Sung Bo Chemicals Co., LTD

KRX:003080.KS

2640 (KRW) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 14,244.6519,590.16720,153.50220,825.48222,696.23230,874.47827,786.34661,167.1021,822.387,606.71411,297.2997,746.8549,448.16110,004.9625,899.9679,090.2165,821.347
Kortetermijnbeleggingen 5,00011,00018,944.35916,152.56223,268.53526,240.08317,788.21619,553.285-13,932.031005,0003,30005,5005,70012,400
Liquide middelen en kortetermijnbeleggingen 19,244.6530,590.16739,097.86136,978.04445,964.76757,114.56245,574.56280,720.3871,822.387,606.71411,297.29912,746.85412,748.16110,004.96211,399.96714,790.21618,221.347
Nettovorderingen 5,587.9265,430.7473,676.7493,050.5462,692.4344,410.598,052.259,541.0817,777.8456,176.8344,393.2974,216.6275,493.9963,377.4285,953.92800
Voorraad 56,291.56649,787.19245,250.0440,761.4242,664.44240,871.14238,297.24346,374.50843,150.47636,693.88630,452.54328,151.67725,086.37323,532.94923,859.62918,697.87813,394.249
Overige vlottende activa 1,729.8021,498.232,083.4651,981.642,779.049-0.0010.0010.001-000-00.0010.001-0.0015,243.4755,260.444
Totaal vlottende activa 82,853.94487,306.33690,108.11682,771.64994,100.692102,396.29391,924.055136,635.97652,750.70150,477.43446,143.1445,115.15743,328.53136,915.3441,213.52338,731.56936,876.04
Niet-vlottende activa:
Materiële vaste activa, netto 42,771.84541,356.53742,317.25842,629.15442,076.19341,755.0145,505.36424,169.39238,062.60438,341.30738,730.04338,922.47539,191.12654,376.74555,321.34356,250.04155,197.681
Goodwill 00000000000000000
Immateriële activa 146.151162.069179.601184.616132.594143.929133.203157.159187.713201.87693.91431.47532.8433.54116.11318.57423.663
Goodwill en immateriële activa 146.151162.069179.601184.616132.594143.929133.203157.159187.713201.87693.91431.47532.8433.54116.11318.57423.663
Langetermijnbeleggingen 34,072.763-3,838.472-11,712.953-14,161.525-21,112.975-23,728.1731,069.134,227.81616,551.95200-2,833.275-898.5160-3,111.952-3,918.034-9,448.722
Belastingvorderingen 3,621.6432,857.3921,204.63344,046.43152,207.23655,281.3945,824.32328,096.963-16,551.9520019,350.37718,932.26885.776345.851216.315148.658
Overige niet-vlottende activa 2,161.02642,941.42550,060.223,739.4945,037.6217,517.0451,167.1111,217.18216,551.95217,375.45616,986.0121,012.234-03,289.5016,113.6116,289.6512,799.3
Totaal niet-vlottende activa 82,773.42883,478.95282,048.75976,438.1778,340.66880,969.20193,699.13157,868.51154,802.26955,918.63955,809.96856,483.28657,257.71857,785.56358,684.96658,856.54658,720.58
Totaal activa 165,627.372170,785.287172,156.874159,209.82172,441.36183,365.495185,623.186194,504.487107,552.97106,396.073101,953.108101,598.444100,586.24894,700.90399,898.48997,588.11595,596.62
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 17,311.11217,485.33718,311.2625,771.9549,148.18411,415.7113,057.8363,219.18811,420.3419,107.1037,303.6078,202.7838,239.9433,888.426,440.5375,357.6884,585.868
Kortlopende schulden 668.973670.825562.581479.135419.095-1,120.793000000556.5380000
Belastingschulden 148.86701,244.5891,019.754396.267685.425291.48619,882.12524.551534.543506.592546.82616.3230555.598744.104587.148
Uitgestelde opbrengsten 943.401933.8428,077.3426,730.6476,998.1541,120.7930000001,144.6680000
Overige kortlopende verplichtingen 5,877.1195,311.3440.0010.0010.0012,924.6373,556.95325,748.9382,576.0282,234.5552,078.5391,752.8760.0011,365.0581,865.82,115.1343,187.899
Totaal kortlopende verplichtingen 24,800.60624,401.34826,951.18612,981.73616,565.43414,340.34716,614.78928,968.12613,996.36911,341.6589,382.1469,955.6599,941.1495,253.4788,306.3377,472.8227,773.767
Langlopende verplichtingen:
Langetermijnschulden 1,915.022,370.7542,567.6441,827.334441.818000000000000
Uitgestelde opbrengsten niet-vlottend 00007,573.526000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00001,231.8493,377.3413,780.3673,862.7822,082.7082,224.0722,059.7212,108.1022,394.288000119.991
Overige niet-vlottende verplichtingen 6,394.6656,611.116,906.0057,723.809011,959.3443,814.4331,123.8591,794.3411,925.141,566.911,997.0752,267.7171,734.4332,208.9232,511.2711,932.784
Totaal niet-vlottende verplichtingen 8,309.6848,981.8649,473.6499,551.1439,247.19315,336.6857,594.84,986.6413,877.054,149.2123,626.6314,105.1774,662.0051,734.4332,208.9232,511.2712,052.775
Totaal passiva 33,110.2933,383.21236,424.83522,532.87925,812.62729,677.03224,209.58933,954.76717,873.41915,490.8713,008.77614,060.83614,603.1546,987.91110,515.269,984.0939,826.541
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 10,01010,01010,01010,01010,01010,01010,01010,01010,01010,01010,01010,01010,01010,01010,01010,01010,010
Ingehouden winsten 2,885.09782,467.71380,800.97482,067.10185,732.68592,767.797103,984.694146,701.94575,875.7177,080.31575,540.30274,094.59472,38926,995.528,737.53827,372.98624,736.484
Overige gereserveerde algehele resultaten 118,732.129121,883.789123,105.857132,352.812136,621.116136,645.734137,896.43272,389.21312,737.35800000000
Overige totale aandeelhoudersvermogen 1,154.062-76,813.371-78,113.371-87,761.063-85,735.069-85,735.068-90,477.529-68,551.438-8,943.5173,814.8873,394.033,433.0133,584.09450,707.49250,635.6950,221.03651,023.595
Totaal eigen vermogen van aandeelhouders 132,781.288137,548.131135,803.46136,668.85146,628.732153,688.462161,413.597160,549.7289,679.55290,905.20388,944.33287,537.60785,983.09487,712.99289,383.22887,604.02285,770.079
Totaal eigen vermogen 132,517.082137,402.075135,732.039136,676.941146,628.732153,688.462161,413.597160,549.7289,679.55290,905.20388,944.33287,537.60785,983.09487,712.99289,383.22887,604.02285,770.079
Totaal passiva en aandeelhoudersvermogen 165,627.372170,785.287172,156.874159,209.82172,441.36183,365.494185,623.186194,504.487107,552.97106,396.073101,953.108101,598.444100,586.24894,700.90399,898.48897,588.11595,596.62