Seoyon Co., Ltd.

KRX:007860.KS

7150 (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 225,818.844253,014.485158,433.405192,405.859145,085.627167,128.554348,093.25291,668.736284,101.647309,702.139295,011.792143,012.676114,778.724127,540.733118,646.69286,132.93138,339.914
Kortetermijnbeleggingen 75,175.445103,041.82695,078.8968,603.35663,518.03177,763.33481,352.573101,490.11687,042.18826,147.95413,894.41517,682.53518,738.4154,034.81714,556.43510,013.8985,540.984
Liquide middelen en kortetermijnbeleggingen 300,994.288356,056.311253,512.295261,009.215208,603.658244,891.888429,445.823393,158.852371,143.835335,850.093308,906.206160,695.211133,517.139131,575.55133,203.12796,146.82943,880.898
Nettovorderingen 591,193.855604,683.159507,069.087544,734.858586,037.926751,096.672729,499.587853,354.313750,868.573756,430.64622,803.902433,815.06406,622.667269,542.357230,214.971153,833.895181,990.545
Voorraad 244,933.662195,736.572147,159.037141,898.054125,482.904245,380.374222,098.363238,676.471196,236.231181,592.262152,515.147116,379.695105,099.58238,185.26332,729.70324,890.89625,693.111
Overige vlottende activa 90,815.410-0-9,999.513-847.03539.56100.00100-0014,536.11417,058.976700.05-0.0010.002
Totaal vlottende activa 1,227,937.2151,156,476.042907,740.419937,642.614919,277.4531,241,408.4951,381,043.7731,485,189.6371,318,248.641,273,872.9961,084,225.255710,889.966659,775.502456,362.146396,847.851274,871.619251,564.556
Niet-vlottende activa:
Materiële vaste activa, netto 1,277,422.9981,003,923.6361,084,038.6661,074,984.0451,122,386.6571,182,338.7641,112,687.8471,137,503.3721,040,652.42824,151.313699,132.92481,227.138437,905.57225,800.014223,376.321219,940.109191,410.72
Goodwill 18,514.82715,991.35911,040.49710,859.70614,884.33520,598.15519,555.21747,326.3375,715.0655,715.0655,715.0651,555.951000048.34
Immateriële activa 99,097.69820,706.71223,501.90727,674.88831,482.75557,883.25266,520.91984,919.97691,006.62391,177.7558,908.2137,219.9431,107.491816.26466.3436,070.994,396.613
Goodwill en immateriële activa 117,612.52536,698.07134,542.40438,534.59446,367.0978,481.40786,076.136132,246.31396,721.68896,892.81564,623.27538,775.89131,107.491816.26466.3436,070.994,444.953
Langetermijnbeleggingen 115,896.483-30,277.612-39,501.814-15,069.625-9,092.4352,902.5865,082.46259,792.80942,444.47329,513.6634,705.772119,228.48362,434.04728,955.4443,871.9113,035.43515,474.272
Belastingvorderingen 28,255.5610,631.10114,842.18210,432.0835,919.58832,882.14433,278.2814,293.7959,307.9228,535.9675,984.1054,760.8223,176.59310,583.5537,257.81114,750.1423,886.784
Overige niet-vlottende activa 18,873.652146,092.109136,217.535104,488.468130,503.642108,293.28689,487.465104,460.70988,108.98733,608.64420,937.76923,307.76423,665.13910,647.20121,291.19612,877.6297,734.024
Totaal niet-vlottende activa 1,558,061.2181,167,067.3051,230,138.9731,213,369.5661,296,084.5471,454,898.1821,386,612.191,448,296.9971,277,235.489992,702.398825,383.841667,300.098558,288.841276,802.472256,263.582256,674.305222,950.753
Totaal activa 2,785,998.4332,323,543.3472,137,879.3912,151,012.182,215,3622,696,306.6762,767,655.9642,933,486.6342,595,484.1292,266,575.3941,909,609.0951,378,190.0641,218,064.342733,164.618653,111.434531,545.925474,515.309
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 589,550.627531,640.712412,243.847434,581.724481,325.411542,403.141456,083.836516,829.42531,175.061546,425.874487,102.464332,320.003341,323.848224,320.751229,222.405110,552.032155,040.289
Kortlopende schulden 328,195.6360,617.271386,076.286443,406.983504,387.361692,935.095778,605.604728,325.704612,652.472431,045.877341,750.91256,180.686204,710.270,999.7996,000.24893,060.48886,146.404
Belastingschulden 36,013.81141,501.51640,546.54428,742.43112,850.47215,996.22422,366.45735,959.66437,587.541,929.80274,660.05314,289.8614,047.83115,195.66514,627.35214,224.00310,312.143
Uitgestelde opbrengsten 56,955.91416,518.812184,250.477158,422.685147,876.90915,996.224258,981.682239,068.529198,181.72190,229.91192,477.289113,603.33298,761.85115,195.66548,757.00192,599.19663,444.439
Overige kortlopende verplichtingen 262,938.813196,297.0570.001-0.0010.001142,150.32300.0020-0.001-041.28112,544.63575,443.8290.001-0.0020.001
Totaal kortlopende verplichtingen 1,237,640.9541,105,073.851982,570.611,036,411.3921,133,589.6821,393,484.7831,493,671.1231,484,223.6541,342,009.2541,167,701.6591,021,330.663702,145.302657,340.534385,960.035373,979.655296,211.714304,631.133
Langlopende verplichtingen:
Langetermijnschulden 219,898.532166,522.591204,636.317247,662.219216,827.757243,989.084167,083.466268,526.952174,104.851107,165.515121,454.064107,686.65655,135.37524,209.17120,450.10330,366.10822,812.295
Uitgestelde opbrengsten niet-vlottend 26,915.455026,005.89821,141.42439,437.5272,668.72474,625.23780,292.29457,337.71459,201.2354,757.31549,691.53645,098.47516,178.7717,362.38200
Uitgestelde belastingverplichtingen niet-vlottend 66,940.76422,936.55518,393.95419,206.66220,131.46434,086.55232,275.6628,413.70932,376.58445,221.37238,729.86633,803.56919,799.58416,600.09414,990.847,291.8587,443.16
Overige niet-vlottende verplichtingen 19,374.78925,103.714-0.001-0369.4391,807.344-008,877.1311,363.09153.6570.001173.508191.332218.47915,811.17613,185.117
Totaal niet-vlottende verplichtingen 333,129.539214,562.86249,036.169288,010.305276,766.181352,551.705273,984.363377,232.956272,696.28212,951.208214,994.901191,181.762120,206.94157,179.36753,021.80453,469.14243,440.572
Totaal passiva 1,570,770.4931,319,636.7111,231,606.7791,324,421.6971,410,355.8631,746,036.4881,767,655.4861,861,456.611,614,705.5341,380,652.8681,236,325.564893,327.064777,547.476443,139.402427,001.459349,680.856348,071.705
Eigen vermogen:
Preferente aandelen 000078,191.686131,276.048150,833.334291,901.476224,916.58800000000
Gewone aandelen 11,739.92211,739.92211,739.92211,739.92211,739.92211,739.92211,739.92211,739.92211,242.50211,242.50219,707.92719,707.92719,707.92719,707.92719,707.92719,707.92718,717.174
Ingehouden winsten 159,594.53255,241.094189,552.002167,220.953640,886.673700,797.75741,062.668759,601.928685,834.905649,620.94440,299.959357,477.622331,129.371214,658.146153,163.633105,645.36270,875.012
Overige gereserveerde algehele resultaten 198,384.723142,802.792118,291.951110,008.802-78,191.686-131,276.048-150,833.334-291,901.476-224,916.58800000000
Overige totale aandeelhoudersvermogen 273,264.99124,189.177149,020.895140,492.147-230,227.017-233,600.499-245,773.594-226,800.803-224,671.059-231,288.80381,586.98829,812.1874,640.67423,665.35324,521.76931,687.66115,542.847
Totaal eigen vermogen van aandeelhouders 642,984.165533,972.984468,604.77429,461.824422,399.578478,937.174507,028.996544,541.047472,406.348429,574.639541,594.873406,997.735355,477.971258,031.426197,393.329157,040.95105,135.033
Totaal eigen vermogen 1,215,227.9391,003,906.636906,272.612826,590.483805,006.136950,270.1881,000,000.4781,072,030.024980,778.595885,922.528673,283.531484,863440,516.867290,025.216226,109.975181,865.069126,443.604
Totaal passiva en aandeelhoudersvermogen 2,785,998.4332,323,543.3472,137,879.3912,151,012.182,215,3622,696,306.6762,767,655.9642,933,486.6342,595,484.1292,266,575.3951,909,609.0951,378,190.0641,218,064.342733,164.618653,111.434531,545.925474,515.309