Dongwon Industries Co., Ltd.

KRX:006040.KS

30750 (KRW) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 637,868.932540,891.027156,267.866171,210.225109,380.22462,547.758163,221.029307,906.742119,026.01246,172.10731,202.26819,991.28650,207.78623,946.00956,175.53113,957.1277,561.893
Kortetermijnbeleggingen 537,345.269181,129.207192,050.507144,941.35722,473.34452,020.62945,952.91462,196.03144,937.9779,729.62757,857.651192,462.58483,491.26470,239.37171,500.98678,293.20667,583.399
Liquide middelen en kortetermijnbeleggingen 1,175,214.201722,020.233348,318.373316,151.583131,853.568114,568.386209,173.942370,102.773163,963.982125,901.73489,059.919212,453.87133,699.0594,185.38127,676.51792,250.33375,145.292
Nettovorderingen 1,151,585.8841,195,560.938449,676.417401,631.91563,289.597401,789.21402,413.033278,767.737201,759.048226,720.719158,457.152135,272.827153,506.897098,969.70900
Voorraad 1,302,448.9171,478,679.988491,147.657465,529.113506,468.197492,612.971396,198.432406,528.53414,348.675338,936.979364,228.619390,451.995392,824.557351,059.275285,321.47577,944.61259,423.231
Overige vlottende activa 141,494.736-426.7960.001-0.001139.95700-000000154,065.047-0.00366,695.03537,738.384
Totaal vlottende activa 3,770,743.7373,395,834.3631,289,142.4481,183,312.6061,201,751.3191,008,970.5671,007,785.4081,055,399.04780,071.705691,559.432611,745.69738,178.693680,030.504599,309.703511,967.698236,889.98172,306.907
Niet-vlottende activa:
Materiële vaste activa, netto 2,712,522.6092,434,162.471,019,607.8981,183,799.8761,074,463.532766,441.304772,878.51576,640.421577,490.962541,595.174506,442.431495,903.508471,632.979469,161.58428,516.883272,598.208214,217.233
Goodwill 209,167.316206,350.8114,291.0064,291.0064,291.0060000000036,993.57273,009.4560905.241
Immateriële activa 181,703.341194,246.294100,677.88198,676.409105,707.269208,629.937202,914.17675,300.99674,351.06571,439.37170,196.37973,110.60880,650.7181,345.00244,171.671811.0371,118.391
Goodwill en immateriële activa 390,870.658400,597.104104,968.887102,967.415109,998.275208,629.937202,914.17675,300.99674,351.06571,439.37170,196.37973,110.60880,650.71118,338.574117,181.127811.0372,023.632
Langetermijnbeleggingen 758,310.614308,275.315276,195.804314,823.14411,254.557360,695.066341,555.9249,721.71357,556.449-1,638.071-43,612.496-176,664.26-68,152.978-36,961.257-38,884.692113,817.223-52,376.071
Belastingvorderingen 61,925.16348,472.43637,919.235,724.20528,867.54333,820.21925,047.30134,154.72433,387.69628,940.38531,438.0526,893.64227,170.9814,401.2910,172.3189,529.5584.14
Overige niet-vlottende activa 30,770.049473,837.85324,070.314285,398.955159,710.03213,641.538210,166.151109,113.20295,137.705132,987.859101,750.976223,275.37115,480.76199,729.93980,037.63489,253.95872,046.374
Totaal niet-vlottende activa 3,954,399.0923,665,345.1751,762,762.1021,922,713.5911,784,293.9361,583,228.0631,552,562.058844,931.057837,923.876773,324.719666,215.339642,518.868626,782.452654,670.127597,023.27486,009.976235,995.308
Totaal activa 7,725,142.8297,061,179.5373,051,904.553,106,026.1972,986,045.2552,592,198.6312,560,347.4661,900,330.0971,617,995.5821,464,884.1511,277,961.0291,380,697.5611,306,812.9561,253,979.8291,108,990.968722,899.957408,302.215
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 652,338.089682,962.964177,650.283151,925.284170,440.124153,341.8215,975.84979,362.78363,518.43454,577.3733,125.17950,256.34647,182.6797,090.41149,434.38226,402.60418,522.744
Kortlopende schulden 1,741,050.5991,273,697.617386,529.724672,311.286399,895.804467,352.755450,949.259151,350.215445,808.473237,285.846196,699.614258,229.789253,547.083332,754.099203,891.688198,197.75118,402.56
Belastingschulden 41,170.69163,408.85819,188.68214,325.7088,578.6949,233.95327,529.31515,742.1885,424.0913,777.0153,987.75622,543.1345,281.22121,394.11316,895.60527,675.07211,240.14
Uitgestelde opbrengsten 58,057.44556,501.28282,260.556236,497.028381,365.1619,233.953183,913.962144,148.491122,185.01674,956.96671,135.676118,415.94264,812.00891,511.64988,764.08266,641.21236,577.437
Overige kortlopende verplichtingen 619,174.176669,799.9590.001-0-0.001225,901.078-0-0.001-0-00-0.0010-00.0010.0010.001
Totaal kortlopende verplichtingen 3,070,620.3092,682,961.82846,440.5641,060,733.597951,701.088855,829.585850,839.07374,861.487631,511.923366,820.182300,960.47426,902.076365,541.761521,356.159342,090.153291,241.567173,502.742
Langlopende verplichtingen:
Langetermijnschulden 1,276,297.0051,329,214.116605,803.206599,539.936805,186.753640,661.73687,920.247669,410.841245,489.283342,232.431276,789.109302,227.802349,486.147101,559.066251,579.808178,790.56538,874.776
Uitgestelde opbrengsten niet-vlottend 7.87445.8165,493.004111.2539.00676.1812.356.88622.001165.832297.835121.439358.223589.624040,118.17831,247.783
Uitgestelde belastingverplichtingen niet-vlottend 79,453.74770,148.20347,281.88358,334.75648,405.82346,873.39252,411.0548,881.72212,918.48218,764.22421,631.15626,669.78126,288.68230,381.02824,908.3593,130.2281,782.889
Overige niet-vlottende verplichtingen 163,042.61870,334.16092,164.845102,250.275,152.35565,435.8316,057.35919,166.09947,430.20746,654.11843,090.75968,322.546125,198.59535,859.5560.0010.001
Totaal niet-vlottende verplichtingen 1,518,801.2441,469,742.288718,578.093750,150.786955,881.781762,763.659805,769.477734,356.808277,595.865408,592.693345,372.218372,109.782444,455.599257,728.314312,347.723222,038.97271,905.449
Totaal passiva 4,589,421.5534,152,704.1081,565,018.6561,810,884.3831,907,582.8691,618,593.2441,656,608.5471,109,218.295909,107.788775,412.875646,332.689799,011.858809,997.36779,084.472654,437.876513,280.539245,408.19
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 46,482.66549,982.66518,388.20518,388.20518,388.20516,81616,81616,81616,81616,81616,81616,81616,81616,81616,81616,81616,816
Ingehouden winsten 1,163,591.421,916,402.411,339,856.8241,188,446.532942,802.375908,070.054869,753.374712,999.29644,726.097639,845.637589,281.643520,621.553427,735.905369,997.985185,987.582120,376.73685,790.826
Overige gereserveerde algehele resultaten 752,652.426420,394.035732,643.107617,084.35584,123.122576,142.269503,464.348496,632.87767,009.8400000000
Overige totale aandeelhoudersvermogen 734,090.52133,793.243-653,857.373-573,122.374-505,483.884-526,006.691-483,980.216-433,957.392-15,641.58833,696.45824,405.23718,482.34926,994.34833,428.853118,901.88972,426.68260,287.199
Totaal eigen vermogen van aandeelhouders 2,696,817.0312,520,572.3531,437,030.7631,250,796.7131,039,829.818975,021.632906,053.505792,490.775712,910.349690,358.095630,502.88555,919.902471,546.253420,242.838321,705.471209,619.418162,894.025
Totaal eigen vermogen 3,135,721.2762,908,475.431,486,885.8931,295,141.8131,078,462.386973,605.386903,738.919791,111.801708,887.794689,471.276631,628.341581,685.703496,815.597474,895.357454,553.092209,619.418162,894.025
Totaal passiva en aandeelhoudersvermogen 7,725,142.8297,061,179.5373,051,904.553,106,026.1972,986,045.2552,592,198.6312,560,347.4661,900,330.0971,617,995.5821,464,884.1511,277,961.0291,380,697.5611,306,812.9561,253,979.8291,108,990.968722,899.957408,302.215