Eugene Investment & Securities Co.,Ltd.

KRX:001200.KS

3675 (KRW) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 446,255.2821,587,253.5161,832,821.7871,932,600.642918,846.5871,582,621.6041,175,528.6871,018,010.0781,051,933.557550,366.22409,505.929464,282.432372,096.567476,747.427554,659.858293,316.561314,730.526354,912.962
Kortetermijnbeleggingen 878,257.065908,643.4681,123,591.333596,262.56384,892.103125,333.5543,844,456.6443,409,770.8673,276,696.277000000000
Liquide middelen en kortetermijnbeleggingen 1,324,512.3471,587,253.5161,832,821.7871,932,600.642918,846.5871,582,621.6041,175,528.6871,018,010.0781,051,933.557550,366.22409,505.929464,282.432372,096.567476,747.427554,659.858293,316.561314,730.526354,912.962
Nettovorderingen 1,780,597.978596,889.585939,308.3041,544,746.797632,535.604606,461.566785,229.06359,103.077324,335.783243,971.262225,151.423455,052.282277,477.86649,324.52572,156.8453,871.54835,572.06119,520.977
Voorraad 03,117,392.1053,502,185.2153,552,318.9051,611,325.0531,895,146.7165,854,112.2924,633,845.8530000000000
Overige vlottende activa -3,105,110.325-3,117,392.105-3,502,185.215-3,552,318.905-1,611,325.053-1,895,146.716-5,854,112.292-4,633,845.8530000000000
Totaal vlottende activa 446,368.4342,184,143.1012,772,130.0913,477,347.4391,551,382.1912,189,083.171,960,757.7471,377,113.1551,376,269.34794,337.482634,657.352919,334.714649,574.433526,071.952626,816.698347,188.109350,302.587374,433.939
Niet-vlottende activa:
Materiële vaste activa, netto 89,469.6399,461.387108,442.63165,416.46253,891.05631,049.30929,495.01531,486.23131,554.28128,599.91826,902.64628,834.95128,002.0622,463.62125,906.75631,235.39723,263.71115,147.8
Goodwill 00000000000000007,967.51214,447.584
Immateriële activa 36,030.13930,794.84230,507.92328,423.30528,248.59931,541.11533,161.98434,405.04635,649.86536,548.0422,955.30625,758.21231,311.03211,780.33614,124.5965,967.8083,057.1211,303.034
Goodwill en immateriële activa 36,030.13930,794.84230,507.92328,423.30528,248.59931,541.11533,161.98434,405.04635,649.86536,548.0422,955.30625,758.21231,311.03211,780.33614,124.5965,967.80811,024.63315,750.618
Langetermijnbeleggingen 112,897.6964,513,198.0865,033,621.1425,390,077.7715,334,421.0964,083,786.9844,097,462.7053,675,324.753,490,216.9343,337,941.8322,743,969.6972,374,645.7372,163,839.4241,772,889.9291,608,038.1921,269,004.8851,144,943.478351,742.359
Belastingvorderingen 3,195.0123,739.4299,175,464.95610,076,939.6627,738,401.5216,086.48510,395.73113,256.88827,141.276000000000
Overige niet-vlottende activa -241,592.476-3,739.429-9,175,464.956-10,076,939.662-7,738,401.52-16,086.485-10,395.731-13,256.888-27,141.276-3,403,089.789-2,793,827.649-2,429,238.9-2,223,152.517-1,807,133.886-1,648,069.544-1,306,208.09-1,179,231.822-382,640.777
Totaal niet-vlottende activa 8,252,963.6094,643,454.3155,172,571.6975,483,917.5375,416,560.7524,146,377.4084,160,119.7043,741,216.0273,557,421.083,403,089.7892,793,827.6492,429,238.92,223,152.5171,807,133.8861,648,069.5441,306,208.091,179,231.822382,640.777
Totaal activa 8,699,332.0438,076,408.2999,175,464.95610,076,939.6627,738,401.527,250,332.2867,209,863.6445,890,801.7395,584,266.7314,663,206.6793,815,680.8723,710,262.2273,324,299.5832,808,629.9942,605,180.541,958,843.4121,985,303.761867,923.129
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00000000287,299.803234,314.148186,294.456461,945.001272,066.45320,519.15966,077.09538,694.52145,527.4911,836.573
Kortlopende schulden 2,936,566.5572,568,828.52,222,066.2013,162,948.4322,422,434.2472,074,179.5882,470,474.0672,001,088.8851,887,925.399000000000
Belastingschulden 2,247.442,379.8988,388.879020,368.4939,155.6360000000068.51907,110.2714,773.436
Uitgestelde opbrengsten 4,714.1367,687.5135,842.9593,388.0487,656.7948,527.6629,119.7746,182.5414,088.466000000000
Overige kortlopende verplichtingen -6,961.576-2,578,895.911-2,236,298.039-3,166,336.48-2,450,459.535-2,091,862.886-2,479,593.841-2,007,271.426-2,179,313.668-468,628.296-372,588.913-923,890.002-544,132.906-41,038.318-132,222.709-77,389.042-98,165.253-8,446.582
Totaal kortlopende verplichtingen 2,936,566.5572,568,828.52,222,066.2013,162,948.4322,422,434.2472,074,179.5882,470,474.0672,001,088.885287,299.803234,314.148186,294.456461,945.001272,066.45320,519.15966,077.09538,694.52145,527.4911,836.573
Langlopende verplichtingen:
Langetermijnschulden 1,245,412.4271,290,751.3081,825,367.2581,654,788.031,159,535.28898,083.2551,120,654.238764,465.96750,980.154704,471.537519,269.118668,074.821660,461.1573,675.455369,402.911261,912.395357,340.94338,680.263
Uitgestelde opbrengsten niet-vlottend 4,714.1367,687.5135,842.9593,388.0487,656.7948,527.6629,119.7746,182.5414,088.466000000000
Uitgestelde belastingverplichtingen niet-vlottend 35,475.330,046.92330,927.80421,835.2641,382.88735,332.55232,474.90830,262.40331,090.45000000000
Overige niet-vlottende verplichtingen 2,414,972.9645,772,278.536-36,770.763-25,223.312-9,039.6825,556,689.6555,339,626.4084,425,506.82-498,859.267-470,157.388-332,974.661-668,074.821-388,394.647-553,156.296-303,325.816-223,217.874-311,813.452-36,843.69
Totaal niet-vlottende verplichtingen 3,700,574.8277,100,764.2791,825,367.2581,654,788.031,159,535.286,498,633.1246,501,875.3295,226,417.724287,299.803234,314.148186,294.456668,074.821272,066.45320,519.15966,077.09538,694.52145,527.4911,836.573
Totaal passiva 7,687,427.3447,100,764.2791,825,367.2581,654,788.031,159,535.286,498,633.1246,501,875.3295,226,417.7244,970,749.9934,093,381.4323,330,824.0013,215,159.5342,780,541.2072,161,096.7282,009,151.5941,388,463.71,309,998.047526,889.576
Eigen vermogen:
Preferente aandelen 323,808.801299,567.325294,757.189226,636.42160,731.954194,044.698153,395.39597,265.4480000000000
Gewone aandelen 537,592.09537,592.09537,592.09537,592.09537,592.09537,592.09537,592.09537,592.09537,592.09537,592.09343,147.09343,147.09343,147.09343,147.093343,147.093343,084.838329,933.96188,561.58
Ingehouden winsten 323,808.801318,793.659313,097.863234,037.888165,471.872197,135.827154,912.97698,792.84952,387.195424.377-5,687.863-78,416.432-22,673.954-38,351.8755,005.842-4,603.228125,288.84100,502.026
Overige gereserveerde algehele resultaten 159,937.895147,918.691132,817.357105,326.61390,215.93686,224.96415,972.51428,498.161596,216.851000000000
Overige totale aandeelhoudersvermogen -333,242.887-328,227.745-317,453.357-238,393.383-164,443.556-263,298.418-153,884.659-97,764.532-572,679.39831,808.78147,397.644230,372.035223,285.24248,401.248229,304.489227,101.356208,058.88537,194.233
Totaal eigen vermogen van aandeelhouders 1,011,904.7975,644.019960,811.141865,199.629789,568.296751,699.162707,988.315664,384.015613,516.738569,825.247484,856.871495,102.693543,758.376553,196.466577,457.424565,582.966663,281.685326,257.839
Totaal eigen vermogen 3,931,901.963,450,167.5463,411,186.4693,835,270.8093,913,739.4862,835,231.798-167,178.598-183,412.541613,516.738569,825.247484,856.871495,102.693543,758.376647,533.266596,028.946570,379.712675,305.714341,033.553
Totaal passiva en aandeelhoudersvermogen 8,699,332.0438,076,408.2999,175,464.95610,076,939.6627,738,401.527,250,332.2867,209,863.6445,890,801.7395,584,266.7314,663,206.6793,815,680.8723,710,262.2273,324,299.5832,808,629.9942,605,180.541,958,843.4121,985,303.761867,923.129