Asia Holdings Co., Ltd.

KRX:002030.KS

254000 (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 264,197.201212,527.665225,792.647191,546.77208,777.751214,562.326181,700.751148,651.01295,497.76292,472.019118,522.66195,568.26265,498.45162,871.37671,442.10439,389.4959,842.494
Kortetermijnbeleggingen 83,450.33132,163.414103,609.85135,720.30342,962.11532,658.04467,447.44184,629.97579,153.211100,046.1928,806.52814,307.88119,804.1829,717.67549,035.38751,411.0222,006.584
Liquide middelen en kortetermijnbeleggingen 347,647.531344,691.079329,402.498227,267.073251,739.866247,220.37249,148.192233,280.987174,650.973192,518.209147,329.189109,876.14385,302.63192,589.051120,477.49190,800.5181,849.078
Nettovorderingen 327,111.128331,201.754314,111.672313,934.574282,960.309314,691.451274,839.854247,136.437230,142.171237,006.705248,741.398241,907.342273,214.138199,805.532209,859.558199,648.938194,609.43
Voorraad 192,438.049204,930.263156,942.689112,169.082135,037.132137,313.613101,056.16279,904.44489,220.8592,113.805106,513.866110,794.656107,033.898102,819.35281,982.80996,258.93186,149.727
Overige vlottende activa 6,352.679684.279231.3854,645.1331,768.4261,668.4113,422.0024,032.07836.0821,179.526175.654698.61648.331,371.514849.2771,652.0661,073.606
Totaal vlottende activa 873,549.386881,507.375800,688.244658,015.862671,505.733700,893.845628,466.21564,353.938494,850.076522,818.244502,760.107463,276.751466,198.997396,585.449413,169.135388,360.445363,681.841
Niet-vlottende activa:
Materiële vaste activa, netto 1,730,526.6121,628,642.1721,681,477.3061,627,750.6181,542,661.9251,459,217.463961,682.393922,719.399865,753.504850,004.003834,827.816845,113.538841,291.889627,265.557625,735.945660,828.655619,605.177
Goodwill 226,912.105217,083.347217,083.347217,083.347217,083.347225,215.1333,271.3545,489.855,489.858,330.0488,330.0488,330.0488,330.0485,213.9145,826.0926,438.277,050.448
Immateriële activa 194,527.865269,319.119217,657.428212,272.126290,258.686317,250.57975,246.83651,028.72350,316.346,974.88740,693.37233,111.67623,381.026-24,581.524-25,653.649-27,308.543-28,998.346
Goodwill en immateriële activa 421,439.97486,402.466434,740.775429,355.473507,342.033542,465.71278,518.1956,518.57355,806.1555,304.93549,023.4241,441.72431,711.074-19,367.61-19,827.557-20,870.273-21,947.898
Langetermijnbeleggingen 154,242.907-35,750.26613,728.27455,591.89423,582.74127,849.142-29,640.735-13,858.612-3,855.469-27,250.56796,678.96496,214.04116,631.02145,670.75283,026.91783,694.915153,625.4
Belastingvorderingen 150.77124.513181,588.409114,005.82121,256.896106,617.565144,777.864174,750.852178,040.747231,170.784145,006.686133,113.367124,902.4753,688.793,915.8586,415.3725,457.939
Overige niet-vlottende activa 92,176.361221,449.6883,047.3772,811.3573,146.8523,236.0632,598.6722,029.3392,022.342,022.3412,355.7742,630.6722,893.79551,068.96866,378.29567,317.60740,000.846
Totaal niet-vlottende activa 2,398,536.622,300,868.5732,314,582.1422,229,515.1622,197,990.4462,139,385.9421,187,936.3841,142,159.5511,097,767.2721,111,251.4951,137,892.6611,118,513.341,117,430.253808,326.457759,229.458797,386.276796,741.464
Totaal activa 3,272,086.0063,182,375.9483,115,270.3852,887,531.0242,869,496.1792,840,279.7871,816,402.5941,706,513.4891,592,617.3491,634,069.7391,640,652.7681,581,790.0911,583,629.251,204,911.9061,172,398.5931,185,746.7211,160,423.305
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 115,352.188107,655.77999,643.54793,510.739103,228.715103,888.98168,016.66469,103.29451,800.61259,297.78446,473.06244,791.49354,912.8649,808.33149,792.03847,992.85651,951.977
Kortlopende schulden 266,594.783214,734.714195,778.982112,115.061105,428.472139,453.993123,581.46487,797.62458,477.731115,092.169128,339.805164,910.687156,922.672141,806.219151,305.585175,090.016110,697.671
Belastingschulden 27,980.35735,123.11336,179.24720,755.80124,879.51223,013.94726,233.8212,756.74212,249.63613,604.77816,074.39112,282.4467,229.3752,854.4187,690.6261,027.2753,039.77
Uitgestelde opbrengsten 4,716.7584,671.49187,408.90613,102.302158,147.60423,013.947107,377.932100,048.335100,615.94875,500.78283,769.24675,895.07868,443.38847,146.02145,473.7421,027.27545,346.57
Overige kortlopende verplichtingen 175,175.53191,822.5410150,128.881-0.001141,150.3470.001-0-0-0-0.001-0.001-0.0010.001-0.00134,727.088-0.001
Totaal kortlopende verplichtingen 561,839.259518,884.524482,831.435368,856.983366,804.789407,507.268298,976.061256,949.252210,894.292249,890.734258,582.112285,597.257280,278.919238,760.572246,571.364258,837.235207,996.217
Langlopende verplichtingen:
Langetermijnschulden 428,069.44565,485.365660,384.169721,656.012733,817.325729,559.56493,979.03468,862.00348,747.63849,576.43155,581.73743,645.80899,634.65955,440.07942,191.79178,080.43567,823.985
Uitgestelde opbrengsten niet-vlottend 975.1541,214.204124,836.829590.22,916.48163,705.252084,315.68299,127.67197,190.61387,513.59778,497.01962,763.76426,254.58627,835.2127,645.95426,169.347
Uitgestelde belastingverplichtingen niet-vlottend 123,275.735126,282.428131,002.148141,136.685140,513.613155,665.11159,661.89771,296.34972,150.57774,878.03688,097.31585,823.04987,958.76935,751.229,123.00628,210.3446,804.041
Overige niet-vlottende verplichtingen 177,831.341105,732.3530127,641.892164,321.8380.001100,881.922000-0-0.001-0224.999235209.998240
Totaal niet-vlottende verplichtingen 730,151.669798,714.35916,223.146991,024.7891,041,569.2571,048,929.928254,522.852224,474.034220,025.886221,645.081231,192.649207,965.875250,357.192117,670.86499,385.007134,146.727141,037.373
Totaal passiva 1,291,990.9281,317,598.8741,399,054.5811,359,881.7721,408,374.0461,456,437.196553,498.913481,423.287430,920.177471,535.815489,774.761493,563.132530,636.111356,431.436345,956.371392,983.962349,033.59
Eigen vermogen:
Preferente aandelen 066,314.35294,019.354107,005.424108,860.560000475,268.304459,068.548000000
Gewone aandelen 10,955.1210,955.1210,955.1210,955.1210,955.1210,955.1210,955.1210,955.1210,955.1210,955.127,215.623,694.64523,694.64523,694.64523,694.64523,694.64523,694.645
Ingehouden winsten 789,284.5691,169,725.3631,089,657.181989,311.694930,040.418891,073.104859,837.492819,358.863784,745.982781,472.378764,721.986732,389.452699,644.075326,312.665328,517.293303,590.928297,061.829
Overige gereserveerde algehele resultaten -24,677.081-66,314.352-94,019.354-107,005.424-108,860.56378,549.071347,988.205345,739.19105,130.645-475,268.304-459,068.548000000
Overige totale aandeelhoudersvermogen 302,131.533-198,774.762-192,384.618-191,229.188-163,932.82-544,146.76-538,821.653-526,347.595-284,428.426-177,813.827-339,004.69380,366.547100,568.953338,692.663301,195.745303,930.471329,465.065
Totaal eigen vermogen van aandeelhouders 1,077,694.141981,905.722908,227.683809,037.626777,062.718736,430.535679,959.163649,705.577616,403.321614,613.671432,932.893836,450.644823,907.673688,699.973653,407.683631,216.044650,221.539
Totaal eigen vermogen 1,980,095.0781,864,777.0741,716,215.8051,527,649.2511,461,122.1331,383,842.5911,262,903.6811,225,090.2021,161,697.1721,162,533.9231,150,878.0061,088,226.9581,052,993.14848,480.469826,442.221792,762.759811,389.715
Totaal passiva en aandeelhoudersvermogen 3,272,086.0063,182,375.9483,115,270.3852,887,531.0242,869,496.1792,840,279.7871,816,402.5941,706,513.4891,592,617.3491,634,069.7391,640,652.7671,581,790.091,583,629.251,204,911.9051,172,398.5921,185,746.7211,160,423.305