Dayou A-Tech Co.,Ltd

KRX:002880.KS

1064 (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 13,614.439101,637.00197,242.534108,944.83827,420.46342,019.49718,613.95218,532.81924,524.24438,181.77845,298.03732,322.2698,027.54611,006.7995,740.231,747.6985,704.15
Kortetermijnbeleggingen 5,486.9799,002.68417,974.8154,698.06611,302.64529,708.6832,004.2732,340.6636,228.4910,602.4818,352.8669,766.914891.74.45,282.0622030
Liquide middelen en kortetermijnbeleggingen 13,614.439110,639.685115,217.349113,642.90438,723.10871,728.1820,618.22520,873.48230,752.73448,784.25953,650.90342,089.1838,919.24611,011.19911,022.2921,950.6985,704.15
Nettovorderingen 87,577.34325,507.703357,635.097320,810.3375,044.113199,643.511208,433.901218,990.737165,466.185187,728.719104,094.7769,555.94281,638.67852,137.319014,401.36832,823.841
Voorraad 2,427.828149,617.883174,764.008119,439.93113,581.495110,823.98107,479.2693,148.50465,473.18762,040.0176,976.2637,553.6629,696.0653,518.1214.7453,949.4853,752.89
Overige vlottende activa 8,609.405-25,037.6-0-0.7066,134.4050-509.848-509.849-897.348-974.8064,519.1788,202.46611,238.265454.9988,788.869602,687.162
Totaal vlottende activa 112,229.012560,727.671647,616.454553,892.429533,483.122382,195.671336,021.538332,502.875260,794.758297,578.19169,241.113127,401.252111,492.25467,121.61620,025.89721,261.55144,968.043
Niet-vlottende activa:
Materiële vaste activa, netto 63,975.663489,558.242391,424.06381,637.38358,736.322325,412.123334,953.351298,749.45296,441.862276,867.772168,217.222167,136.81156,504.34393,325.47252,340.87546,116.30427,434.049
Goodwill 5,618.97629,646.26329,598.46832,481.69838,143.99917,982.24537,237.33737,608.27137,608.27136,135.48417,793.85719,914.31724,739.2689,752.42203,396.5753,539.624
Immateriële activa 5,562.68842,782.3550,759.62749,661.06251,101.74345,035.6650,041.94149,842.92548,079.43946,379.5137,151.2037,082.9654,763.08652.44664.3142,765.5321,969.805
Goodwill en immateriële activa 11,181.66472,428.61380,358.09582,142.7689,245.74263,017.90587,279.27887,451.19685,687.7182,514.99724,945.0626,997.28229,502.3549,804.86864.3146,162.1075,509.429
Langetermijnbeleggingen 124,367.02875,013.961108,051.10798,947.9673,841.12836,353.74870,352.1752,270.78243,296.23331,679.99428,444.88714,655.33726,727.72521,868.89611,208.4327,166.3870
Belastingvorderingen 16,209.08460,481.8778,906.17349,906.15316,089.55712,419.6053,590.7774,697.7354,677.643,230.471419.9608.124524.871534.215,602.7893,124.2070
Overige niet-vlottende activa 8,064.039116,996.484,640.439-0.00145,918.37570,181.5250,402.77162,390.90163,980.74357,450.89247,383.96148,921.87737,773.2111,730.3881,138.1531,177.9659,039.519
Totaal niet-vlottende activa 223,797.478814,479.094673,379.873612,634.251583,831.124507,384.901546,578.347505,560.065494,084.188451,744.126269,411.029258,319.43251,032.504127,263.83470,354.56363,746.9741,982.997
Totaal activa 336,026.491,375,206.7651,320,996.3271,166,526.681,117,314.246889,580.574882,599.885838,062.939754,878.946749,322.316438,652.143385,720.682362,524.758194,385.45190,380.4685,008.52186,951.04
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 123,986.201286,911.471340,635.925302,988.752286,091.701235,378.2238,304.904206,843.111184,598.141190,152.176120,055.94887,613.44577,674.57683,612.54717,771.32720,215.33637,848.943
Kortlopende schulden 90,205.698385,207.325352,113.653263,736.664254,230.379184,076.654175,317.814167,947.269157,496.57175,449.812110,783.98790,178.986107,539.53826,228.44318,288.42817,476.50614,224.687
Belastingschulden 10,645.64610,721.24215,044.54913,593.2547,193.9772,475.8862,414.6643,685.0322,681.674366.301673.268985.526776.52158.05558.54438.3670
Uitgestelde opbrengsten 69.06917,386.952229,077.901158,885.308170,062.8522,475.88699,081.011101,320.14685,443.97790,894.41834,484.31730,939.8086,676.9173,424.482,667.123,438.5343,719.842
Overige kortlopende verplichtingen 57,296.856175,899.5850.001-0.0026,058.487129,314.919-0.001-0.00100.0013,053.3574,373.8634,043.0390.002-0.0010.0010.001
Totaal kortlopende verplichtingen 271,557.825865,405.333921,827.48725,610.722716,443.419551,245.659512,703.728476,110.524427,538.688456,496.406268,377.609213,106.101195,934.071113,265.47238,726.87441,130.37755,793.473
Langlopende verplichtingen:
Langetermijnschulden 15,968.085153,838.469133,692.221125,066.8380,995.48478,484.65873,644.59965,356.93354,605.93760,839.4421,819.123,499.51743,388.53825,115.79913,030.1845,257.4645,533.014
Uitgestelde opbrengsten niet-vlottend 7,103.7631,843.712,591.3747,226.1715,428.65,200.1086,024.5653,229.1662,767.4064,414.999229.241223.995333.5780000
Uitgestelde belastingverplichtingen niet-vlottend 545.16555,124.6915,326.9232,974.11715,771.63115,474.22512,717.11915,354.53714,736.91515,262.6482,534.9462,229.3564,434.392,488.448000
Overige niet-vlottende verplichtingen 4,053.51260,531.7567,857.31666,359.70762,625.84568,839.14876,426.69182,709.439109,143.96689,140.4842,137.44548,330.89743,518.6581,314.8471,130.7491,083.0541,520.854
Totaal niet-vlottende verplichtingen 27,670.525271,338.62209,467.835201,626.826164,821.559167,998.139168,812.974166,650.075181,254.224169,657.56766,720.73174,283.76491,675.16328,919.09414,160.9336,340.5187,053.868
Totaal passiva 299,228.351,136,743.9531,131,295.315927,237.547881,264.979719,243.798681,516.703642,760.6608,792.912626,153.973335,098.34287,389.866287,609.234142,184.56652,887.80847,470.89562,847.341
Eigen vermogen:
Preferente aandelen 0001,139.80130.261,152.7373,753.3623,753.3633,835.66300000000
Gewone aandelen 23,369.72557,670.56457,547.05753,457.99453,457.99451,655.77345,936.45445,892.1545,723.5843,300.70542,214.71542,214.71531,917.93431,242.59425,076.57821,076.57821,076.578
Ingehouden winsten -71,254.362-77,429.698-24,946.888-8,002.208-5,625.861-17,646.02224,422.38123,453.23128,041.29724,975.0319,110.61613,166.85410,777.5392,628.108-3,509.458-113.357-5,971.462
Overige gereserveerde algehele resultaten -4,400.21274,072.3368,844.32715,066.51814,641.3216,600.078-1,914.244-1,659.267-1,173.47900000000
Overige totale aandeelhoudersvermogen 88,859.55454,373.31653,126.53752,408.95548,144.5445,175.18646,221.52840,940.75550,493.06233,342.59333,122.28334,245.47923,943.03718,330.18315,925.53316,574.4058,998.583
Totaal eigen vermogen van aandeelhouders 36,574.705108,686.51994,571.033114,071.06110,648.25396,937.752118,419.481112,380.232126,920.123101,618.32894,447.61389,627.04866,638.5152,200.88537,492.65337,537.62624,103.699
Totaal eigen vermogen 36,798.14238,462.813189,701.011239,289.133236,049.267170,336.776201,083.182195,302.34146,086.034123,168.343103,553.80298,330.81674,915.52452,200.88537,492.65337,537.62624,103.699
Totaal passiva en aandeelhoudersvermogen 336,026.491,375,206.7661,320,996.3271,166,526.681,117,314.246889,580.574882,599.885838,062.939754,878.946749,322.316438,652.143385,720.682362,524.758194,385.45190,380.4685,008.52186,951.04