Daewoong Co., Ltd.

KRX:003090.KS

20200 (KRW) • At close January 15, 2025
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 161,685.947190,435.29124,629.82196,872.367,456.67995,125.34135,155.473106,208.825100,994.41779,409.815106,261.16241,991.13722,978.00693,194.80156,657.95654,718.44742,233.96245,273.606
Kortetermijnbeleggingen 105,477.588196,304.902263,223.578177,199.059195,562.174135,985.452130,864.32165,531.102154,475.857164,503.37359,768.8239,891.96311,733.53815,533.50896,905.74738,404.83425,304.44218,966.121
Liquide middelen en kortetermijnbeleggingen 267,163.536386,740.192387,853.398374,071.359263,018.853231,110.791266,019.793271,739.927255,470.274243,913.188166,029.98551,883.134,711.544108,728.309153,563.70393,123.28167,538.40464,239.727
Nettovorderingen 170,163.805231,500.965194,231.497179,163.122229,938.88196,306.16186,198.43188,931.174159,506.675133,986.411119,954.262120,777.64463,039.9620151,643.697177,152.956164,121.669139,801
Voorraad 352,349.085317,684.049249,154.273253,092.594249,942.352287,047.795249,049.365221,444.119184,472.537158,209.856153,553.98546,834.60135,983.025109,730.306106,564.572100,425.67276,087.40947,768.758
Overige vlottende activa 72,868.7272,642.35367,953.61672,307.04959,580.70843,585.06618,577.74544,646.37735,051.53825,281.68416,540.262123,621.89867,231.615181,832.979157,838.966172,836.838164,161.293150,892.245
Totaal vlottende activa 862,545.146954,002.901847,993.056836,325.858757,808.687734,218.258718,641.666698,865.247614,675.093542,391.886441,055.082152,868.421137,926.183400,291.594417,967.241366,385.791307,787.106262,900.73
Niet-vlottende activa:
Materiële vaste activa, netto 732,245.525622,356.343609,163.443576,681.007605,616.183609,209.897583,503.204560,691.247441,355.157389,067.455364,526.945141,368.542132,493.835280,017.943222,989.004213,568.75166,381.997130,175.996
Goodwill 62,759.6762,759.6762,759.6761,114.42561,114.42561,114.42560,853.22660,853.22661,038.176268.57312,223.12112,139.498000240.85242.4770
Immateriële activa 244,754.177212,494.584168,833.872124,744.085111,558.44194,378.097119,340.41998,544.73482,063.3839,727.03833,401.1037,403.4147,071.608-3,023.501-5,143.776-8,648.1592,393.1673,494.161
Goodwill en immateriële activa 307,513.847275,254.254231,593.542185,858.51172,672.866155,492.522180,193.645159,397.96143,101.55639,995.61145,624.22419,542.9127,071.608-3,023.501-5,143.776-8,407.3092,635.6443,494.161
Langetermijnbeleggingen 355,691.893-26,665.312-120,696.371-11,143.651-138,764.242-92,431.726-102,380.523-145,622.754-135,193.427-141,089.704-31,602.69156,834.866158,716.9940,773.079-42,530.49913,579.17515,551.86928,026.102
Belastingvorderingen 87,543.73970,933.4164,865.97338,034.47128,312.3419,155.75716,097.5018,329.2763,335.167179,618.58773,856.58238,606.8471,041.7623,628.6941,883.4237,903.5912,991.7491,234.055
Overige niet-vlottende activa 13,737.024263,023.511300,789.412211,776.673242,527.003166,525.744153,097.69185,625.041175,028.19748.0815,011.261039,703.80948,432.901111,270.5790,759.22944,585.69226,625.844
Totaal niet-vlottende activa 1,496,732.0281,204,902.2061,085,715.9991,001,207.011910,364.15857,952.194830,511.516768,420.771627,626.643468,340.03457,416.321356,353.167339,028.004369,829.116288,468.722317,403.436232,146.951189,556.158
Totaal activa 2,359,277.1742,158,905.1071,933,709.0551,837,532.8681,668,172.8371,592,170.4521,549,153.1821,467,286.0181,242,301.7361,010,731.916898,471.403509,221.588476,954.187770,120.71706,435.963683,789.227539,934.057452,456.888
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 103,910.69190,102.0982,616.279,705.47683,747.67264,831.06461,562.08574,400.15755,072.32152,722.55953,715.46149,525.07341,948.21290,774.2687,554.71685,828.5277,263.34167,100.067
Kortlopende schulden 381,763.137234,819.026257,136.452147,827.752100,613.885189,968.28195,726.33123,934.24-38,152.928-22,540.0532,017.63747,688.79447,622.26665,321.21333,870.02715,776.133166.6420,303.476
Belastingschulden 29,604.14529,596.38927,661.28240,272.26914,932.69736,730.22916,973.84912,579.00123,383.3238,069.5423,210.2294,795.7682,543.8613,973.9942,495.3498,979.53721,026.37321,161.069
Uitgestelde opbrengsten 029,412.342174,214.191140,216.76597,753.28217,195.583123,469.5467,132.3971,784.9750,280.79157,327.75612,883.20516,659.4940052,790.219053,662.319
Overige kortlopende verplichtingen 175,726.443131,824.378146,552.91-40,272.26962,371.40256,592.369106,495.69154,553.389-23,383.323-8,069.5434,117.527-6,284.43614,433.56152,735.11643,417.51843,810.68132,041.34932,501.251
Totaal kortlopende verplichtingen 691,004.415515,754.225513,966.844367,749.993282,114.839382,513.109280,757.955265,466.787178,485.498130,744.091143,060.85395,725.199106,547.899222,804.579207,337.61154,394.871130,496.22141,065.863
Langlopende verplichtingen:
Langetermijnschulden 67,083.06260,143.218188,360.597295,696.507292,810.669179,685.776289,335.72289,164.854189,410.334139,512.33640,065.847-8,657.19411,061.6241,934.65252,486.706100,500.57931,604.004166.64
Uitgestelde opbrengsten niet-vlottend 036,403.01636,933.14537,380.29747,945.5543,091.69619,856.22224,861.38923,430.46723,354.83271.154720.7311,694.271105,080.53610,279.401-7,648.84410,844.18810,952.217
Uitgestelde belastingverplichtingen niet-vlottend 021,867.40615,146.11714,964.90915,207.82216,663.46419,897.63623,160.89322,496.0658,388.91510,002.6999,180.1311,710.8759,080.2856,953.0678,752.9183,531.216,109.316
Overige niet-vlottende verplichtingen 164,390.92152,981.77774,346.9994,823.23267,000.73865,658.72819,856.222045,926.53223,354.83118,202.3818,432.6729,837.94211,605.1950.0017,610.89410,844.18710,952.216
Totaal niet-vlottende verplichtingen 231,473.981363,655.08262,707.595352,864.945359,811.407245,344.504329,089.579337,187.136235,336.867171,256.08268,342.08222,101.10334,304.70862,620.13269,719.175116,864.39145,979.40117,228.172
Totaal passiva 922,478.397879,409.306776,674.439720,614.938641,926.246627,857.613609,847.534602,653.923413,822.364302,000.173211,402.935117,826.302140,852.607285,424.711277,056.785271,259.262176,475.621158,294.035
Eigen vermogen:
Preferente aandelen 0000000004,157.5761,506.5820000000
Gewone aandelen 29,070.9929,070.9929,070.9929,070.9929,070.9929,070.9929,070.9929,070.9929,070.9929,070.9929,070.9929,070.9928,457.52828,457.52828,457.52828,457.52815,744.81515,744.815
Ingehouden winsten 643,631.528745,075.89646,914.137572,225.228478,687.604417,530.633398,203.052335,878.807321,038.375262,463.277248,746.779231,272.704194,872.945138,047.095109,204.50593,853.507117,514.5793,200.549
Overige gereserveerde algehele resultaten -31,627.416182,864.132138,668.736151,226.821145,169.628142,680.297145,581.028145,595.136149,473.403-4,157.576-1,506.5820000000
Overige totale aandeelhoudersvermogen 293,721.02654,681.821-84,271.29384,033.415129,984.714123,026.548117,348.06120,890.982115,330.624143,006.077118,709.299118,166.797100,650.223103,160.73103,165.676115,945.11251,399.87146,401.321
Totaal eigen vermogen van aandeelhouders 934,796.128828,828.701730,557.648685,329.633627,631.848569,628.17544,622.102485,840.779465,439.988430,382.768398,033.65361,547.301323,980.696269,665.353240,827.709225,381.66184,659.256155,346.685
Totaal eigen vermogen 1,436,798.7771,279,495.8021,157,034.6161,116,917.931,026,246.591964,312.838939,305.649864,632.095828,479.372708,731.742687,068.468391,395.286336,101.58484,695.999429,379.178412,529.965363,458.436294,162.854
Totaal passiva en aandeelhoudersvermogen 2,359,277.1742,158,905.1071,933,709.0551,837,532.8681,668,172.8371,592,170.4521,549,153.1821,467,286.0181,242,301.7361,010,731.916898,471.403509,221.588476,954.187770,120.71706,435.963683,789.227539,934.057452,456.889