Samyang Foods Co., Ltd.

KRX:003230.KS

589000 (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 218,684.81196,889.78114,492.231104,037.10387,480.14953,114.9449,289.29140,487.90123,324.27319,535.69829,676.3528,742.0334,840.94830,070.01923,807.02228,778.32720,730.79
Kortetermijnbeleggingen 22,349.30136,814.36850,980.25811,988.68411,863.45611,307.65411,024.429,201.9998,770.2568,629.1098,505.63527,470.71237,840.37121,793.63095.12519,429.355
Liquide middelen en kortetermijnbeleggingen 241,034.112133,704.148165,472.489116,025.78799,343.60564,422.59460,313.71149,689.932,094.52928,164.80738,181.98736,212.74272,681.31951,863.64923,807.02228,873.45240,160.145
Nettovorderingen 92,955.59109,863.34268,664.14349,511.68957,619.69241,837.45843,914.09932,726.55627,491.31132,703.45238,640.56837,151.93641,777.99331,714.26633,038.01535,773.68831,007.037
Voorraad 142,175.086110,337.46344,775.56234,454.11427,586.99623,483.25220,702.66616,151.42413,644.49614,619.6310,487.81110,257.56813,568.578,901.39711,999.32112,668.84412,075.439
Overige vlottende activa 15,909.163-0.0010.0010.001000-00-0.001-0-00.00112024,797.63613,704.32627.211
Totaal vlottende activa 492,073.951353,904.952278,912.195199,991.59184,550.292129,743.304124,930.47798,567.88173,230.33675,487.88887,310.36683,622.246128,027.88392,599.31293,641.99491,020.3183,269.832
Niet-vlottende activa:
Materiële vaste activa, netto 577,937.993483,058.257425,208.194310,326.52248,434.458244,640.879225,257.926179,890.212166,352.542165,008.815165,007.847166,683.875157,389.138152,797.533113,042.571112,927.366113,409.968
Goodwill 36,733.49736,733.4971,263.7691,263.7691,263.7691,263.7691,263.7691,263.7691,501.1491,501.1491,501.1491,501.5011,501.5010000
Immateriële activa 18,729.80616,836.8994,807.633,777.2643,373.5932,994.8482,521.2482,817.8433,548.4973,926.2672,853.779837.9851,887.9441,049.96224.97926.4633.311
Goodwill en immateriële activa 55,463.30353,570.3966,071.3995,041.0334,637.3624,258.6173,785.0174,081.6125,049.6465,427.4164,354.9282,339.4863,389.4451,049.96224.97926.4633.311
Langetermijnbeleggingen 19,154.486-22,927.38-35,667.4181,354.1853,514.4510,819.88721,623.05125,544.17933,461.05835,093.25823,196.606-732.649-14,299.46-10,426.76104,147.621-14,952.191
Belastingvorderingen 9,989.097278.767226.1435.357262.84582.761524.794453.476429.608427.281344.079238.068231.9851,129.6321,520.0232,593.9524,047.837
Overige niet-vlottende activa 15,683.94157,044.49978,329.81139,475.74128,959.55922,092.87622,056.68218,158.58818,024.91218,181.83218,356.40838,344.0647,035.39930,385.0248,071.1735,117.70822,834.742
Totaal niet-vlottende activa 678,228.82571,024.539474,168.126356,232.836285,808.669282,395.019273,247.47228,128.067223,317.766224,138.603211,259.868206,872.84193,746.508174,935.39122,658.746124,813.107125,373.667
Totaal activa 1,170,302.771924,929.491753,080.321556,224.426470,358.962412,138.323398,177.947326,695.948296,548.102299,626.49298,570.234290,495.086321,774.39267,534.702216,300.74215,833.417208,643.499
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 106,540.3686,461.47268,980.59747,538.33548,325.13841,411.93762,104.4641,702.05728,402.00329,060.35130,242.15929,780.30738,261.48227,692.3618,084.5719,809.32524,468.312
Kortlopende schulden 173,268.52950,061.39950,525.87345,464.95656,578.35652,417.86366,483.32651,875.72953,109.13953,096.07453,100.93653,102.21350,111.69255,010.50560,809.35286,218.6885,839.148
Belastingschulden 24,986.94118,871.329,508.40215,058.05411,342.76311,255.6911,978.3215,234.931855.3172,054.7752,136.6211,543.5422,050.781260.7252,389.7995,147.268,808.072
Uitgestelde opbrengsten 22,438.15710,004.91962,912.62470,549.9944,548.7411,255.69141,389.46529,726.37526,567.82523,537.89727,623.23724,741.15329,565.60616,677.24219,559.2135,147.2620,360.991
Overige kortlopende verplichtingen 99,758.15178,800.3070.0010-033,652.668-00.001-000.0010.001-0.0010.0010.00214,344.72-0.001
Totaal kortlopende verplichtingen 402,005.198225,328.098182,419.095163,553.281149,452.234138,738.159169,977.251123,304.162108,078.967105,694.321110,966.333107,623.674117,938.7899,380.10898,453.137125,519.99350,668.45
Langlopende verplichtingen:
Langetermijnschulden 140,667.58230,679.326156,646.32826,807.3766,179.6596,850.40287.085110.361118.014121.613132.265387.52422,564.98117,994.05518,859.5835,172.40187,380.649
Uitgestelde opbrengsten niet-vlottend 27,603.4610006,685.11501502503505207901,0601,3301,050000
Uitgestelde belastingverplichtingen niet-vlottend 22,335.09914,138.32618,323.44818,547.38220,404.29419,683.7718,115.31315,849.77716,104.75217,865.03418,375.25318,173.41518,773.23418,160.226000
Overige niet-vlottende verplichtingen 901.11720040.875-012,395.3366,741.449,639.4889,355.4159,305.4644,429.6962,097.9793,665.9243,221.1877,609.50912,640.87816,121.129
Totaal niet-vlottende verplichtingen 191,507.257244,837.652174,969.77645,395.63233,269.06338,979.50825,093.83825,849.62525,928.18127,812.11123,727.21321,718.91846,334.13940,425.46926,469.09217,813.279103,501.778
Totaal passiva 593,512.455470,165.749357,388.871208,948.913182,721.297177,717.667195,071.089149,153.787134,007.148133,506.433134,693.546129,342.592164,272.918139,805.576124,922.229143,333.272154,170.228
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 37,665.07537,665.07537,665.07537,665.07537,665.07537,665.07537,665.07537,665.07537,665.07537,665.07537,665.07537,665.07537,665.07532,962.92532,962.92532,962.92532,962.925
Ingehouden winsten 517,738.075409,235.102338,529.318290,483.458229,839.742176,760.941146,621.251121,694.108104,829.841109,698.318107,017.723103,926.194100,321.03192,219.73749,806.77132,403.14115,222.691
Overige gereserveerde algehele resultaten 5,345.5765,408.4755,977.3045,557.8375,311.5715,590.5395,682.9686,458.065000000000
Overige totale aandeelhoudersvermogen 4,072.72647.768,215.7778,818.38510,887.47710,887.47710,110.6139,467.90418,242.74816,708.91317,169.13217,223.72916,959.2422,546.4632,522.9942,033.7711,880.528
Totaal eigen vermogen van aandeelhouders 564,821.446452,956.412390,387.474342,524.755283,703.865230,904.032200,079.907175,285.152160,737.664164,072.305161,851.93158,814.998154,945.348127,729.12685,292.6967,399.83750,066.144
Totaal eigen vermogen 576,790.316454,763.741395,691.45347,275.513287,637.665234,420.656203,106.858177,542.16162,540.954166,120.058163,876.687161,152.495157,501.472133,931.30491,378.51172,500.14554,473.271
Totaal passiva en aandeelhoudersvermogen 1,170,302.771924,929.491753,080.321556,224.426470,358.962412,138.323398,177.947326,695.948296,548.102299,626.49298,570.234290,495.086321,774.39267,534.702216,300.74215,833.417208,643.499