SH Energy & Chemical Co., Ltd.

KRX:002360.KS

525 (KRW) • At close September 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 23,267.21917,055.40819,491.36732,973.58140,801.86729,395.93333,117.5326,449.14719,647.6587,793.7685,531.8072,188.2115,237.4422,676.7651,721.691918.8254,474.944
Kortetermijnbeleggingen 13,635.21419,497.0421,450.35111,512.6695,319.7725,751.9133,006.6343,289.5752,832.423,627.3182,963.9052,001.8013,0301,039.54,513.76411,320.734,453.59
Liquide middelen en kortetermijnbeleggingen 36,902.43436,552.44840,941.71844,486.2546,121.63935,147.84636,124.16429,738.72222,480.07811,421.0868,495.7124,190.0128,267.4423,716.2656,235.45512,239.5558,928.534
Nettovorderingen 19,612.39123,809.43824,992.27818,369.4420,683.7928,356.8531,487.71642,912.05333,834.17234,611.48137,761.89430,963.84930,385.54823,162.84819,207.95521,174.45824,033.196
Voorraad 20,158.09121,341.07212,326.0419,593.71616,753.43822,253.99919,985.59911,572.14111,899.47313,898.17211,944.30514,210.52311,114.1236,071.4726,473.2267,463.57627,026.765
Overige vlottende activa 1,619.9520-00.001-0.001-0.001-0-0.0010394.907849.8741,144.795588.366676.535563.7571,064.0871,540.964
Totaal vlottende activa 78,292.86881,702.95778,260.03872,449.40783,558.86785,758.69487,597.47984,222.91568,213.72260,325.64659,051.78550,509.17950,355.47933,627.1232,480.39341,941.67661,529.459
Niet-vlottende activa:
Materiële vaste activa, netto 35,603.56837,305.34934,488.3837,141.86933,671.84930,043.40631,096.40931,796.19832,660.70631,132.70332,065.09732,784.91633,220.42240,212.97141,376.3771,812.41955,804.732
Goodwill 00000172.708172.708172.708172.708172.708172.708172.708172.8760000
Immateriële activa 1,478.7881,443.0592,103.5212,168.9412,880.2523,623.5913,305.7684,175.9845,134.33710,521.44110,003.1849,767.54410,354.7339,119.02315,393.5692,158.32977.611
Goodwill en immateriële activa 1,478.7881,443.0592,103.5212,168.9412,880.2523,796.2993,478.4764,348.6925,307.04510,694.14910,175.8929,940.25210,527.6099,119.02315,393.5692,158.32977.611
Langetermijnbeleggingen 328.657-19,222.113-20,646.304-10,557.66-4,319.923-4,881.059-1,875.773-1,232.574-2,617.625-3,333.145-2,773.4-1,527.687-2,455.5392,911.0113,322.7314,917.624-3,694.964
Belastingvorderingen 5,451.3373,169.0353,944.0394,608.7012,283.3481,965.4322,008.9281,370.251,074.148625.2261,263.5492,185.2822,323.2184,139.1331,956.716786.973980.496
Overige niet-vlottende activa 1,456.07119,762.00421,479.38411,545.3365,341.4395,751.9133,006.6343,983.24310,882.72911,296.82710,706.0289,798.12810,739.5511,474.3225,271.00111,820.3484,826.429
Totaal niet-vlottende activa 44,318.42142,457.33541,369.0244,907.18739,856.96536,675.99137,714.67540,265.80947,307.00350,415.7651,437.16653,180.89154,355.26157,856.4667,320.38791,495.68458,894.304
Totaal activa 122,611.289124,160.292119,629.058117,356.594123,415.832122,434.685125,312.154124,488.724115,520.726110,741.407110,488.951103,690.07104,710.7491,483.5899,800.78133,437.36120,423.763
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,403.4381,603.2491,551.2791,300.0511,033.114969.1661,775.9281,504.7131,103.7552,223.2552,599.2022,215.544955.253154.603525.32615,248.03429,637.397
Kortlopende schulden 8,220.476,160.2718,557.5923,748.5223,627.6363,5003,553.573,560.4256,881.8339,568.69827,482.01224,566.91428,921.04619,940.4822,050.233,948.49217,004.841
Belastingschulden 122.255296.915109.2380040.667798.0533,120.8363,851.3862,835.8060000239.00200
Uitgestelde opbrengsten 73.039159.8142,951.2982,348.9542,863.85516.452,954.9436,577.9858,640.8738,889.1965,013.7382,717.3554,200.27503,195.3375,609.8922,730.09
Overige kortlopende verplichtingen 2,920.6772,835.35300-0.0012,172.93-0.001869.301454.471-036.21400.0013,475.779-0.00172.3134
Totaal kortlopende verplichtingen 12,617.62410,758.68713,060.1697,397.5277,524.6036,658.5468,284.4412,512.42317,080.93120,681.14835,131.16729,499.81334,076.57523,570.86225,770.86254,878.73149,376.328
Langlopende verplichtingen:
Langetermijnschulden 6,6498,819.0192,501.6977,547.3485,135.277000005004,000181.920002,500
Uitgestelde opbrengsten niet-vlottend 97.880000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1,695.92900001,520.5241,411.5771,414.7621,429.7100000000
Overige niet-vlottende verplichtingen 11,419.08210,481.11812,328.08912,403.32811,755.9768,864.7237,922.6656,472.6525,363.8645,823.0625,258.6445,309.0545,209.9194,624.6694,342.7584,928.3694,383.415
Totaal niet-vlottende verplichtingen 19,861.89119,300.13714,829.78619,950.67716,891.25310,385.2479,334.2427,887.4146,793.5745,823.0625,758.6449,309.0545,391.8394,624.6694,342.7584,928.3696,883.415
Totaal passiva 32,479.51430,058.82427,889.95627,348.20424,415.85617,043.79417,618.68220,399.83723,874.50526,504.2140,889.8138,808.86739,468.41428,195.53130,113.6259,807.156,259.743
Eigen vermogen:
Preferente aandelen 173.11173.11173.11173.11173.11173.11173.11173.11173.11173.11173.11173.11173.11173.11173.11173.11173.11
Gewone aandelen 55,739.97555,566.86555,566.86555,566.86555,566.86555,566.86555,566.86555,566.86555,566.86555,566.86555,566.86555,566.86555,566.86555,566.86555,566.86555,566.86546,566.865
Ingehouden winsten 26,785.73733,210.77831,181.24229,812.98233,888.41440,204.88544,48241,185.47528,498.43621,178.3076,805.5741,930.2551,864.155725.1164,507.282-8,218.7282,357.167
Overige gereserveerde algehele resultaten 3,566.4493,374.3472,921.8752,507.4532,767.3392,285.5621,725.5231,119.85661,180.4100000000
Overige totale aandeelhoudersvermogen 3,711.9961,619.0221,728.7141,769.964,994.9055,313.9693,626.6894,236.663-55,689.5975,413.4185,560.9085,501.3025,752.4756,822.9589,439.90319,193.9536,190.103
Totaal eigen vermogen van aandeelhouders 89,977.26793,944.12291,571.80689,830.3797,390.633103,544.391105,574.187102,281.96989,729.22482,331.768,106.45763,171.53263,356.60563,288.04969,687.1666,715.255,287.245
Totaal eigen vermogen 90,131.77594,101.46891,739.10290,008.39198,999.976105,390.892107,693.472104,088.88791,646.22184,237.19769,599.14164,881.20265,242.32663,288.04969,687.1673,630.2664,164.02
Totaal passiva en aandeelhoudersvermogen 122,611.289124,160.292119,629.058117,356.594123,415.832122,434.685125,312.154124,488.724115,520.726110,741.407110,488.951103,690.07104,710.7491,483.5899,800.78133,437.36120,423.763