Nongshim Co., Ltd.

KRX:004370.KS

386500 (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 142,899.538127,900.573157,475.656321,541.825317,796.185167,718.554155,384.212179,380.604168,848.965115,370.645111,567.19263,851.0181,280.759123,483.487103,959.39735,182.83548,552.033
Kortetermijnbeleggingen 617,365.502451,649.3398,894.642272,801.086309,619.906454,326.061396,312.52443,045.349404,853.198381,376.806410,358.78400,006.29457,958.355425,070.415374,209.267333,616.828308,936.437
Liquide middelen en kortetermijnbeleggingen 760,265.04579,549.873556,370.298594,342.911627,416.091622,044.615551,696.731622,425.953573,702.163496,747.451521,925.972463,857.3539,239.114548,553.902478,168.664368,799.663357,488.47
Nettovorderingen 318,595.106303,570.478242,869.967229,637.859230,194.023215,365.238244,841.224243,939.828228,928.823196,786.353204,540.206196,340.772220,236.126213,025.722185,284.119164,109.489141,536.387
Voorraad 318,234.267296,880.553256,007.783228,410.803208,388.986202,442.162172,014.293169,177.643172,989.713173,038.909157,192.3149,764.368154,131.635121,646.738134,955.878140,909.45284,081.125
Overige vlottende activa 22,722.27928,523.71133,443.46222,044.51212,581.58213,900.86717,300.81421,407.82722,202.39233,071.77634,681.63133,375.3119,173.5360.0010.0020.0010.001
Totaal vlottende activa 1,419,816.6911,208,524.6151,088,691.5091,074,436.0861,078,580.6821,053,752.882985,853.0631,056,951.251997,823.091899,644.489918,340.108843,337.751922,780.411883,226.363798,408.663673,818.605583,105.983
Niet-vlottende activa:
Materiële vaste activa, netto 1,585,464.3291,576,043.9811,474,882.4071,318,750.9451,223,132.2951,157,817.5361,122,260.5761,092,482.5441,132,997.9561,088,115.8621,058,964.9031,072,200.0511,087,292.9621,023,175.412993,925.266999,812.174966,335.849
Goodwill 8,247.85311,950.5738,981.5738,981.5737,693.0027,693.0027,693.0027,693.0027,693.0027,693.0027,693.0023,990.2823,990.2820000
Immateriële activa 53,407.27434,840.44735,253.89837,116.67751,489.23151,911.91253,036.0351,052.50949,101.27926,804.05927,780.39827,187.87731,167.16315,541.74517,188.28311,447.4461,055.079
Goodwill en immateriële activa 61,655.12746,791.0244,235.47146,098.2559,182.23359,604.91460,729.03258,745.51156,794.28134,497.06135,473.431,178.15935,157.44515,541.74517,188.28311,447.4461,055.079
Langetermijnbeleggingen 145,592.047-377,127.435-325,737.66-203,371.937-233,337.984-394,440.575-319,559.65-358,474.952-364,863.452-374,399.417-403,608.703-392,664.153-445,583.982-410,662.055-357,726.718-277,773.384-292,866.654
Belastingvorderingen 9,776.75411,336.40113,800.74812,181.5351,865.3191,493.76778.24194.571123.817100.493141.106220.907113.3765,487.5065,244.1847,516.595,312.973
Overige niet-vlottende activa 12,446.478569,149.954604,035.318477,433.306523,627.331654,058.011600,537.111631,488.359595,831.906576,173.587606,080.203597,038.165670,527.445459,102.384406,375.96365,127.806324,209.534
Totaal niet-vlottende activa 1,814,934.7351,826,193.9211,811,216.2851,651,092.0991,574,469.1931,478,533.6531,464,045.311,424,336.0331,420,884.5071,324,487.5861,297,050.9091,307,973.1281,347,507.2461,092,644.9921,065,006.9751,106,130.6321,004,046.781
Totaal activa 3,234,751.4263,034,718.5362,899,907.7942,725,528.1852,653,049.8752,532,286.5352,449,898.3732,481,287.2842,418,707.5982,224,132.0752,215,391.0172,151,310.8782,270,287.6561,975,871.3551,863,415.6381,779,949.2371,587,152.764
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 371,306.254320,695.305282,880.228275,145.189250,177.883234,872.745236,482.973278,898.859284,687.443271,860.472300,159272,908.819329,221.759322,175.333301,478.793282,552.227243,754.057
Kortlopende schulden 31,659.97630,005.73111,939.17112,386.46987,539.77835,214.01611,727.63939,908.89196,664.59875,566.48789,281.259102,542.104116,628.916108,469.364125,039.319109,619.50962,910.147
Belastingschulden 23,384.12817,731.4519,625.45522,603.85912,808.93717,554.01820,344.50915,515.32229,374.45217,261.78211,392.18231,997.80920,182.57738,998.34523,682.25229,242.83731,234.822
Uitgestelde opbrengsten 14,979.07318,007.1235,048.556227,113.508238,148.4231,328.061241,060.47230,548.846253,013.714206,292.376198,000.472200,704.455203,276.93738,998.345166,600.52329,242.83731,234.822
Overige kortlopende verplichtingen 278,548.42247,777.4087,461.0387,500.4749,120.815220,816.61-0.001-000.001-0.0010.0010140,658.0630.001137,929.726153,032.058
Totaal kortlopende verplichtingen 696,493.723616,485.544537,328.993522,145.64584,986.896522,231.432489,271.081549,356.596634,365.756553,719.336587,440.73576,155.379649,127.612610,301.105593,118.636559,344.299490,931.084
Langlopende verplichtingen:
Langetermijnschulden 14,269.14734,233.44393,832.61681,308.70866,452.36453,076.6656,436.16459,196.0555,412.23519,834.8866,028.50161.9063,705.53938.61328.71140,936.8340.325
Uitgestelde opbrengsten niet-vlottend 15,134.75100.306250.70450.974526.59921.826410.23638.675513.48387.589198.271451.5140000
Uitgestelde belastingverplichtingen niet-vlottend 41,572.26245,088.5341,700.71238,589.07538,882.62942,602.93447,502.31152,806.31557,230.6464,540.11870,766.89565,591.23265,805.1726,317.1963,729.751252.3436,700.72
Overige niet-vlottende verplichtingen 26,479.78323,570.8426,277.88134,270.06921,933.61516,098.61115,569.07617,129.87325,188.36932,051.34434,394.14749,964.79931,951.72148,288.69256,366.03566,226.81364,383.104
Totaal niet-vlottende verplichtingen 97,455.943102,892.813161,811.515154,418.556127,319.582112,304.805119,529.377129,542.473137,869.918116,939.831111,277.132115,816.207101,913.94654,644.50160,124.497107,415.98671,124.149
Totaal passiva 793,949.665719,378.357699,140.508676,564.197712,306.478634,536.236608,800.458678,899.069772,235.674670,659.167698,717.861691,971.586751,041.558664,945.606653,243.133666,760.285562,055.232
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 30,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.2130,413.21
Ingehouden winsten 322,956.1482,197,469.3392,083,111.9952,000,730.3611,622,120.8591,586,595.6021,787,713.1321,721,188.811,553,629.9871,460,728.8551,429,913.5451,367,576.9571,411,505.474972,221.492871,012.899766,686.744711,351.814
Overige gereserveerde algehele resultaten 2,035,802.8131,957,572.8681,899,261.7161,764,056.4441,759,815.4721,706,598.2091,648,692.4791,512,839.81770,790.54800000000
Overige totale aandeelhoudersvermogen 41,055.562-1,881,288.008-1,828,237.271-1,761,271.959-1,484,428.39-1,438,484.805-1,638,374.449-1,474,564.28-19,830.24643,521.01638,804.61642,854.93655,325.685305,716.396306,323.423312,685.043283,332.508
Totaal eigen vermogen van aandeelhouders 2,430,227.7342,304,167.4092,184,549.6512,033,928.0571,927,921.1511,885,122.2171,828,444.3731,789,877.5561,635,003.4991,534,663.0821,499,131.3711,440,845.1031,497,244.3691,308,351.0981,207,749.5321,109,784.9971,025,097.532
Totaal eigen vermogen 2,440,801.7612,315,340.1792,200,767.2862,048,963.9881,940,743.3971,897,750.2991,841,097.9151,802,388.2141,646,471.9241,553,472.9081,516,673.1561,459,339.2931,519,246.0981,310,925.7481,210,172.5061,113,188.9531,025,097.532
Totaal passiva en aandeelhoudersvermogen 3,234,751.4263,034,718.5362,899,907.7942,725,528.1852,653,049.8752,532,286.5352,449,898.3732,481,287.2842,418,707.5982,224,132.0752,215,391.0172,151,310.8782,270,287.6561,975,871.3541,863,415.6391,779,949.2381,587,152.764