Hotel Shilla Co.,Ltd

KRX:008770.KS

44900 (KRW) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 411,692.317534,097.782242,874.408240,173.92508,299.588281,904.025474,418.583346,650.587325,824.453186,726.588225,861.064273,639.848129,715.405109,143.538104,887.406131,049.36225,280.265
Kortetermijnbeleggingen 30,194.8110,462.14516,963.07146,290.40130,117.86422,466.0533,810.901602.814632.169675.504518.762518.5243,495.56625,528.781457.14670,473.648607.876
Liquide middelen en kortetermijnbeleggingen 441,887.116644,559.927259,837.478386,464.321538,417.452304,370.078478,229.484347,253.401326,456.622187,402.092226,379.826274,158.372133,210.971134,672.319105,344.552201,523.0125,888.141
Nettovorderingen 273,973.324278,810.784201,556.06157,326.201328,288.51264,147.81220,409.888260,565.593226,474.125142,088.084145,977.928117,851.567113,494.30953,065.76142,911.59352,894.8160
Voorraad 629,899.69555,460.419625,840.87620,196.033849,383.563703,632.493499,797.379471,313.787470,619.91493,503.333336,789.42355,072.912335,733.212216,414.473174,657.404132,562.94565,567.809
Overige vlottende activa 34,482.69-0.0010-0.001-00-0-00-000.00100.0020.001-0.00120,576.503
Totaal vlottende activa 1,380,242.8211,478,831.131,087,234.4071,163,986.5551,716,089.5251,272,150.3811,198,436.7511,079,132.7811,023,550.658822,993.508709,147.174747,082.851582,438.492404,152.555322,913.55386,980.77112,032.453
Niet-vlottende activa:
Materiële vaste activa, netto 1,117,058.9691,066,864.3441,115,015.7411,206,118.0581,459,132.012696,935.273693,083.836706,919.812735,612.089703,582.764643,394.654482,129.125483,575.447457,925.027451,165.88447,315.156444,898.901
Goodwill 53.55253.55253.55253.55253.55253.55253.5520000000000
Immateriële activa 28,701.22935,254.55342,141.69953,948.79456,008.60947,931.22743,731.77648,170.63830,022.17632,725.46723,265.17826,211.68427,266.069276.49212.18230.57947.374
Goodwill en immateriële activa 28,754.78135,308.10542,195.25154,002.34656,062.16147,984.77943,785.32848,170.63830,022.17632,725.46723,265.17826,211.68427,266.069276.49212.18230.57947.374
Langetermijnbeleggingen 61,874.31761,716.585252,603.614181,051.533223,612.072230,365.511282,577.442202,900.781382,320.447344,039.775335,740.037291,663.416288,527.77440,858.54943,954.387-30,509.08930,098.094
Belastingvorderingen 119,520.997132,428.942120,621.141114,609.88834,66922,971.6667,627.1473,228.1784,567.6483,435.1864.832525.21302,786.1714,597.9115,285.0073,036.093
Overige niet-vlottende activa 299,086.886163,395.88138,779.757174,074.07937,715.85333,334.51824,402.935602.814632.169675.504518.76203,495.566271,064.414250,135.043323,340.154130,650.837
Totaal niet-vlottende activa 1,626,295.9491,459,713.8571,569,215.5041,729,855.9041,811,191.0991,031,591.7471,051,476.688961,822.2221,153,154.5291,084,458.6961,002,923.463800,529.438802,864.856772,910.651750,065.401745,661.807608,731.299
Totaal activa 3,006,538.772,938,544.9872,656,449.9122,893,842.4593,527,280.6242,303,742.1282,249,913.4392,040,955.0032,176,705.1871,907,452.2041,712,070.6371,547,612.291,385,303.3491,177,063.2061,072,978.9511,132,642.577720,763.752
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 271,924.212162,884.624169,009.645137,924.918433,337.033284,148.964272,881.247205,674.508196,070.231192,765.377137,325.432109,013.688103,787.38871,065.39162,721.60641,724.53915,169.745
Kortlopende schulden 417,009.87550,399.591462,552.609161,557.29418,771.429159,781.108221,594.666152,637.616159,825.290139,874.15380,00051,792.5174,419.48535,320.243127,930.9535,447.375
Belastingschulden 5,663.1444,887.8983,482.5021,352.87938,700.09742,171.69514,045.20311,519.26214,110.8827,905.8274,038.04223,232.36410,978.97711,947.0587,708.7464,866.0894,460.602
Uitgestelde opbrengsten 85,096.99585,613.26380,209.297475,785.585585,973.19442,171.695415,617.407381,614.941226,950.2810155,346.132159,455.579141,814.637100,856.4787,708.7464,866.0894,460.602
Overige kortlopende verplichtingen 414,430.824507,081.0340-00.001516,630.86700.0010242,427.112-0.001-0-0.001-0.00175,980.26660,964.12945,554.515
Totaal kortlopende verplichtingen 1,188,461.91,305,978.511,011,771.551775,267.7941,438,081.6571,002,732.634910,093.32739,927.065582,845.802435,192.489432,545.717348,469.267297,394.524346,341.353181,730.861235,485.7170,632.237
Langlopende verplichtingen:
Langetermijnschulden 748,823.2471,067,779.4961,040,292.9111,465,713.941,142,741.236499,102.336648,551.363598,880.309698,371.416598,610.223448,743.107388,808.964368,848.992131,792.5256,048.312291,223.81958,840.7
Uitgestelde opbrengsten niet-vlottend 1,020.7251,867.793684.392919.5271,876.7882,572.098-4,398.969-1,339.470141,864.713147,659.381113,563.84110,022.5710000
Uitgestelde belastingverplichtingen niet-vlottend 433,226.834026,796.38327,985.24625,039.83234,271.6044,398.9691,339.4701,812.7614,568.7937,588.887,581.7932,372.57000
Overige niet-vlottende verplichtingen 26,513.28423,135.239-00.0010-0.00118,731.93139,267.473151,538.678-0.0010.001-0.0010113,316.284108,731.428112,190.201102,552.94
Totaal niet-vlottende verplichtingen 1,209,584.091,092,782.5281,067,773.6861,494,618.7141,169,657.856535,946.038671,682.263639,487.252849,910.094742,287.697600,971.283509,961.683486,453.356247,481.354364,779.74403,414.02161,393.64
Totaal passiva 2,398,045.992,398,761.0382,079,545.2372,269,886.5082,607,739.5131,538,678.6721,581,775.5841,379,414.3181,432,755.8961,177,480.1851,033,516.999858,430.951783,847.88593,822.707546,510.601638,899.73232,025.877
Eigen vermogen:
Preferente aandelen 3,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.3953,759.395
Gewone aandelen 200,000196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605196,240.605
Ingehouden winsten 92,738.058242,285.585288,608.943341,797.053605,939.227455,634.325381,564.324371,299.969355,372.107343,610.55287,911.302290,818.778204,173.299165,706.485125,816.818102,152.9586,966.373
Overige gereserveerde algehele resultaten 315,235.1390,353.56470,789.229762,574.677653,059.133569,623.537558,831.786533,824.683000000000
Overige totale aandeelhoudersvermogen -3,270.056-292,885.889-382,973.213-680,854.029-539,833.795-460,845.627-472,910.602-443,583.967188,577.184186,361.469190,642.336198,362.561197,282.169217,534.014200,651.533191,589.897201,771.503
Totaal eigen vermogen van aandeelhouders 608,462.497539,753.255576,424.959623,517.702919,164.565764,412.236667,485.508661,540.685743,949.291729,972.019678,553.638689,181.339601,455.468583,240.499526,468.351493,742.847488,737.876
Totaal eigen vermogen 608,492.78539,783.95576,904.674623,955.951919,541.111765,063.456668,137.855661,540.685743,949.291729,972.019678,553.638689,181.339601,455.468583,240.499526,468.351493,742.847488,737.876
Totaal passiva en aandeelhoudersvermogen 3,006,538.772,938,544.9872,656,449.9122,893,842.4593,527,280.6242,303,742.1282,249,913.4392,040,955.0032,176,705.1871,907,452.2041,712,070.6371,547,612.291,385,303.3491,177,063.2061,072,978.9521,132,642.577720,763.753