ORION Holdings Corp.

KRX:001800.KS

16510 (KRW) • At close November 4, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 404,731.531630,770.041568,772.628386,729.245190,319.07257,785.259215,153.916239,537.403252,770.602216,225.991233,179.143211,472.452215,497.383103,286.723108,367.547113,587.072112,854.532
Kortetermijnbeleggingen 737,965.02385,563.538211,741.69284,974.69117,978.21399,898.53196,696.95256,042.372258,557.813272,538.429311,030.959287,877.577155,424.421159,757.137112,968.215211,374.353307,349.297
Liquide middelen en kortetermijnbeleggingen 1,142,696.551,016,333.579780,514.321471,703.935308,297.283357,683.79311,850.868295,579.776511,328.415488,764.42544,210.102499,350.029370,921.804263,043.86221,335.762324,961.425420,203.829
Nettovorderingen 229,883.695330,881.307304,166.726263,497.505278,705.935262,308.002203,202.383282,483.702255,439.929301,121.924276,873.94292,988.704254,489.775269,767.502295,638.781336,719.852349,041.459
Voorraad 260,873.004236,448.834209,362.083204,062.043172,458.677180,118.279174,236.22194,383.14188,124.039215,502.126231,136.917233,652.366268,958.463220,612.57389,156.90574,414.23374,558.821
Overige vlottende activa 50,996.01397.1546,750.813,203.2381,364.2133,080.5419,273.0657,896.1336,788.25923,232.63416,173.056,295.6184,798.36243,912.70646,978.29120,127.95845,272.446
Totaal vlottende activa 1,684,449.2591,584,060.8741,300,793.939942,466.721760,826.108803,190.611698,562.536780,342.751961,680.6431,028,621.1041,068,394.0091,032,286.716899,168.404797,336.641653,109.739756,223.468889,076.555
Niet-vlottende activa:
Materiële vaste activa, netto 2,084,275.492,083,426.362,149,108.2322,029,995.6972,011,328.6031,823,994.8861,803,666.7471,817,464.4961,757,468.0571,727,056.591,708,491.2151,420,814.6281,234,306.106972,156.442817,644.082621,447.036607,298.054
Goodwill 874,343.851874,344.55874,350.163874,327.688874,133.264874,133.264873,384.34524,338.22524,058.2512,335.138,990.70838,990.70846,923.24171,121.16476,827.361162,707.727155,451.829
Immateriële activa 300,628.985354,603.354429,179.713460,302.103525,862.325582,208.593641,506.73828,977.49328,916.88827,371.35339,242.75243,445.97846,118.36433,209.86827,294.978136,167.05792,454.945
Goodwill en immateriële activa 1,174,972.8361,228,947.9041,303,529.8761,334,629.7921,399,995.5891,456,341.8571,514,891.08353,315.71852,975.13839,706.45478,233.4682,436.68693,041.605104,331.032104,122.339298,874.784247,906.774
Langetermijnbeleggingen 133,767.632-284,868.52-130,482.599-19,305.52-51,391.804-59,293.28-49,525.26687,235.961-125,676.737-239,090.44-277,950.084-256,820.893-127,017.47-108,048.842139,698.377-41,063.926-253,754.976
Belastingvorderingen 14,627.74215,561.00917,942.94318,700.51122,039.16525,659.74527,735.2684,660.9756,090.09910,728.065784.353,367.273,676.0710,286.4366,861.3734,571.8522,598.891
Overige niet-vlottende activa 46,207.099475,040.805320,895.948191,063.745223,535.993292,240.308307,519.26165,844.563346,301.593365,497.447395,663.787365,522.296216,708.836211,960.356193,937.723402,210.368426,090.838
Totaal niet-vlottende activa 3,453,850.7983,518,107.5573,660,994.3993,555,084.2253,605,507.5463,538,943.5163,604,287.0932,128,521.7142,037,158.1491,903,898.1161,905,222.7281,615,319.9881,420,715.1471,190,685.4241,262,263.8941,286,040.1141,030,139.581
Totaal activa 5,138,300.0585,102,168.4314,961,788.344,497,550.9464,366,333.6534,342,134.1284,302,849.6292,908,864.4652,998,838.7932,932,519.2192,973,616.7372,647,606.7032,319,883.5511,988,022.0651,915,373.6332,042,263.5821,919,216.136
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 122,856.194151,162.312118,639.591103,344.46989,295.52591,224.43295,727.924109,874.995122,168.302100,108.772111,029.849110,343.84179,827.90668,421.49791,227.75163,723.22366,649.293
Kortlopende schulden 103,829.506184,219.379265,382.64787,427.338132,757.782155,364.637270,298.34470,363.564353,765.863446,597.765583,958.734400,686.821388,533.504474,418.786529,937.963471,784.697347,980.983
Belastingschulden 51,793.84773,454.33255,382.56431,353.87830,985.28736,643.30917,825.1826,571.32923,732.5916,566.87424,284.39728,396.70319,168.14979,289.62833,334.9138,464.0742,646.489
Uitgestelde opbrengsten 32,026.77739,205.604256,646.539247,292.257272,590.9436,643.309222,020.051291,481.869266,336.413316,794.276404,849.478343,953.467356,073.543338,046.236255,302.495210,044.49247,026.308
Overige kortlopende verplichtingen 255,766.671288,925.303375.208127.548760.631259,801.025729.485667.436-0.001-01,454.1021,097.7871,965.6641,266.9222,300.4843,869.82111,671.808
Totaal kortlopende verplichtingen 514,479.148663,512.598641,043.986438,191.612495,404.877543,033.402588,775.801872,387.863742,270.576863,500.8131,101,292.163856,081.916826,400.617882,153.441878,768.693749,422.231673,328.392
Langlopende verplichtingen:
Langetermijnschulden 8,084.8799,451.92882,331.096241,036.518226,173.863309,611.588329,446.063276,564.601653,190.779584,524.237525,268.727576,709.037375,662.846271,308.68379,730.372360,652.251274,060.054
Uitgestelde opbrengsten niet-vlottend 72.783495.748181.406471.61778.70276.07554.53656.1965.07759.95546.35917.98385.53735,793.699069,305.1030
Uitgestelde belastingverplichtingen niet-vlottend 290,908.472301,808.164361,385.68318,963.722302,039.321310,177.211263,625.33751,516.33771,329.54570,767.31667,374.30871,448.74989,121.81233,950.90646,619.5528,518.59914,131.663
Overige niet-vlottende verplichtingen 4,941.7551,945.875,999.294,177.5794,311.4452,647.8973,042.6053,444.0215,806.87611,144.41710,359.0415,371.08218,987.0090.00149,062.7210.001109,351.702
Totaal niet-vlottende verplichtingen 304,007.888313,701.71449,897.471564,649.429533,303.33622,512.771596,168.541331,581.15730,392.277666,495.925603,048.435663,546.851483,857.204341,053.286475,412.643458,475.954397,543.419
Totaal passiva 818,487.035977,214.3081,090,941.4571,002,841.0411,028,708.2071,165,546.1731,184,944.3411,203,969.0121,472,662.8541,529,996.7391,704,340.5971,519,628.7671,310,257.821,223,206.7271,354,181.3361,207,898.1851,070,871.811
Eigen vermogen:
Preferente aandelen 0000002,075,188.6240000000000
Gewone aandelen 31,322.71131,322.71131,322.71131,322.71131,322.71131,322.14731,322.02730,042.17529,880.45529,874.84529,855.67529,834.4529,824.32529,820.4129,772.67529,772.67529,701.07
Ingehouden winsten 339,247.756719,371.054405,488.105345,729.822201,759.957181,793.5582,984,384.9631,536,514.7091,329,826.8081,200,310.7451,055,865.563918,776.52788,505.851465,534.923284,925.011275,190.678316,489.362
Overige gereserveerde algehele resultaten 267,122.01532,267.189271,897.9190,651.827197,387.608149,570.174-2,075,188.624637,590.987626,805.95400000000
Overige totale aandeelhoudersvermogen 1,558,826.8591,381,575.571,388,784.6381,398,707.0071,495,660.5271,513,380.533-1,167,847.529-604,625.421-607,802.40216,938.73836,957.44535,885.4258,393.122153,651.031139,070.545137,505.866113,072.429
Totaal eigen vermogen van aandeelhouders 2,196,519.3412,164,536.5242,097,493.3551,966,411.3671,926,130.8031,876,066.4121,847,859.461,599,522.451,378,710.8141,247,124.3281,122,678.683984,496.39876,723.298649,006.364453,768.231442,469.219459,262.861
Totaal eigen vermogen 4,319,813.0234,124,954.1233,870,846.8833,494,709.9053,337,625.4463,176,587.9543,117,905.2881,704,895.4521,526,175.9391,402,522.4811,269,276.141,127,977.9361,009,625.731764,815.338561,192.297834,365.396848,344.325
Totaal passiva en aandeelhoudersvermogen 5,138,300.0585,102,168.4314,961,788.344,497,550.9464,366,333.6534,342,134.1284,302,849.6292,908,864.4652,998,838.7932,932,519.2192,973,616.7372,647,606.7032,319,883.5511,988,022.0651,915,373.6332,042,263.5811,919,216.136