AK Holdings, Inc.

KRX:006840.KS

13170 (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 500,637.429499,496.215515,233.7405,265.725284,885.465511,412.915330,383.57388,368.229274,036.505134,948.969104,844.51916,236.29374,101.68152,047.6153,961.87436,306.84951,061.349
Kortetermijnbeleggingen 10,144.294198,342.26924,830.764154,646.841286,993.476140,853.246276,173.116215,405.879157,946.32852,219.31252,427.3751,428.7282,046.3821,115.47210,045.05520,440.5515,052.543
Liquide middelen en kortetermijnbeleggingen 510,781.723697,838.484540,064.464559,912.566571,878.942652,266.161606,556.686603,774.108431,982.833187,168.282157,271.89417,665.02176,148.06353,163.08264,006.92956,747.456,113.892
Nettovorderingen 446,188.537515,456.689426,717.844384,638.551487,475.543419,704.898384,729.954369,681.265329,167.351440,269.113397,031.00588,583.236188,870.165184,999.481134,461.831103,824.037101,073.538
Voorraad 334,076.109357,702.292375,434.184236,961.655253,714.985227,029.929217,784.154197,859.303203,315.762229,358.723141,634.81839,074.703100,459.041101,257.56280,485.721134,185.12764,103.876
Overige vlottende activa 243,052.5537,820.84410,532.6223,742.2214,717.1427,699.2799,411.1518,543.0634,713.0273,894.4676,620.547463.5672,987.342,671.847535.48455.677254.408
Totaal vlottende activa 1,534,098.9221,578,818.3081,352,749.1151,185,254.9911,327,786.6121,306,700.2661,218,481.9451,179,857.738969,178.974860,690.585702,558.263145,786.527368,464.61342,091.972279,489.961295,212.241221,545.714
Niet-vlottende activa:
Materiële vaste activa, netto 3,031,959.0592,682,002.2692,512,150.6162,317,014.3892,382,852.4131,396,079.4281,103,018.831958,537.543940,933.6161,349,566.9421,169,177.81653,370.069259,633.606166,260.471157,643.618139,228.465122,780.79
Goodwill 115,607.845107,511.42798,477.21297,861.16998,605.271100,864.99463,224.74777,296.69678,153.237163,589.466162,546.4472,868.7195,405.5453,000.9362,745.0924,908.6993,501.722
Immateriële activa 75,943.9584,585.1492,903.797102,316.666108,105.2589,926.59586,835.02786,378.53190,258.24591,799.72461,497.16614,338.9036,298.2085,698.5283,177.9628,207.3131,353.003
Goodwill en immateriële activa 191,551.795192,096.567191,381.009200,177.835206,710.521190,791.589150,059.774163,675.227168,411.482255,389.19224,043.61317,207.62211,703.7538,699.4645,923.05413,116.0124,854.725
Langetermijnbeleggingen 309,188.83710,989.752155,518.571-34,353.806-160,744.31669,036.191-70,589.738-18,094.42333,287.53283,599.21990,141.805299,675.434145,521.505102,671.514110,093.306120,805.149135,856.9
Belastingvorderingen 218,104.35268,299.335229,910.403153,509.33749,334.95733,269.68721,764.51622,213.38522,437.7763,866.9043,964.96433.24435.5341,438.727375.2841,057.6121,348.108
Overige niet-vlottende activa 30,092.121272,128.731107,026.944330,488.864522,024.369402,054.079522,049.019435,757.033361,265.612220,041.035185,108.01102,654.43314,872.49712,356.37617,695.83626,637.97810,965.964
Totaal niet-vlottende activa 3,780,896.1623,425,516.6533,195,987.5422,966,836.6183,000,177.9432,091,230.9731,726,302.4011,562,088.7641,526,336.0191,912,463.2911,672,436.209472,940.802431,766.895291,426.553291,731.098300,845.216275,806.487
Totaal activa 5,314,995.0845,004,334.9614,548,736.6574,152,091.6094,327,964.5553,397,931.2392,944,784.3472,741,946.5032,495,514.9932,773,153.8762,374,994.472618,727.33800,231.504633,518.525571,221.059596,057.457497,352.202
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 322,869.324316,428.299353,029.488275,930.96329,542.79327,964.818363,444.962381,560.718321,221.478384,587.781272,943.95432,666.22788,261.98101,219.626109,798.2657,602.51369,169.117
Kortlopende schulden 1,460,978.3011,210,057.8341,087,943.168986,381.363635,447.274453,840.495483,343.157510,897.444599,867.254568,347.966757,412.619105,488.601251,521.954206,532.203184,742.658257,795.59125,702.558
Belastingschulden 14,536.88432,402.7622,086.39515,785.50226,303.50942,369.7840,585.64346,900.8915,047.31912,231.26717,402.4254,920.5458,357.15411,948.3141,802.703499.73510,856.091
Uitgestelde opbrengsten 325,889.519244,594.521429,972.176346,000.734597,155.27342,369.78459,220.628230,857.271310,706.95316,703.55316,953.5612,934.14932,062.88734,171.44521,255.50817,315.60225,015.942
Overige kortlopende verplichtingen 665,332.667595,589.8932,997.7423,356.4663,336.172506,855.2971,585.237191,452.3091,059.5913,683.3194,462.12788.5790115.5120.59110.5959.151
Totaal kortlopende verplichtingen 2,775,069.8122,366,670.5471,873,942.5751,611,669.5231,565,481.5081,331,030.3911,307,593.9841,314,767.7411,232,855.2731,273,322.6161,351,772.26151,177.557371,846.821342,038.774315,917.017332,724.3219,896.768
Langlopende verplichtingen:
Langetermijnschulden 101,083.7031,067,288.351,118,238.915974,138.171,017,137.312286,561.671239,496.379208,072.516173,049.776452,035.089196,176.41849,358.453,531.5755,735.7021,7246,972.4592,023.458
Uitgestelde opbrengsten niet-vlottend 3,086.36560,708.21314,692.6699,030.6555,445.0719,463.4025,499.037167,874.205930.997163,668.432139,247.16506,309.369007,656.4754,470.059
Uitgestelde belastingverplichtingen niet-vlottend 27,129.65925,809.06728,956.70634,044.89836,280.84737,178.6135,170.22233,044.45932,058.66457,046.77252,623.9254,523.62514,526.73213,232.1448,316.4279,971.55615,169.788
Overige niet-vlottende verplichtingen 1,113,515.429201,520.605310,546.52279,712.981273,680.929259,799.524204,960.6666,766.837155,026.82568.375153.2441,403.10904,770.9372,276.120.001-0.001
Totaal niet-vlottende verplichtingen 1,244,815.1561,355,326.2351,472,434.8111,296,926.7041,332,544.159593,003.207485,126.304415,758.016361,066.261672,818.668388,200.75355,285.13374,367.67623,738.78312,316.54724,600.49121,663.304
Totaal passiva 4,019,884.9673,721,996.7823,346,377.3862,908,596.2272,898,025.6671,924,033.5981,792,720.2881,730,525.7581,593,921.5341,946,141.2841,739,973.013206,462.69446,214.498365,777.557328,233.564357,324.791241,560.073
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 66,237.80566,237.80566,237.80566,237.80566,237.80566,237.80566,237.80566,237.80566,237.80566,237.80558,237.80554,490.7644,50030,00030,00030,00030,000
Ingehouden winsten 68,499.338181,440.488232,755.815329,813.38413,718.907404,589.678394,101.588303,484.157243,743.723295,484.47236,127.136380,202.083235,845.951208,249.82277,730.39594,054.748119,694.396
Overige gereserveerde algehele resultaten 124,117.096121,764.428120,429.561112,026.351111,314.597112,581.765102,845.015105,160.639310,473.31600000000
Overige totale aandeelhoudersvermogen 319,564.815177,788.284180,158.274160,540.868236,011.012261,742.666138,331.569145,550.657-59,530.179197,605.954132,068.808-74,261.96659,778.87118,573.086104,444.625110,740.283102,570.391
Totaal eigen vermogen van aandeelhouders 578,419.053547,231.006599,581.455668,618.404827,282.321845,151.915701,515.977620,433.258560,924.665559,328.228426,433.748360,430.877340,124.822256,822.908212,175.02234,795.031252,264.787
Totaal eigen vermogen 1,295,110.1171,282,338.181,202,359.2711,243,495.3821,429,938.8881,473,897.6411,152,064.0581,011,420.745901,593.459827,012.591635,021.459412,264.64354,017.007267,740.968242,987.496238,732.667255,792.129
Totaal passiva en aandeelhoudersvermogen 5,314,995.0845,004,334.9614,548,736.6574,152,091.6094,327,964.5553,397,931.2392,944,784.3472,741,946.5032,495,514.9932,773,153.8762,374,994.472618,727.33800,231.504633,518.525571,221.06596,057.458497,352.202