Tongyang Inc.

KRX:001520.KS

700 (KRW) • At close January 15, 2025
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 101,213.08140,124.22779,629.99458,718.13410,289.41726,543.32615,920.0129,660.866250,487.38351,243.74555,839.45697,368.242131,389.684147,411.5391,198,924.4513,060,634.4161,689,666.898
Kortetermijnbeleggingen 46894,059.189101,215.69269,332.614127,656.836132,361.575231,086.193362,743.56378,057.13731,066.73962,687.78694,766.09461,960.71789,118.5956,766,616.7116,098,959.0715,682,823.886
Liquide middelen en kortetermijnbeleggingen 118,626.815134,183.417180,845.686128,050.748137,946.252158,904.901247,006.203392,404.426628,544.5282,310.484118,527.242192,134.336193,350.401236,530.1347,965,541.1629,159,593.4877,372,490.784
Nettovorderingen 181,558.427166,065.229155,296.753149,510.266165,280.459170,183.251180,916.088172,994.019164,170.308160,739.75156,962.151473,211.095549,056.419333,828.074548,372.811610,882.287507,296
Voorraad 80,280.56182,180.1172,162.26370,766.96377,247.47478,146.29866,385.31851,178.39654,174.94450,562.61152,315.677212,839.73205,764.283165,186.94480,456.761147,254.30475,953.701
Overige vlottende activa 92,615.97941,505.68845,491.02119,795.7524,889.08725,036.45925,347.57215,693.2114,528.35416,687.851472,413.07496,529.269570,189.503375,966.669799,603.6121,214,609.8111,786,529.646
Totaal vlottende activa 473,081.783393,101.021413,725.955352,315.32388,223.599412,193.713500,727.358627,619.459857,211.524304,512.117643,255.989901,503.335969,304.187777,683.7478,845,601.53510,521,457.6029,234,974.131
Niet-vlottende activa:
Materiële vaste activa, netto 263,128.199275,257.889290,666.029293,892.404295,417.34265,439.153254,988.98264,562.169217,126.912220,609.394225,236.931,635,768.3771,725,517.7251,883,037.1811,562,115.2151,881,158.3411,688,606.133
Goodwill 0000007,254.9767,254.9767,254.9767,254.9769,146.16196,272.853100,221.814103,924.219450,568.287547,879.672555,587.256
Immateriële activa 1,2751,982.3872,448.4532,195.3325,325.1374,928.4812,344.1782,661.093,393.8443,973.086,125.949273,700.769297,822.565130,323.70872,783.621181,750.194170,899.25
Goodwill en immateriële activa 1,2751,982.3872,448.4532,195.3325,325.1374,928.4819,599.1549,916.06610,648.8211,228.05615,272.111369,973.622398,044.379234,247.927523,351.908729,629.866726,486.506
Langetermijnbeleggingen 160,237.74947,392.36369,826.743132,315.60277,160.67231,630.044-141,154.168-356,491.63-371,626.165174,795.872104,829.973238,762.097310,614.59398,090.49410,462,051.3255,220,152.1093,778,650.525
Belastingvorderingen 028,232.47219,435.87122,914.74518,745.37124,435.29723,423.1325,021.06821,535.5621,428.7481,533.9392,442.7117,025.48410,462.52235,144.42179,860.475209,862.723
Overige niet-vlottende activa 201,927.256237,584.108211,130.557193,126.792232,526.47238,924.852332,793.174434,066.452449,292.979117,873.411134,476.76252,924.107222,960.299252,944.5587,146,594.2476,862,443.3676,422,846.33
Totaal niet-vlottende activa 626,568.205590,449.22593,507.655644,444.876629,174.99565,357.828479,650.27377,074.124326,978.108525,935.481481,349.7122,499,870.9132,664,162.4782,778,782.68219,729,257.11614,773,244.15812,826,452.217
Totaal activa 1,099,649.988983,550.2411,007,233.61996,760.1961,017,398.588977,551.54980,377.6281,004,693.5831,184,189.632830,447.5981,124,605.7013,401,374.2483,633,466.6653,556,466.42928,574,858.65125,294,701.7622,061,426.348
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 112,420.11679,538.89798,199.57789,710.13692,036.52482,421.45472,105.78837,575.08579,456.07634,978.268126,035.029184,051.807246,455.833172,896.218217,919.106154,822.479128,926.164
Kortlopende schulden 93,647.08549,338.02734,199.40336,704.53922,843.3562,412.1411,870.2921,9702,000211,515.4991,184,745.8252,165,857.0732,371,406.891,815,471.8972,487,856.02811,675,564.36310,045,559.41
Belastingschulden 8,302.8497,261.845,029.195,530.4053,807.6751,609.9551,264.0882,082.53456,744.5731,649.869378.31529.585688.3462,086.81857,910.65129,417.55222,698.436
Uitgestelde opbrengsten 013,239.4454,149.93553,864.06348,791.0351,609.95530,705.89238,256.33286,711.12127,142.46243,690.036114,647.132115,349.984330,438.184616,719.5652,195,720.7531,981,979.968
Overige kortlopende verplichtingen 65,752.00627,231.814-4,660.571-5,254.76431,833.36336,501.88636,399.15678,547.25738,397.54853,794.062257,743.1121,297.062119,828.905333,852.615564,118.3582,963,929.7141,982,407.461
Totaal kortlopende verplichtingen 280,122.057176,610.018186,917.534180,554.378163,767.822122,945.435111,639.324120,174.876176,598.197301,937.6981,568,902.2632,471,735.5272,738,379.9742,324,307.5483,327,804.14314,823,279.73912,179,591.471
Langlopende verplichtingen:
Langetermijnschulden 19,351.16211,317.62417,148.8915,553.32812,707.611000000483,003.575293,893.524800,343.01633,524.547-7,249,170.5671,022,388.363
Uitgestelde opbrengsten niet-vlottend 0017,964.12920,298.37221,116.857000000149,190.2884,397127,109.6923,596,790.428,184,689.6437,239,087.529
Uitgestelde belastingverplichtingen niet-vlottend 1,103.604936.5521,209.725767.848660.422535.648342.169367.692276.1626,341.3691,392.52556,408.9580,499.22581,001.00676,850.55722,611.907100,970.931
Overige niet-vlottende verplichtingen 10,830.97311,154.05119,173.8540020,491.14916,747.55221,463.42347,339.275127,215.60830,750.8616,417.625162,617.585461.8861,764.91,323.16223,357.392
Totaal niet-vlottende verplichtingen 31,285.73923,408.22736,322.74436,619.54734,484.8920,491.14917,089.72121,831.11547,615.435153,556.97832,143.386695,020.438541,407.3341,008,915.59823,708,930.4249,144,143.7888,385,804.215
Totaal passiva 311,407.795200,018.245223,240.278217,173.926198,252.712143,436.584128,729.045142,005.991224,213.631455,494.6751,601,045.6493,166,755.9653,279,787.3083,333,223.14627,036,734.56823,967,423.52720,565,395.686
Eigen vermogen:
Preferente aandelen 513.218513.218513.218513.218513.218513.218513.218513.218513.218513.2185,191.9845,191.9845,191.98451,396.45551,396.45551,396.45551,351.985
Gewone aandelen 119,855.25119,342.032119,342.032119,342.032119,342.032119,342.032119,342.032119,342.032119,102.213117,764.192122,472.014122,472.014122,472.014377,554.025377,554.025377,554.025359,848.2
Ingehouden winsten 118,349.801111,231.171117,646.926107,050.16131,160.75144,429.577161,455.035156,753.897345,308-271,311.51-904,274.817-320,764.752-752,139.637-770,826.609-387,318.21-333,747.498-153,654.115
Overige gereserveerde algehele resultaten 1,810.28554,242.405554,740.436554,024.39554,372.356551,457.492550,993.781553,442.941254,456.76900000000
Overige totale aandeelhoudersvermogen 547,778.871553,022.489561,022.699558,729.948571,304.907571,152.092569,138.809586,668.303495,724.1491,416,028.854305,114.099327,878.592888,473.576169,460.906145,114.4317,084.72563,978.088
Totaal eigen vermogen van aandeelhouders 788,307.419783,595.692798,011.656787,500.844821,807.688834,923.701852,275.656862,764.232960,133.896373,940.677-476,688.704134,777.837263,997.937-192,652.518186,746.701126,572.108321,524.158
Totaal eigen vermogen 788,242.192783,531.995783,993.332779,586.271819,145.877834,114.956851,648.583862,687.591959,976374,952.922-476,439.948234,618.283353,679.357223,243.2831,538,124.0831,327,278.2331,496,030.662
Totaal passiva en aandeelhoudersvermogen 1,099,649.988983,550.2411,007,233.61996,760.1961,017,398.588977,551.54980,377.6281,004,693.5831,184,189.632830,447.5981,124,605.7013,401,374.2483,633,466.6653,556,466.42928,574,858.65125,294,701.7622,061,426.348