Kukdo Chemical Co., Ltd.

KRX:007690.KS

32500 (KRW) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 44,664.70229,398.440,867.9242,386.09317,614.43333,109.22921,895.30447,218.61331,747.339,180.38711,201.3196,485.7725,292.87649,158.80770,764.72930,034.25230,204.556
Kortetermijnbeleggingen 103,113.563109,489.335106,803.18559,605.93341,021.09224,088.18363,483.06971,254.98666,599.12774,889.30965,506.53474,581.15955,815.07114,294.22416,804.21742,138.10319,754.816
Liquide middelen en kortetermijnbeleggingen 147,778.266138,887.735147,671.105101,992.02658,635.52557,197.41285,378.373118,473.59998,346.45784,069.69676,707.85381,066.92981,107.94763,453.03187,568.94672,172.35549,959.372
Nettovorderingen 274,359.535334,521.833391,461.635228,248.744245,788.471265,487.246239,445.327187,914.668203,907.843186,264.832171,427.785170,567.162192,465.088197,649.006114,233.57900
Voorraad 213,377.226272,483.907265,440.278123,384.004134,325.366128,547.795106,183.44584,126.72493,990.333102,227.54595,231.00179,638.17179,671.81377,747.58759,508.41462,386.28861,394.096
Overige vlottende activa 18,215.535150.89446.312-0-000.0010.0010.0010.001000-0.002-0.002121,667.226108,501.609
Totaal vlottende activa 653,730.561746,044.369804,619.331453,624.773438,749.361451,232.453431,007.146390,514.992396,244.635372,562.073343,366.639331,272.263353,244.848338,849.622261,310.937256,225.869219,855.077
Niet-vlottende activa:
Materiële vaste activa, netto 675,807.69639,058.466482,982.632400,381.912389,933.503332,871.279300,507.367275,628.166246,327.338234,864.223222,241.092210,786.759204,691.128156,423.456103,567.225106,354.56382,565.386
Goodwill 184.6721,294.3021,294.3021,294.3027,180.107184.672184.672184.672184.672184.672184.672184.67200000
Immateriële activa 19,208.13125,797.11323,508.3122,188.43424,046.1947,228.751,706.7851,778.8721,891.7011,913.7671,969.3813,189.4193,405.095817.91830.587914.846653.557
Goodwill en immateriële activa 19,208.13127,091.41524,802.61223,482.73631,226.3017,413.4221,891.4571,963.5442,076.3732,098.4392,154.0533,374.0913,405.095817.91830.587914.846653.557
Langetermijnbeleggingen 140,294.87-105,962.141-42,775.657-16,102.6081,883.09125,594.58-9,927.085-58,065.191-30,995.725-47,834.528-44,165.962-73,586.976-51,315.864-4,704.063-5,986.551-35,145.746-18,200.409
Belastingvorderingen 6,923.9195,105.2422,195.603754.66943,627.83837,306.70665,070.61572,743.18567,630.68575,737.11366,825.48375,891.41425.163357.53261.917297.16520,480.147
Overige niet-vlottende activa 13,596.072187,756.308144,541.67168,416.0830.0010-0-0.001-04.13520.70237.74657,394.21118,209.9619,331.77244,792.9441,570.477
Totaal niet-vlottende activa 855,830.681753,049.289611,746.861476,932.793466,670.734403,185.987357,542.354292,269.703285,038.671264,869.382247,075.369216,503.034214,199.732171,104.793118,004.95117,213.77287,069.158
Totaal activa 1,509,561.2431,499,093.6591,416,366.192930,557.566905,420.095854,418.441788,549.5682,784.695681,283.306637,431.455590,442.007547,775.296567,444.58509,954.415379,315.887373,439.641306,924.235
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 116,240.929109,187.103101,040.36396,654.252104,007.37590,315.309108,382.16784,828.94177,904.20982,192.17680,355.2271,374.83268,841.96788,465.73459,503.16230,762.27633,577.256
Kortlopende schulden 383,103.869270,817.568228,078.585112,746.88680,456.12131,986.4277,971.30958,855.70292,795.41476,118.40342,565.0165,303.87378,299.50454,455.34960,068.51133,724.56536,046.591
Belastingschulden 3,461.77710,960.55960,615.2494,519.7276,446.3087,552.367,921.851,267.74813,297.2621,564.0472,564.1085,218.0631,697.1314,080.2661,663.7699,673.3622,236.397
Uitgestelde opbrengsten 4,119.9216,134.964150,145.34637,579.2945,897.746,775.71545,499.81221,509.2737,823.52325,632.29822,671.26528,588.31130,773.0474,080.26611,150.78731,438.9572,236.397
Overige kortlopende verplichtingen 58,952.866108,247.1252,699.094481.458568.208493.091854.533798.968611.058319.427302.346225.181171.49828,719.7940.001-0.00210,978.161
Totaal kortlopende verplichtingen 562,417.585494,386.761481,963.389247,461.886230,929.403269,570.535232,707.821165,992.881209,134.204184,262.304145,893.841165,492.197178,086.016175,721.143130,722.46195,925.79682,838.405
Langlopende verplichtingen:
Langetermijnschulden 70,763.686123,670.379100,629.872103,837.638112,908.99454,745.61659,179.88943,330.76511,860.1546,369.66456,406.72822,839.74451,641.33931,717.1912,220.0357,129.97343,727.261
Uitgestelde opbrengsten niet-vlottend 8,208.1870954.10700000000000089.3830
Uitgestelde belastingverplichtingen niet-vlottend 18,693.86421,364.05417,873.81127,015.44333,421.85730,456.45828,781.21527,612.54329,573.93527,725.28525,406.30722,611.94122,209.75615,568.035,248.3653,991.0511,619.853
Overige niet-vlottende verplichtingen 2,451.8021,484.507000-000000000.00100.00126.5
Totaal niet-vlottende verplichtingen 100,117.539146,518.94119,457.79130,853.081146,330.85185,202.07487,961.10470,943.30841,434.08574,094.94981,813.03645,451.68573,851.09547,285.22117,468.39561,210.40845,373.614
Totaal passiva 662,535.124640,905.7601,421.18378,314.968377,260.254354,772.609320,668.924236,936.189250,568.289258,357.254227,706.877210,943.882251,937.111223,006.364148,190.856157,136.203128,212.018
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 45,053.0845,053.0845,053.0829,053.0829,053.0829,053.0829,053.0829,053.0829,053.0829,053.0829,053.0829,053.0829,053.0829,053.0829,053.0829,053.0829,053.08
Ingehouden winsten 669,689.637694,477.434639,189.269488,024.371444,699.907417,294.542394,617.851360,507.93343,133.548293,056.077278,559.422253,577.584228,603.331144,983.556123,164.216105,156.96380,592.946
Overige gereserveerde algehele resultaten 28,722.3927,278.73429,675.04912,305.32127,623.55114,949.68714,457.34519,958.363000000000
Overige totale aandeelhoudersvermogen 90,981.54278,548.6587,126.739,893.07415,251.49627,270.09220,082.96426,907.08349,051.647,927.646,748.05546,155.67449,528.099106,577.32473,803.93776,736.17165,484.366
Totaal eigen vermogen van aandeelhouders 834,446.649845,357.898801,044.128539,275.846516,628.033488,567.401458,211.24436,426.456421,238.227370,036.757354,360.557328,786.338307,184.51280,613.96226,021.233210,946.214175,130.392
Totaal eigen vermogen 847,026.119858,187.958814,945.012552,242.599528,159.841499,645.831467,880.576445,848.506430,715.016379,074.201362,735.131336,831.414315,507.469286,948.051231,125.031216,303.437178,712.216
Totaal passiva en aandeelhoudersvermogen 1,509,561.2431,499,093.6591,416,366.192930,557.566905,420.095854,418.441788,549.5682,784.695681,283.306637,431.455590,442.007547,775.296567,444.58509,954.415379,315.887373,439.641306,924.235