Namsung Corp.

KRX:004270.KS

1342 (KRW) • At close September 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,151.8356,935.24314,224.22515,086.6038,078.4575,933.164,026.3963,128.7762,311.4562,851.7282,065.286645.4722,831.1593,010.8542,161.2642,393.2963,281.221
Kortetermijnbeleggingen 36,356.58446,324.54442,178.5522,08022,289.69425,072.98916,398.72412,884.69418,727.5914,612.313,613.5119,298.6938,288.17721,728.8518,111.10815,009.5399,924.885
Liquide middelen en kortetermijnbeleggingen 44,508.41953,259.78756,402.77537,166.60330,368.15131,006.14920,425.1216,013.4721,039.04617,464.02815,678.7979,944.16511,119.33624,739.70420,272.37217,402.83513,206.106
Nettovorderingen 11,353.314,328.70723,484.48220,795.30419,070.40619,988.20516,539.55917,500.65517,071.95721,676.60729,566.77337,115.05735,274.61429,818.625000
Voorraad 26,530.90735,205.07146,565.3126,996.41131,945.48227,135.87529,040.8129,452.74524,875.36321,920.90917,409.49820,882.22923,448.58539,592.74542,376.39941,415.65829,607.863
Overige vlottende activa 6,823.2820-0-000.0040-00-0-0-0.0010-0.00133,916.96537,308.02729,662.314
Totaal vlottende activa 89,215.908102,793.565126,452.56784,958.31881,384.0478,130.23366,005.4962,966.8762,986.36661,061.54362,655.06967,941.4569,842.53694,151.07396,565.73696,126.5272,476.283
Niet-vlottende activa:
Materiële vaste activa, netto 4,129.6694,174.2795,059.9648,281.7798,013.5687,533.977,667.5377,796.5037,734.2197,951.7447,951.9538,238.6948,398.719123,041.207124,471.421127,520.75468,809.221
Goodwill 00000000000000003.352
Immateriële activa 57.83567.30289.872373.374715.522912.978929.3361,074.0771,096.5831,102.235987.903956.344817.4941,499.7721,662.8821,421.7381,238.266
Goodwill en immateriële activa 57.83567.30289.872373.374715.522912.978929.3361,074.0771,096.5831,102.235987.903956.344817.4941,499.7721,662.8821,421.7381,241.618
Langetermijnbeleggingen 164,450.281-25,982.715-24,067.844-9,400.66-3,755.514-3,907.48310,220.36915,397.7146,682.84910,590.73513,838.87420,090.90315,549.279-6,563.5545,792.895,238.81925,775.986
Belastingvorderingen 025,982.715181,222.34906,274.8246,059.6665,819.3656,644.7226,444.0336,043.7565,802.3796,216.28710,269.1318,074.6747,167.714,804.6651,550.631
Overige niet-vlottende activa 259.505164,116.9830109,060.796112,159.175116,354.324112,793.856110,655.319116,796.577108,764.505108,842.545117,970.916118,057.21322,228.85918,585.36915,489.15210,522.455
Totaal niet-vlottende activa 168,897.29168,358.564162,304.342108,315.29123,407.577126,953.456137,430.463141,568.336138,754.261134,452.975137,423.654153,473.144153,091.835148,280.958157,680.272154,475.128107,899.911
Totaal activa 258,113.198271,152.129288,756.91193,273.608204,791.617205,083.689203,435.953204,535.206201,740.627195,514.519200,078.722221,414.593222,934.371242,432.031254,246.008250,601.648180,376.194
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 9,996.4069,958.72831,467.2217,759.51413,704.20417,569.67517,837.83517,705.9529,602.911,020.12818,499.8168,993.5166,012.9095,378.2738,272.79417,875.3694,290.215
Kortlopende schulden 87,357.93991,098.21866,794.24269,609.01565,833.62477,991.88471,588.69989,425.45388,197.76587,996.69774,311.446102,651.49698,242.21113,982.699106,140.83791,544.38159,189.201
Belastingschulden 0225.5911,229.161789.2931,028.688302.7682,959.881799.12319.807427.5452,363.405470.903249.005444.095.9530549.34
Uitgestelde opbrengsten 1,958.8841,882.69521,444.189,651.1878,479.158302.7688,699.3797,486.5926,584.9166,146.7068,818.6368,350.9484,655.9533,679.3175.9530549.34
Overige kortlopende verplichtingen 23,600.42623,253.7470.001-0.00108,089.219-0-0.001-0000422.041-0.0019,070.0333,844.5756,284.803
Totaal kortlopende verplichtingen 122,913.656126,193.387119,705.64397,019.71588,016.986103,953.54598,125.913114,617.996104,385.581105,163.532101,629.899119,995.96109,333.113123,040.288123,489.617113,264.32570,313.559
Langlopende verplichtingen:
Langetermijnschulden 1,636.364671.08419,902.4773,594.69113,0001,166.6675,118.5074,374.8729,277.6785,111.5641,921.965,064.5434,542.310,637.315,227.85222,735.73533,023.191
Uitgestelde opbrengsten niet-vlottend 16.53111.217.07356.50870.82106.066129.12112.26619.018133.405135.032231.56,333.748008,071.3678,249.226
Uitgestelde belastingverplichtingen niet-vlottend 21,743.89421,744.71622,491.05712,045.98412,877.22412,280.29712,669.55512,144.56612,462.41312,464.28913,544.38616,188.27516,117.27516,145.62117,377.30616,610.6795,757.27
Overige niet-vlottende verplichtingen 3,687.6583,032.2738,067.2025,080.8414,902.5054,808.950-04,601.5-04,662.5160184.0169,310.9688,838.0360.0010.001
Totaal niet-vlottende verplichtingen 27,084.44725,459.27350,477.80920,778.02430,850.54918,361.9817,917.18416,531.70426,360.60917,709.25820,263.89321,484.31927,177.33936,093.88941,443.19447,417.78247,029.688
Totaal passiva 149,998.102151,652.661170,183.452117,797.738118,867.535122,315.525116,043.097131,149.7130,746.19122,872.789121,893.792141,480.279136,510.452159,134.177164,932.81160,682.107117,343.247
Eigen vermogen:
Preferente aandelen 0000000324.046000000000
Gewone aandelen 18,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.0818,106.08
Ingehouden winsten 59,967.58172,087.65368,761.75231,216.51145,538.52248,360.26655,136.17753,962.09452,754.68853,556.60557,900.22759,080.29666,548.3062,171.5264,119.3538,084.8958,526.999
Overige gereserveerde algehele resultaten 6,322.0458,220.27110,506.4534,836.9452,214.7093,067.6082,745.659-324.046314.57900000000
Overige totale aandeelhoudersvermogen 23,833.98721,269.73621,348.73621,703.77120,307.09213,569.17111,602.4681,985.307434.7771,451.1172,635.0033,140.521,991.06162,070.52666,114.2962,478.22535,647.059
Totaal eigen vermogen van aandeelhouders 108,229.693119,683.74118,723.02275,863.30786,166.40383,103.12587,590.38474,053.48171,610.12473,113.80278,641.31180,326.89686,645.44682,348.13288,339.72388,669.262,280.138
Totaal eigen vermogen 108,115.096119,499.468118,573.45775,475.86985,924.08282,768.16487,392.85673,385.50670,994.43772,641.72978,184.9379,934.31486,423.91983,297.85489,313.19789,919.54163,032.947
Totaal passiva en aandeelhoudersvermogen 258,113.198271,152.129288,756.91193,273.608204,791.617205,083.689203,435.953204,535.206201,740.627195,514.519200,078.722221,414.593222,934.371242,432.031254,246.008250,601.648180,376.194