Sempio Company

KRX:007540.KS

44150 (KRW) • At close November 4, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 16,020.38613,656.17630,519.53531,568.9914,364.94315,553.37114,055.4054,880.30618,873.92320,821.87920,034.38519,830.6698,765.13714,734.95215,472.41815,615.17422,653.12
Kortetermijnbeleggingen 59,639.474,711.0184,25057,40049,815.637,635.7531,197.26922,558.70218,708.4486,324.0068,959.6152,403.48318,377.98615,48822,250.10517,040.8551,183.677
Liquide middelen en kortetermijnbeleggingen 75,659.78688,367.186114,769.53588,968.9964,180.54353,189.12145,252.67427,439.00837,582.37127,145.88528,99422,234.15227,143.12330,222.95237,722.52332,656.02923,836.797
Nettovorderingen 40,729.30343,699.59238,157.8842,745.3933,221.51533,234.56932,543.3993,737.15936,566.24631,779.23729,395.17726,325.51132,728.56128,865.06623,041.71800
Voorraad 72,089.05673,749.17457,087.88644,536.19936,460.08636,223.32736,751.8212,003.36239,833.0133,833.29436,208.22744,115.53947,354.19436,484.0931,030.87229,136.4623,711.363
Overige vlottende activa 1,545.395-0.0010.001-0-0-0000-00.001-000.001-0.00120,996.47316,023.018
Totaal vlottende activa 190,023.54205,815.951210,015.302176,250.579133,862.144122,647.016114,547.89433,179.529113,981.62792,758.41594,597.40592,675.202107,225.87895,572.10991,795.11282,788.96263,571.178
Niet-vlottende activa:
Materiële vaste activa, netto 207,775.866192,227.842165,011.119141,235.547141,874.706132,230.419123,620.37214,119.612107,437.177108,605.631109,609.381102,988.79291,147.27361,886.84162,322.74963,326.31762,717.197
Goodwill 3,253.873,253.873,253.873,253.873,253.873,424.3733,424.373170.503000000000
Immateriële activa 22,811.34325,005.17227,396.06529,785.98632,336.24534,806.5437,316.75149.1131,076.668533.242590.312370.192556.985711.524695.231464.622388.898
Goodwill en immateriële activa 26,065.21328,259.04230,649.93533,039.85635,590.11538,230.91340,741.124219.6161,076.668533.242590.312370.192556.985711.524695.231464.622388.898
Langetermijnbeleggingen 35,940.429-60,222.19-69,763.318-47,868.139-41,468.686-28,512.543-17,260.29638,299.848-1,451.15110,407.13713,297.91519,008.1721,681.3468,687.074-3,614.443-1,111.1038,985.954
Belastingvorderingen 5,649.125,238.1443,396.5512,554.44660,190.41947,659.19441,343.65132,734.04828,924.41316,580.58919,256.81812,741.30528,755.5041,651.691,488.3821,099.4750
Overige niet-vlottende activa 9,129.43494,601.118103,428.55975,943.2628,526.6078,663.9558,571.9527.0537,349.7096,334.0076,424.9146,320.5976,404.81421,811.50428,572.56623,234.3166,554.839
Totaal niet-vlottende activa 284,560.062260,103.956232,722.847204,904.972204,713.161198,271.939197,016.885,400.177143,336.817142,460.606149,179.341141,429.058128,545.92394,748.63389,464.48587,013.62778,646.888
Totaal activa 474,583.603465,919.907442,738.149381,155.55338,575.304320,918.955311,564.694118,579.705257,318.444235,219.022243,776.745234,104.26235,771.801190,320.742181,259.597169,802.589142,218.066
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 29,348.1732,944.25326,916.01221,079.67614,916.62214,357.2416,279.723721.16514,382.82521,614.55718,457.36915,413.12719,363.38920,811.84814,140.43611,974.3526,692.427
Kortlopende schulden 73,295.94232,992.75330,812.5094,601.66816,779.47715,170.91834,581.6445.31332,418.43226,078.07950,064.93427,092.51515,183.89111,38911,3899,3890
Belastingschulden 554.111706.168770.7545,940.6134,842.0685,048.1374,047.54202,475.758782.62698.8061,484.124787.02633.041510.7862,969.3491,017.682
Uitgestelde opbrengsten 1,119.499874.10626,857.2930,361.72123,705.6735,048.13721,162.33,140.25317,527.01521,077.74217,872.08122,035.13617,825.20617,130.99716,935.2616,460.1620
Overige kortlopende verplichtingen 22,835.92230,547.917-00.0010.00120,517.469-0-00.001-00.001-0-00.0010.0020.0016,971.852
Totaal kortlopende verplichtingen 126,599.53397,359.02984,585.8156,043.06655,401.77255,093.76572,023.6234,306.7364,328.27268,770.37886,394.38464,540.77752,372.48549,331.84642,464.69837,823.51513,664.279
Langlopende verplichtingen:
Langetermijnschulden 2,448.38826,757.15627,298.45517,246.1229,622.1715,435.33,465.51,40025,539.79,046.5654,129.59721,805.39,071.2452,000000
Uitgestelde opbrengsten niet-vlottend 002,594.18002,450.2420001,982.538003,575.6970000
Uitgestelde belastingverplichtingen niet-vlottend 11,520.67311,796.34114,849.7814,051.38414,776.4814,903.94116,665.7593,793.4897,296.2397,476.2867,511.5757,392.8527,096.437934.486798.4840612.664
Overige niet-vlottende verplichtingen 4,201.4922,743.42302,807.462,366.685-02,616.362668.2122,052.342-02,741.1033,291.11801,551.6221,304.3011,231.5861,228.704
Totaal niet-vlottende verplichtingen 18,170.55241,296.9244,742.41634,104.96626,765.33532,789.48422,747.6215,861.70134,888.28218,505.38914,382.27632,489.26919,743.3794,486.1082,102.7851,231.5861,841.368
Totaal passiva 144,770.085138,655.949129,328.22790,148.03282,167.10787,883.24994,771.24410,168.43199,216.55487,275.768100,776.6697,030.04772,115.86553,817.95444,567.48339,055.10215,505.647
Eigen vermogen:
Preferente aandelen 0000000028,930.79700000000
Gewone aandelen 2,875.82,875.82,875.82,875.82,875.82,875.82,875.82,159.8574,4444,4444,4444,4444,4444,4444,4444,4444,444
Ingehouden winsten 6,616.806185,109.687176,094.328142,163.614101,432.3891,103.301102,094.19494,360.85494,005.8280,981.89975,575.61569,929.07763,999.15238,755.6439,434.97933,811.84630,275.228
Overige gereserveerde algehele resultaten 210,328.365200,911.247187,328.383147,027.336137,237.806123,705.763119,936.122119,766.182-28,930.79700000000
Overige totale aandeelhoudersvermogen -21,927.317-189,567.73-175,414.775-112,914.775-80,059.937-67,659.937-83,414.774-109,305.77959,652.06962,517.35462,980.4762,701.13795,212.78493,303.14892,813.13592,491.64291,993.191
Totaal eigen vermogen van aandeelhouders 197,893.654199,329.004190,883.736179,151.975161,486.049150,024.926141,491.342106,981.114158,101.89147,943.254143,000.086137,074.214163,655.936136,502.788136,692.114130,747.488126,712.419
Totaal eigen vermogen 329,813.518327,263.958313,409.922291,007.518256,408.198233,035.706216,793.45108,411.274158,101.89147,943.254143,000.086137,074.214163,655.936136,502.788136,692.114130,747.488126,712.419
Totaal passiva en aandeelhoudersvermogen 474,583.603465,919.907442,738.149381,155.55338,575.304320,918.955311,564.694118,579.705257,318.444235,219.022243,776.745234,104.26235,771.801190,320.742181,259.597169,802.589142,218.066