Sajo Industries Company Limited

KRX:007160.KS

38500 (KRW) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 22,373.03615,606.26170,854.64565,185.55547,836.44536,946.6078,690.8935,025.0949,454.89212,068.86449,986.78344,234.6836,086.11317,097.01643,611.70611,023.9398,306.037
Kortetermijnbeleggingen 5,20217,1005,696.6756,281.4419,862.6331,921.63427,565.18326,307.94732,962.14144,140.60647,866.56410,748.3276,280.25859,470.82831,178.37121,784.3194,581.591
Liquide middelen en kortetermijnbeleggingen 27,575.03632,706.26176,551.3271,466.99657,699.07568,868.24136,256.07631,333.04142,417.03356,209.4797,853.34754,983.0112,366.37176,567.84474,790.07732,808.25812,887.628
Nettovorderingen 75,162.1382,462.24483,150.02795,230.53689,167.11142,907.35856,602.11155,682.73240,117.8287,648.542118,253.362165,154.432131,819.81799,223.28795,784.24868,013.1443,115.9
Voorraad 114,918.418150,670.733102,366.884100,220.148131,490.016162,029.819118,153.337101,649.98592,351.981150,197.629251,077.436167,339.259148,718.037208,378.81194,495.038181,354.451129,020.622
Overige vlottende activa 128,810.50491,007.21398,607.57397,993.66896,180.879112,726.25887,986.48392,506.42795,813.575135,076.989137,679.082201,954.056205,011.094160,521.398116,155.66892,859.52376,716.838
Totaal vlottende activa 299,434.663338,171.211320,683.528306,932.323325,688.127355,385.071271,494.824256,542.237242,661.009388,086.246563,198.769417,781.81366,095.502445,468.052385,440.783307,022.232218,625.088
Niet-vlottende activa:
Materiële vaste activa, netto 421,504.082424,758.137423,408.17431,329.866462,091.162466,313.788430,292.503410,954.172390,346.676490,308.683566,148.682476,260.499448,733.403472,638.839383,364.527310,474.031306,783.836
Goodwill 442.681,864.071,864.071,864.071,864.072,737.9281,864.071,421.391,421.3955,210.68258,686.06542,435.53838,491.86542,128.27639,827.71313,808.52815,033.591
Immateriële activa 4,043.0043,834.5294,066.9534,275.3624,491.8534,781.0953,189.1323,279.7573,665.3913,990.874,646.2073,913.9913,767.157243.464189.411143.548-93.64
Goodwill en immateriële activa 4,485.6845,698.5995,931.0236,139.4326,355.9237,519.0235,053.2024,701.1475,086.78159,201.55263,332.27246,349.52942,259.02242,371.7440,017.12413,952.07614,939.951
Langetermijnbeleggingen 375,298.818310,345.992287,045.627257,634.964232,915.421232,502.925236,609.697215,144.939128,796.50483,987.3242,642.10287,408.758116,503.588-15,511.52-3,417.93333,811.45660,469.355
Belastingvorderingen 01,082.691887.728433.177223.976444.962425.086347.536136,190.5211,321.252223,468.98197,937.991164,817.422,823.5056,374.2685,512.6395,102.635
Overige niet-vlottende activa 69,036.39386,555.34975,900.41784,928.828110,136.477113,832.375113,390.857123,017.836-0.001189,556.3190.0010-0.00173,816.36343,352.75931,648.76813,151.053
Totaal niet-vlottende activa 870,324.977828,440.767793,172.965780,466.268811,722.959820,613.074785,771.345754,165.629660,420.481824,375.126895,592.036807,956.778772,313.432576,138.927469,690.745395,398.97400,446.83
Totaal activa 1,169,759.641,166,611.9781,113,856.4931,087,398.5911,137,411.0861,175,998.1451,057,266.171,010,707.866903,081.491,212,461.3721,458,790.8051,225,738.5881,138,408.9341,021,606.98855,131.528702,421.202619,071.918
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00000026,815.70320,588.46213,831.33551,731.60684,513.78394,951.187074,566.70255,801.3845,984.52434,249.593
Kortlopende schulden 288,964.33224,378.895210,026.151199,998.214199,190.398246,907.728258,815.83290,928.187164,339.244390,595.73326,024.504367,485.577344,916.234300,550.571349,604.686331,358.566280,681.618
Belastingschulden 2,019.3267,604.17210,585.9333,074.2441,501.0536,771.12911,333.02810,310.519,028.0956,738.50414,950.756,490.53612,810.41211,069.1710,371.2625,245.4723,648.984
Uitgestelde opbrengsten 04,021.9315,736.8698,140.4684,469.2688,465.509138,395.315127,066.977120,109.557148,694.254170,429.2390011,069.1777,202.01650,483.34334,047.934
Overige kortlopende verplichtingen 169,412.503197,319.955163,566.302147,406.653168,935.405170,222.023127,062.286116,756.467110,822.898141,955.75-14,950.749280,194.868194,721.45881,720.16666,830.75645,237.87230,398.949
Totaal kortlopende verplichtingen 460,396.16429,303.022384,178.386350,479.111369,626.856423,900.88424,026.848438,583.626413,066.472591,021.59751,396.766575,613.649552,678.519467,906.609482,608.084427,826.434348,979.144
Langlopende verplichtingen:
Langetermijnschulden 13,056.13453,493.93196,608.407171,296.965224,238.018168,925.85199,518.678100,068.30647,229.46121,782.963197,208.355181,940.231169,025.359196,356.47250,416.12665,214.33,484.729
Uitgestelde opbrengsten niet-vlottend 06,267.786,710.016,219.5796,465.2796,636.3727,089.3548,207.1458,941.445165.05331.73318,022.4951,426.74692,966.46395,438.16882,297.34476,327.796
Uitgestelde belastingverplichtingen niet-vlottend 029,489.77947,072.85342,990.7838,780.51149,954.26544,940.94339,242.87139,609.13949,299.4147,572.32743,434.46247,490.4413,019.7835,360.2121,433.3523,723.565
Overige niet-vlottende verplichtingen 48,831.5144,821.46713,538.39762,438.84258,525.10773,356.38116,084.79764,357.44416,474.5819,774.55226,236.8768,580.5627,857.370.00195,438.1670.0014,394.812
Totaal niet-vlottende verplichtingen 61,887.64894,072.957163,929.668233,735.807282,763.125242,282.231167,633.772164,425.75112,254.625191,021.975271,349.291251,977.748245,799.915302,342.719151,214.505148,944.997164,258.698
Totaal passiva 522,283.807523,375.979548,108.054584,214.919652,389.981666,183.111591,660.62603,009.376525,321.097782,043.5651,022,746.057827,591.396798,478.434770,249.328633,822.589576,771.431513,237.843
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 25,00025,00025,00025,00025,00025,00025,00025,00025,00025,00025,00025,00025,00025,00025,00025,00025,000
Ingehouden winsten 488,115.743478,625.621408,421.938363,950.948349,486.794364,374.07337,271.43293,650.168268,088.549251,390231,325.085240,304.158232,754.063103,414.55666,475.81732,549.71210,381.504
Overige gereserveerde algehele resultaten 15,792.61621,360.37924,385.11720,513.80521,211.6724,816.26923,759.12910,841.20119,820.0072,014.4263,865.374000000
Overige totale aandeelhoudersvermogen -561.394-680.37612,782.7599,704.2616,678.6495,949.12620,055.8736,741.0456,741.0458,058.19-6,871.88321,150.38626,791.84231,739.65134,464.37536,271.81837,581.897
Totaal eigen vermogen van aandeelhouders 528,346.964513,611.963449,502.07398,655.209399,598.567417,636.737382,327.302336,106.39309,575.504284,448.19253,318.576280,906.949284,545.904160,154.207125,940.19293,821.5372,963.401
Totaal eigen vermogen 647,475.833643,235.999565,748.439503,183.672485,021.105509,815.034465,605.549407,698.49377,760.393430,417.808436,044.748398,147.192339,930.5251,357.652221,308.939125,649.77105,834.075
Totaal passiva en aandeelhoudersvermogen 1,169,759.641,166,611.9781,113,856.4931,087,398.5911,137,411.0861,175,998.1451,057,266.171,010,707.866903,081.491,212,461.3721,458,790.8051,225,738.5881,138,408.9341,021,606.98855,131.528702,421.201619,071.918