NH Investment & Securities Co., Ltd.

KRX:005940.KS

14080 (KRW) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,167,7108,645,0719,039,9197,088,5695,960,6197,225,6896,135,9006,269,8816,745,0627,978,2364,387,6364,362,8104,748,4972,895,6863,841,8593,142,2152,015,8541,345,081
Kortetermijnbeleggingen 5,120,1934,547,7905,878,7773,677,6744,951,118023,079,05325,348,9710000000000
Liquide middelen en kortetermijnbeleggingen 7,287,9038,645,0719,039,9197,088,5695,960,6197,225,6896,135,9006,269,8816,745,0627,978,2364,387,6364,362,8104,748,4972,895,6863,841,8593,142,2152,015,8541,345,081
Nettovorderingen 5,859,9663,885,5685,206,1676,994,3342,026,0761,713,3862,145,4191,434,5491,257,9281,881,9061,883,2962,052,1491,564,613699,045538,130360,750414,904293,223
Voorraad 010,807,46012,857,38412,320,8737,990,297-53,669,849-43,892,739-42,970,5950000000000
Overige vlottende activa -13,147,869-10,807,460-12,857,384-12,320,873-7,990,29753,669,84943,892,73942,970,5950000000000
Totaal vlottende activa 012,530,63914,246,08614,082,9037,986,6958,939,0758,281,3197,704,4308,002,9909,860,1426,270,9326,414,9596,313,1103,594,7314,379,9893,502,9652,430,7581,638,304
Niet-vlottende activa:
Materiële vaste activa, netto 275,888228,822209,091213,429168,381296,788300,349307,505293,811287,117298,485304,554317,011327,028334,349321,739312,834309,133
Goodwill 39,78239,78239,78239,78239,782261,64591,48275,29501,8702,27003,99200000
Immateriële activa 25,59724,12917,05217,04318,25817,36520,50025,76927,16639,53927,96740,55148,39427,92838,92924,85314,3923,778
Goodwill en immateriële activa 65,37963,91156,83456,82558,04017,36520,50025,76927,16641,40930,23740,55152,38627,92838,92924,85314,3923,778
Langetermijnbeleggingen 1,501,77930,647,07435,782,73640,529,02134,977,95437,877,77430,256,26630,671,05729,222,98728,201,60421,723,43718,810,58714,287,42412,178,85112,934,57312,861,70811,736,4958,438,160
Belastingvorderingen 19,49010,55011,38433,1821,66553,669,84943,892,73942,970,5950000000000
Overige niet-vlottende activa -1,862,536-10,550-11,384-33,182-1,665-53,669,849-43,892,739-42,970,595-29,543,964-28,530,130-22,052,159-19,155,692-14,656,821-12,533,807-13,307,851-13,208,300-12,063,721-8,751,071
Totaal niet-vlottende activa 030,939,80736,048,66140,799,27535,204,37538,191,92730,577,11531,004,33129,543,96428,530,13022,052,15919,155,69214,656,82112,533,80713,307,85113,208,30012,063,7218,751,071
Totaal activa 56,697,89353,428,26758,541,99962,738,43350,075,05253,422,57243,892,73942,970,59541,706,31641,059,17529,985,90127,228,08422,984,98719,874,73318,935,29118,460,38416,811,39712,532,675
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 000000001,025,2041,420,3061,682,5971,849,5381,360,509517,433459,149185,600274,60990,764
Kortlopende schulden 13,156,22614,030,82515,208,47019,604,52013,401,6915,886,1826,511,6905,912,8210000000000
Belastingschulden 160,88741,787212,375130,23126,11606,68458,850430001,5052,22044,12928,26939,50817,366
Uitgestelde opbrengsten 92,22183,13087,95831,84649,3740000000000000
Overige kortlopende verplichtingen -92,221-14,113,955-15,296,428-19,636,366-13,451,065-5,638,905-6,510,879-5,912,821-1,025,204-1,420,306-1,682,597-1,849,538-1,360,509-517,433-459,149-185,600-274,609-90,764
Totaal kortlopende verplichtingen 13,156,22614,030,82515,208,47019,604,52013,401,691247,27781144,234,6381,025,2041,420,3061,682,5971,849,5381,360,509517,433459,149185,600274,60990,764
Langlopende verplichtingen:
Langetermijnschulden 8,729,52014,902,22413,021,64713,358,43211,886,0149,937,0316,821,6906,182,8216,534,7205,773,3223,684,7613,477,4241,930,7452,690,3153,112,1182,482,2153,076,2582,326,174
Uitgestelde opbrengsten niet-vlottend 92,22183,13087,95831,84649,37448,616,04639,056,53238,321,8170000000000
Uitgestelde belastingverplichtingen niet-vlottend 5,70585,28981,7804,22018,035-38,679,015000000000000
Overige niet-vlottende verplichtingen 20,644,94431,129,568-169,738-36,066-67,409-9,937,031-6,821,690-6,182,821-5,509,516-4,353,016-2,002,164-3,477,424-570,236-2,172,882-2,652,969-2,296,615-2,801,649-2,235,410
Totaal niet-vlottende verplichtingen 29,472,39046,200,21113,021,64713,358,43211,886,0149,937,03139,056,53238,321,8171,025,2041,420,3061,682,5973,477,4241,360,509517,433459,149185,600274,60990,764
Totaal passiva 49,084,46546,200,21113,021,64713,358,43211,886,0149,937,03139,056,53238,321,81737,155,77236,681,08726,538,44923,744,19419,535,24317,033,20516,195,47715,865,88914,122,19510,342,225
Eigen vermogen:
Preferente aandelen 99,35599,35599,35599,35599,35599,35599,35599,35599,35599,35599,35599,35599,35599,35599,35599,35599,35599,355
Gewone aandelen 1,782,5601,683,2051,510,0451,431,9201,431,9201,431,9201,431,9201,431,9201,431,9201,431,9201,021,1451,021,1451,021,145687,445687,445687,445687,445687,445
Ingehouden winsten 810,4943,274,0633,302,5702,581,7052,157,3881,832,4801,613,5611,384,5581,269,1631,102,9281,026,3941,031,728994,894797,561698,174601,836587,498375,714
Overige gereserveerde algehele resultaten 3,152,4122,981,5132,484,4712,105,9921,837,4835,053,8034,836,2074,648,7780000000000
Overige totale aandeelhoudersvermogen 1,766,958-814,743-578,287-421,250-141,067-3,369,941-3,150,443-2,925,7951,741,8581,734,7411,292,8271,322,1781,324,9241,044,3311,038,214975,2181,047,675981,237
Totaal eigen vermogen van aandeelhouders 7,611,7797,223,3936,818,1545,797,7225,385,0795,047,6174,830,6004,638,8164,542,2964,368,9443,439,7213,474,4063,440,3182,628,6922,523,1882,363,8542,421,9732,143,751
Totaal eigen vermogen 7,613,4287,228,0566,823,3055,802,8745,392,0855,053,8034,836,2074,648,7784,550,5444,378,0883,447,4523,483,8903,449,7442,841,5282,739,8142,594,4952,689,2022,190,450
Totaal passiva en aandeelhoudersvermogen 56,697,89353,428,26758,541,99962,738,43350,075,05253,422,57243,892,73942,970,59541,706,31641,059,17529,985,90127,228,08422,984,98719,874,73318,935,29118,460,38416,811,39712,532,675