ORIENT BIO Inc.

KRX:002630.KS

462 (KRW) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,108.9455,934.22729,992.43210,940.0232,349.7829,169.89524,438.28719,009.9568,439.1431,249.041,128.6311,954.3482,173.0485,604.6287,659.9242,524.1712,655.017679.408
Kortetermijnbeleggingen 35,118.68329,532.07929,051.276800801901.53212,622.62,023.7731,273.0276,191.51211,584.15112,391.9819,286.00316,120.82215,410.72813,824.45712,734.4363,739.259
Liquide middelen en kortetermijnbeleggingen 41,227.62835,466.30759,043.70811,740.0233,150.78210,071.42737,060.88721,033.7299,712.177,440.55212,712.78214,346.32821,459.0521,725.4523,070.65216,348.62815,389.4534,418.667
Nettovorderingen 13,827.4259,488.9877,789.9812,295.94710,973.98811,964.95427,088.03126,888.2828,540.87427,291.86724,022.15729,901.10130,669.3213,869.23415,209.62415,924.506023,677.736
Voorraad 3,654.415,244.5674,351.7845,927.5858,102.41110,011.17431,255.24928,633.56632,503.89230,139.20525,669.37423,521.62920,657.9412,758.914,053.60117,176.57913,969.0378,111.528
Overige vlottende activa 274.482-950.289-687.186-903.068-47.896288.257461.168777.7911,151.764291.822199.55307.965209.9750.0010.0010.00213,255.0050.001
Totaal vlottende activa 58,983.94549,249.57270,498.28629,060.48722,179.28432,335.81295,865.33677,333.36771,908.765,163.44762,603.86268,077.02372,996.28548,353.58552,333.87849,449.71542,613.49536,207.932
Niet-vlottende activa:
Materiële vaste activa, netto 17,462.87515,856.58318,318.6131,321.03937,777.54641,668.8661,910.90454,852.95157,154.17446,809.82245,516.19934,407.32733,065.03318,790.32835,120.60137,166.44233,700.27833,002.861
Goodwill 0.0010.0010.0010.0010.0010.0017,988.25110,077.23813,761.9995,894.1714,004.7834,004.7834,004.783126.002252.003563.178735.3850.001
Immateriële activa 118.04276.995470.439474.5312,208.9322,646.7022,629.61110,182.41711,793.62410,805.4049,135.77711,153.2379,672.1948,350.3216,654.2084,176.8852,115.604849.715
Goodwill en immateriële activa 118.041276.996470.44474.5322,208.9332,646.70310,617.86220,259.65525,555.62316,699.57513,140.5615,158.0213,676.9778,476.3236,906.2114,740.0632,850.989849.716
Langetermijnbeleggingen 18,590.821-22,994.967-20,681.526,900.398957.5055,613.91-6,654.0892,666.3562,161.757-4,212.035-11,106.588-11,951.831-18,960.659-10,924.072-8,923.352-9,995.674-10,107.565-1,322.392
Belastingvorderingen 118.0438,662.03636,346.1923,762.057,987.446901.53227,349.77716,851.4292,024.1952,043.232,080.8422,050.6281,921.741992.179948.974401.631431.9020
Overige niet-vlottende activa 1,714.065-00.001-0.001994.681922.18941.123662.29416,837.79322,260.85627,395.84628,503.34720,847.76619,175.83417,927.53216,417.05413,230.0534,142.742
Totaal niet-vlottende activa 38,003.84231,800.64834,453.72242,458.01849,926.11151,753.18594,165.57795,292.686103,733.54283,601.44877,026.85868,167.49150,550.85836,510.59251,979.96648,729.51640,105.65736,672.927
Totaal activa 96,987.78781,050.22104,952.00971,518.50572,105.39584,088.996190,030.913172,626.053175,642.243148,764.894139,630.721136,244.515123,547.14484,864.177104,313.84498,179.23182,719.15172,880.857
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 609.835503.055768.55759.971837.393639.17711,442.77410,426.27811,313.42612,734.96312,044.5939,173.9415,255.5592,907.7162,838.2053,514.2032,771.7331,720.432
Kortlopende schulden 603.142679.3015,466.2447,011.5935,201.2418,199.90951,913.94741,275.69648,409.72450,328.78844,733.85846,112.85136,987.7310,849.37132,562.35226,120.32831,206.80216,884.168
Belastingschulden 00000013.24213.38947.6112.63912.63912.63914.088051.97638.571577.00613.753
Uitgestelde opbrengsten 843.6022,709.9447,409.3177,458.8715,385.036,079.24826,352.8194,369.6938,222.54,998.9574,550.1514,550.0324,072.278051.9762,057.047577.0061,804.144
Overige kortlopende verplichtingen 2,150.154-0.0010.0010.0010.001-0.001769.52589.30614.71416.991417.24417.95201,688.4172,626.4010.0012,146.377-0.001
Totaal kortlopende verplichtingen 4,206.7333,892.29913,644.11315,230.43711,423.66414,918.33390,479.05956,660.97367,960.36368,079.69961,745.84659,854.77646,315.56815,445.50438,078.93431,691.57936,701.91820,408.743
Langlopende verplichtingen:
Langetermijnschulden 2,436.569168.451,930.4591,095.1352,016.04148.912,233.42110,422.6510,1108,262.62311,729.9910,309.45512,014.9159801,607.1986,391.1516,094.3496,956.2
Uitgestelde opbrengsten niet-vlottend 000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000000000000000
Overige niet-vlottende verplichtingen 5,248.5065,597.1126,189.76,647.7186,702.736,475.3737,394.9567,597.4666,281.7135,072.754,308.8533,790.7414,701.822,950.1782,862.5042,498.5552,136.343653.566
Totaal niet-vlottende verplichtingen 7,685.0755,765.5628,120.1587,742.8538,718.7716,524.27319,628.37718,020.11616,391.71313,335.37316,038.84314,100.19616,716.7343,930.1784,469.7028,889.7068,230.6927,609.766
Totaal passiva 11,891.8089,657.86221,764.27122,973.2920,142.43521,442.606110,107.43674,681.08884,352.07581,415.07277,784.68973,954.97263,032.30219,375.68142,548.63640,581.28544,932.6128,018.508
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 59,291.50359,291.50359,291.50359,286.02550,899.498114,267.55281,573.25680,530.42277,649.76850,149.76850,116.1840,105.79939,463.43939,463.43939,463.43939,463.43924,463.43924,463.439
Ingehouden winsten 16,107.4442,434.8914,225.155-19,730.742-8,203.477-61,337.741-39,140.441-28,184.961-8,878.501-13,929.807-12,242.373-34,923.778-35,802.596-16,596.422-20,662.909-20,083.023-19,460.152-14,903.88
Overige gereserveerde algehele resultaten 873.526842.457847.572161.849967.737718.6571,162.2661,111.7231,592.815000000000
Overige totale aandeelhoudersvermogen 8,823.5088,823.5088,823.5088,827.8138,299.04811,138.6679,128.51816,844.4736,491.40517,499.51117,135.4349,585.61548,514.99435,227.14335,451.17735,450.56830,199.14335,302.79
Totaal eigen vermogen van aandeelhouders 85,095.9871,392.35883,187.73848,544.94451,962.80664,787.13452,723.670,301.65776,855.48753,719.47155,009.23754,767.63652,175.83758,094.1654,251.70754,830.98435,202.4344,862.349
Totaal eigen vermogen 85,095.9871,392.35883,188.0148,545.21651,962.9662,646.3979,923.47797,944.96491,290.16867,349.82261,846.03162,289.54360,514.84265,488.49661,765.20957,597.94637,786.54144,862.349
Totaal passiva en aandeelhoudersvermogen 96,987.78781,050.22104,952.00971,518.23372,105.39584,088.996190,030.913172,626.053175,642.243148,764.894139,630.721136,244.515123,547.14484,864.177104,313.84598,179.23182,719.15172,880.857