615.67151,340.5270,531.91932,103.85228,940.2945,118.2824,038.8712,980.26727,521.49215,017.07910,511.2997,149.50417,657.93621,771.8224,110.71515,352.238
Kortetermijnbeleggingen 22,949.16329,869.05635,033.33820,918.02121,409.6886,931.08112,877.4734,975.184618.785616.1353,496.3982,047.571,105.8791,466.60211,445.03691,596.036101,603.751228,091.488
Liquide middelen en kortetermijnbeleggingen 39,492.62449,059.46757,649.00972,258.5491,941.60839,034.93341,817.76350,093.46524,657.65513,596.40331,017.8917,064.64911,617.1788,616.10629,102.972113,367.856125,714.466243,443.726
Nettovorderingen 141,435.213587.21725,777.63330,986.77924,843.45184,849.97272,646.74668,481.53365,529.328106,339.093179,327.37991,522.65581,278.64146,953.64931,016.82920,715.92217,098.7223,603.191
Voorraad 93,467.799107,945.961105,903.07197,981.595114,736.141137,582.273137,428.006140,180.11144,146.68210,505.444202,138.237184,238.221179,821.484151,234.383100,382.61576,892.40664,356.7467,764.384
Overige vlottende activa 11,996.667127,906.94292,956.25278,922.01546,404.52691,111.70328,755.29513,363.86523,467.248165,227.44638,327.20511,589.28684,361.73350,249.79742,904.51122,088.85821,827.2829,051.605
Totaal vlottende activa 286,392.303285,499.588282,285.965280,148.93277,925.725267,728.91259,701.337261,759.827244,676.781389,329.292433,711.852299,226.6275,800.394210,100.286172,390.098212,349.12211,898.486340,259.715
Niet-vlottende activa:
Materiële vaste activa, netto 102,956.58894,302.05199,967.858102,489.831104,787.987131,867.279113,120.345113,680.978183,017.504217,047.443263,276.57275,630.793233,685.481215,418.618739,305.931726,532.412147,693.32126,800.807
Goodwill 00000000576.9461,806.7631,806.7631,806.7631,806.7631,806.763951.3681,453.47400
Immateriële activa 3,393.1773,552.7513,714.3052,484.8972,681.6743,157.1353,777.0174,422.1314,435.2946,221.6126,751.27,288.0427,573.1238,648.4233,813.913,894.63664.612520.358
Goodwill en immateriële activa 3,393.1773,552.7513,714.3052,484.8972,681.6743,157.1353,777.0174,422.1315,012.248,028.3758,557.9639,094.8059,379.88610,455.1864,765.2785,348.104664.612520.358
Langetermijnbeleggingen 8,774,827.774923,788.266489,375.333509,561.51423,547.512350,842.239463,136.818456,582.154436,282.216463,014.086317,173.837287,187.448293,860.422297,272.88869,164.329-9,600.886-24,682.662-218,387.513
Belastingvorderingen 993.6640735.2391,132.5651,132.6421,138.3438,970.65914,310.48510,968.4621,494.925465.44193.629591,232.339608,938.59311,627.5528,024.70518,339.3279,140.444
Overige niet-vlottende activa 432,941.6132,076.468424,363.755413,555.465418,326.254413,353.188424,933.678422,733.059381,365.58442,169.218567,222.567561,011.0810.001-0.00133,936.783104,316.259109,174.976233,581.196
Totaal niet-vlottende activa 9,315,112.8151,023,719.5351,018,156.491,029,224.268950,476.069900,358.1841,013,938.5181,011,728.8071,016,646.0011,131,754.0481,156,696.3781,133,017.7571,128,158.1291,132,085.285858,799.873834,620.594251,189.573151,655.292
Totaal activa 9,601,505.1181,309,219.1221,300,442.4551,309,373.1981,228,401.7941,168,087.0941,273,639.8551,273,488.6341,261,322.7821,521,083.341,590,408.231,432,244.3571,403,958.5231,342,185.571,031,189.9711,046,969.714463,088.059491,915.007
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 12,132.89823,933.55321,741.68917,208.76817,055.63118,492.53521,342.60730,760.64818,647.71434,231.43647,545.75323,802.11425,782.89219,382.76612,896.6219,203.0124,264.3246,902.562
Kortlopende schulden 77,507.429472,224.85873,514.73154,583.391500,935.59595,078.405116,170.017357,451.049226,316.36249,482.108382,793.67384,864.377262,924.95140,549.44510,672.8625,305.900
Belastingschulden 1,058.4611,193.715298.715641.502482.524832.2631,754.1511,682.6549,900.99713,528.1161,923.5122,993.6731,173.1582,441.0656,034.2594,895.2972,978.2140
Uitgestelde opbrengsten 0012,280.58599,577.53875,791.92753,879.2091,754.15161,982.06681,382.922106,604.91489,519.49634,788.57161,305.23627,356.1366,034.25921,583.97400
Overige kortlopende verplichtingen 107,120.487100,539.058103,130.89298,936.12375,309.4911,838.17167,700.2974,992.58271,760.92993,095.428-1,904.8831,404.04960,132.07824,915.0718,363.09716,688.67925,248.52526,762.761
Totaal kortlopende verplichtingen 197,819.275597,891.184210,966.611171,369.784593,783.241169,990.544210,475.374518,851.066326,626.001390,337.089519,877.555146,839.583350,013.07987,288.34747,966.83936,092.88832,491.06333,665.323
Langlopende verplichtingen:
Langetermijnschulden 463,566.4835,578.436446,460.52473,666.24161,327.477429,273.972352,428.38562,008.611269,328.068346,400.573170,600.944348,236.97496,163.236258,068.9741,565.5411,404.59700
Uitgestelde opbrengsten niet-vlottend 8,186.1519,091.8525,663.4756,668.6459,133.7167,697.8132,536.6961,706.2862,090.2142,592.5211,501.3731,416.6541,638.421,849.67348,389.27551,131.41100
Uitgestelde belastingverplichtingen niet-vlottend 72,677.82982,760.9475,737.89777,267.65447,691.57925,809.68250,532.90346,879.33633,586.28656,991.15391,448.67290,082.75101,188.551100,064.968112,025.952109,840.53700
Overige niet-vlottende verplichtingen 7,928,423.17619,889.11491,138.841110,708.1780,082.4122,381.45120,547.31721,192.28626,759.4494,460.10463,172.54985,557.03853,748.08102,528.5050.00151,131.4124,431.34428,917.369
Totaal niet-vlottende verplichtingen 8,472,853.636147,320.342537,599.361584,374.411141,409.887478,685.209425,015.994131,786.519331,764.008440,860.678301,177.369525,293.416252,738.287462,512.12161,980.769162,376.54424,431.34428,917.369
Totaal passiva 8,670,672.911745,211.526748,565.972755,744.195735,193.129648,675.752635,491.368650,637.584658,390.009831,197.767821,054.924672,132.999602,751.366549,800.467209,947.608198,469.43256,922.40762,582.691
Eigen vermogen:
Preferente aandelen 76.42076.4276.4276.4276.4276.4276.4276.4297.755,910.686,631.9957,331.24510,512.66535,826.4284.2384.2386.365
Gewone aandelen 394,015.08394,091.5394,015.08394,015.08394,015.08394,015.08394,015.08394,015.08394,015.08393,993.75388,180.82387,459.505386,760.255383,578.835357,637.71394,194.765394,194.765404,194.765
Ingehouden winsten 197,459.787242,341.254232,697.903234,450.423174,030.086198,463.119267,805.989252,861.199233,213.854319,881.59395,801.576395,371.986416,588.739399,769.05676,585.4858,772.56844,141.69219,341.349
Overige gereserveerde algehele resultaten 76.420354.853354.853354.853-47,575.301-387.811,789.7271,518.796368,554.97500000000
Overige totale aandeelhoudersvermogen -45,682.412-72,425.157-74,912.92-74,912.92-74,912.92-73,574.55-25,536.525-25,536.525-25,536.525-25,536.525-20,539.77-32,133.262-9,473.082-1,475.452351,192.753395,448.719-32,255.0355,709.837
Totaal eigen vermogen van aandeelhouders 545,945.296564,007.597551,876.483553,629.003493,208.666519,411.342638,148.487622,851.049602,932.772689,885.574769,353.306760,111.358801,207.157792,385.103821,242.363848,500.282406,165.652429,332.316
Totaal eigen vermogen 930,832.207564,007.597551,876.483553,629.003493,208.666519,411.342638,148.487622,851.05602,932.773689,885.574769,353.306760,111.358801,207.157792,385.103821,242.363848,500.282406,165.652429,332.316
Totaal passiva en aandeelhoudersvermogen 9,216,618.2071,309,219.1221,300,442.4551,309,373.1981,228,401.7941,168,087.0941,273,639.8551,273,488.6341,261,322.7821,521,083.341,590,408.231,432,244.3571,403,958.5231,342,185.571,031,189.9711,046,969.714463,088.059491,915.007