Hyundai Green Food Co.,Ltd.

KRX:005440.KS

5580 (KRW) • At close May 9, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 255,707.09576,551.99256,639.51759,408.16676,291.02669,191.04155,388.19649,707.70733,826.90523,164.33324,314.18226,685.02318,999.73616,181.19716,091.92925,278.56430,030.19914,476.058
Kortetermijnbeleggingen 1,119,152.15771,688.85957,092.49274,701.293323,847.25300,941.421295,290.576324,557.067261,546.614167,854.534249,574219,729218,095215,095225,095123,117.23894,984.8691,325.233
Liquide middelen en kortetermijnbeleggingen 1,374,859.252148,240.851113,732.009134,109.459400,138.276370,132.462350,678.772374,264.774295,373.519191,018.867273,888.182246,414.023237,094.736231,276.197241,186.929148,395.802125,015.059105,801.291
Nettovorderingen 1,064,748.387581,181.194531,872.023473,029.258401,138.103423,362.982436,753.498457,027.222332,588.829287,231.064286,687.759250,937.763229,560.879210,497.7940727.26700
Voorraad 1,317,838.069425,323.021372,030.048330,006.364274,549.473291,035.232315,398.804299,528.741188,497.43100,655.67481,664.47866,112.21157,479.45649,355.44335,948.99322,469.13644,879.77248,382.153
Overige vlottende activa 125,564.09443,093.9740,446.1253,409.04225,955.76358,441.7944,663.9327,027.54425,668.87332,085.46818,036.80321,384.5810,001.3156,563.865174,405.272142,018.219143,224.881143,997.749
Totaal vlottende activa 3,883,009.8021,197,839.0361,058,080.2990,554.1231,101,781.6151,119,660.941,132,345.9261,157,848.281842,128.651600,952.116660,277.222579,465.508534,136.386497,693.298451,541.194312,883.157313,119.712298,181.193
Niet-vlottende activa:
Materiële vaste activa, netto 2,203,753.072818,951.821633,149.302649,420.999659,382.419600,241.926440,234.132394,231.418240,704.864176,965.27166,490.085150,526.115140,210.765117,496.534137,972.511112,866.583100,897.5109,081.078
Goodwill 29,986.3654,163.121116,588.022148,361.741177,576.772177,576.772199,681.976236,848.34154,816.024129,960.921129,788.729129,788.729118,382.777118,422.58899,562.767110.5188.5266.5
Immateriële activa 853,271.209172,529.61930,915.19662,466.68768,273.08372,087.33481,969.69388,351.22610,663.4655,007.8712,846.4922,518.2672,522.042,248.188461.50683.457137.529202.58
Goodwill en immateriële activa 883,257.574176,692.74147,503.218210,828.428245,849.855249,664.106281,651.669325,199.566165,479.489134,968.792132,635.221132,306.996120,904.817120,670.776100,024.273193.957326.029469.08
Langetermijnbeleggingen 1,328,405.5622,630,641.0391,150,624.0861,105,249.564668,236.621644,052.135637,089.41487,385.864579,604.116794,368.017596,258.948764,004.687712,803.88661,701.901476,969.456313,000.97175,702.769334,313.155
Belastingvorderingen 107,897.45742,736.08428,459.74328,079.99917,014.08413,050.56912,340.34712,984.6199,568.2272,813.7962,166.9571,894.699270,027.516267,718.9411,466.5811,251.998637.142988.508
Overige niet-vlottende activa 1,678,588.377184,821.551167,316.824125,853.679376,201.078339,906.011333,713.345419,235.195344,241.568244,037.132325,140.913293,896.47319,467.04417,319.749237,257.5130,091.993103,958.569100,898.771
Totaal niet-vlottende activa 6,201,902.0423,853,843.2352,127,053.1732,119,432.6691,966,684.0571,846,914.7471,705,028.9031,639,036.6621,339,598.2641,353,153.0071,222,692.1241,342,628.971,263,414.0221,184,907.901953,690.321557,405.501381,522.009545,750.592
Totaal activa 10,084,911.8445,051,682.2713,185,133.3733,109,986.7923,068,465.6722,966,575.6872,837,374.8292,796,884.9432,181,726.9151,954,105.1231,882,969.3461,922,094.4781,797,550.4081,682,601.1991,405,231.515870,288.658694,641.721843,931.785
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 532,668.254347,862.649287,072.503277,985.171265,129.636258,281.492245,781.718290,531.206207,254.675163,647.439176,639.912140,100.353126,006.229122,881.10295,357.35586,037.01784,667.3299,069.465
Kortlopende schulden 667,269.207239,687.298204,350.92367,568.22587,991.88854,994.435-19,177.5789,559.662-10,809.6156,505.84-15,940.6311,739.26832,657.22416,682.4826,300012,651.60320,262.855
Belastingschulden 76,079.4611,700.47132,390.01921,349.98320,440.21326,050.44442,121.18239,222.06231,009.19129,858.28524,460.02223,698.1212,518.19711,138.41120,096.5957,601.02813,729.3412,716.827
Uitgestelde opbrengsten 067,172.29261,550.3181,292.42449,640.88539,006.05942,121.18239,222.06231,009.19129,858.28524,460.02223,698.1212,518.19774,998.57120,096.595013,729.3412,716.827
Overige kortlopende verplichtingen 748,787.858199,672.487167,050.321140,343.531123,454.704187,866.089110,280.466119,578.59583,340.04737,603.60450,030.22859,050.47664,778.763,860.1629,386.93927,166.47329,089.62141,123.911
Totaal kortlopende verplichtingen 2,024,804.779866,095.197752,414.076588,539.334546,657.326527,192.46455,404.936484,419.459371,918.5267,473.453284,109.576245,622.226236,216.985214,562.156159,683.687120,804.518140,137.884173,173.058
Langlopende verplichtingen:
Langetermijnschulden 189,384.61551,779.0538,801.74944,235.37854,916.85941,375.1981,947.2842,397.8234,656.5335,004.387,010.226,515.5022,021.927.740000
Uitgestelde opbrengsten niet-vlottend 5,205.71304,247.4799,844.2213,909.8379,115.54413,224.7774.6690000000000
Uitgestelde belastingverplichtingen niet-vlottend 771,461.342580,595.312180,465.206219,975.228204,710.259194,758.311200,323.74209,191.947168,480.651174,541.249170,841.303202,676.111193,477.971182,423.509126,356.89381,447.91143,447.94899,007.285
Overige niet-vlottende verplichtingen 101,866.43232,258.896198,786.41346,765.87472,003.33886,382.62955,381.31756,741.15829,603.58339,211.23139,276.64144,825.5443,228.45339,280.0721,623.05219,053.29519,672.14721,808.874
Totaal niet-vlottende verplichtingen 1,067,918.102664,633.258236,789.433310,976.48331,630.456323,007.046270,877.041269,105.597202,740.767218,756.86217,128.164254,017.153238,728.324221,731.318147,979.945100,501.20663,120.095120,816.159
Totaal passiva 3,092,722.8811,530,728.455989,203.509899,515.814878,287.782850,199.506726,281.977753,525.056574,659.267486,230.313501,237.74499,639.379474,945.309436,293.474307,663.632221,305.724203,257.979293,989.217
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 78,845.93478,845.93448,852.24148,852.24148,852.24148,852.24148,852.24148,852.24148,852.24148,852.24148,852.24148,852.24148,852.24148,852.24145,052.32528,349.65528,347.15528,312.155
Ingehouden winsten 3,024,465.4842,373,456.5371,290,258.2191,228,506.7671,203,027.6841,144,515.1851,125,080.9851,037,572.566927,815.236839,435.848756,500.036668,670.261582,021.472507,532.83269,135.073193,764.407149,513.08697,407.556
Overige gereserveerde algehele resultaten 0119,520.881124,477.55188,389.568163,999.007149,353.427160,438.731221,653.152221,883.115362,843.22100000000
Overige totale aandeelhoudersvermogen 266,520.069130,652.762370,436.212370,390.026374,517.419374,517.419373,813.763369,962.517313,944.931313,990.98313,990.98313,265.548312,131.999312,388.499753,597.732156,709.13416,749.303404,371.332
Totaal eigen vermogen van aandeelhouders 3,369,831.4872,702,476.1141,821,184.3291,825,132.1551,781,223.3491,717,238.2721,708,185.721,673,918.9221,509,616.6711,462,151.5791,376,746.2841,417,407.8541,319,366.2841,243,873.6091,067,785.13622,412.85468,744.209530,091.043
Totaal eigen vermogen 6,992,188.9633,520,953.8162,195,929.8642,210,470.9782,190,177.892,116,376.1812,111,092.8522,043,359.8871,607,067.6481,467,874.811,381,731.6061,422,455.0991,322,605.0991,246,307.7261,097,567.883648,982.934491,383.742549,942.568
Totaal passiva en aandeelhoudersvermogen 10,084,911.8445,051,682.2713,185,133.3733,109,986.7923,068,465.6722,966,575.6872,837,374.8292,796,884.9432,181,726.9151,954,105.1231,882,969.3461,922,094.4781,797,550.4081,682,601.21,405,231.515870,288.658694,641.721843,931.785