KC Green Holdings Co., Ltd.

KRX:009440.KS

848 (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 44,419.11466,291.996159,385.5380,166.257132,325.32871,110.68360,411.20836,110.65741,147.01745,105.77553,216.1555,940.43572,799.4261,697.248,169.2419,834.20926,979.088
Kortetermijnbeleggingen 26,567.75515,756.7326,786.6217,967.0373,418.6456,769.8456,584.0594,158.43810,877.78510,979.526,275.67710,019.7999,389.2222,993.6969,440.2334,795.7628,221.814
Liquide middelen en kortetermijnbeleggingen 70,986.86982,048.728166,172.15288,133.294135,743.97377,880.52766,995.26740,269.09552,024.80256,085.29559,491.82765,960.23582,188.64264,690.89657,609.47324,629.97135,200.902
Nettovorderingen 328,357.391271,483.418296,114.231238,140.535259,695.214233,585.049145,537.802121,567.684118,246.261139,146.047148,177.801184,742.78397,114.26283,343.56968,589.29872,223.48845,106.175
Voorraad 39,088.57345,610.66437,838.73337,239.28443,722.63330,367.5514,365.7356,410.017,958.95612,576.13110,312.48310,648.41712,042.3277,836.6548,073.2168,505.4286,145.9
Overige vlottende activa 180,736.501-1,285.839-1,235.75129.589-1,069.359-0-00.0010.0010-0-0.0010-0.001-0.0010.001-0.001
Totaal vlottende activa 619,169.335397,856.971498,889.365363,542.702438,092.461341,833.126226,898.804168,246.79178,230.019207,807.472217,982.111261,351.434191,345.231155,871.118134,271.986105,358.88886,452.976
Niet-vlottende activa:
Materiële vaste activa, netto 164,754.527253,574.428261,780.587262,121.525248,054.431192,693.859168,409.801179,466.553169,333.692146,482.889134,705.398152,787.344157,546.356120,035.23898,968.081106,854.64746,686.826
Goodwill 41,023.14646,551.60149,108.72552,687.15448,553.04642,809.77734,458.99834,182.94837,287.64734,759.67134,759.67133,255.98233,267.72932,023.6710,980.70512,940.55313.314
Immateriële activa 3,148.3195,741.4977,226.1456,977.3217,902.16611,842.3584,668.0664,219.968989.3041,124.6251,253.4531,285.8352,448.988787.792875.416355.037168.014
Goodwill en immateriële activa 44,171.46552,293.09856,334.8759,664.47556,455.21354,652.13539,127.06438,402.91638,276.95135,884.29636,013.12434,541.81735,716.71732,811.46211,856.12113,295.59181.328
Langetermijnbeleggingen 68,011.6925,044.18136,729.89415,160.29117,606.01636,880.12944,958.99738,965.71312,074.86915,403.24821,912.95112,815.8727,444.91125,146.5813,731.06911,081.03313,990.295
Belastingvorderingen 6,591.223,950.24652,991.7063,296.6637,504.9721,917.1121,386.0045,217.68511,745.6717,568.6958,024.0368,320.6557,282.6756,548.8043,924.4943,829.9523,839.089
Overige niet-vlottende activa 13,880.1660,141.755-120.80355,209.95448,430.68742,864.10639,152.98432,451.35140,653.56124,362.26211,296.25415,488.26617,487.528,267.89913,859.2189,217.25318,912.445
Totaal niet-vlottende activa 297,409.061395,003.708407,716.254395,452.909378,051.318329,007.341293,034.85294,504.218272,084.745229,701.39211,951.762223,953.955225,478.179192,809.983142,338.983144,278.47583,609.983
Totaal activa 916,578.396792,860.678906,605.618758,995.613816,143.779670,840.467519,933.655462,751.008450,314.764437,508.862429,933.873485,305.389416,823.41348,681.101276,610.967249,637.363170,062.959
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 124,207.489153,808.314257,000.679152,241.689201,815.439145,569.63108,493.98687,805.9290,939.975101,078.88490,912.026118,499.68982,814.42943,863.67831,856.8644,098.81735,833.204
Kortlopende schulden 166,778.358183,560.88105,121.021117,749.2569,744.92658,111.38637,404.51437,352.03630,864.31434,401.27938,840.24542,532.24743,244.28940,760.56440,792.6723,216.95511,235.14
Belastingschulden 1,037.5673,697.8755,586.1815,960.99918,364.82612,340.9775,954.1754,705.3923,533.0046,484.15612,543.6910,749.5996,043.6453,015.4342,909.7764,444.2617,112.119
Uitgestelde opbrengsten 78,014.44473,854.808103,083.33571,093.916110,144.1312,340.97733,372.45926,950.94826,865.62824,506.54927,870.66150,216.71741,116.94950,503.82168,896.62931,225.8077,112.119
Overige kortlopende verplichtingen 141,316.47318,974.029-0-0-059,646.15300.0010.0010000.00159.60337.33155.15322,279.659
Totaal kortlopende verplichtingen 510,316.763430,198.031465,205.035341,084.855381,704.495275,668.146179,270.959152,108.904148,669.917159,986.711157,622.932211,248.653167,175.668135,187.666141,583.4998,596.73276,460.122
Langlopende verplichtingen:
Langetermijnschulden 123,950.76438,308.039112,618.243101,121.80672,681.21954,473.02741,444.98553,812.9358,319.5750,580.47428,654.54147,308.15449,745.39241,619.2917,334.75542,193.7815,249.47
Uitgestelde opbrengsten niet-vlottend 1,031.2881,156.0541,280.82-905.358000010.48028,915.04829,249.06829,191.0730015,971.9880
Uitgestelde belastingverplichtingen niet-vlottend 10,704.938,758.3583,392.633905.358000047,493.20902,714.3785,276.5074,870.0037,075.7125,431.936,933.2740
Overige niet-vlottende verplichtingen 55,427.63856,452.36164,142.428101,637.63667,392.96353,971.70751,053.08948,509.782032,843.0450-0-0.00116,529.71513,692.024-0.00113,179.004
Totaal niet-vlottende verplichtingen 191,114.62104,674.812181,434.124202,759.441140,074.182108,444.73492,498.073102,322.712105,823.25983,423.51960,283.96781,833.72983,806.46765,224.71736,458.70965,099.04128,428.474
Totaal passiva 701,431.383534,872.843646,639.159543,844.296521,778.677384,112.88271,769.033254,431.616254,493.177243,410.23217,906.899293,082.382250,982.135200,412.383178,042.199163,695.774104,888.596
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 11,217.4911,217.4911,217.4911,217.4911,217.4911,217.4911,217.4911,217.4911,217.4911,217.4911,217.4911,217.4911,217.4911,217.498,5008,5008,500
Ingehouden winsten 56,929.60182,902.24580,557.80879,854.229115,659.679110,689.089104,265.293100,619.86697,382.64883,985.66587,830.90680,342.60659,431.241,936.30440,966.28428,519.94525,641.115
Overige gereserveerde algehele resultaten 29,372.28928,740.123,284.25817,272.0768,831.79511,440.8437,698.5198,120.0187,016.82700000000
Overige totale aandeelhoudersvermogen 45,561.66142,263.05745,494.18834,096.72343,686.37841,490.29138,935.99638,085.19738,262.19850,142.19148,275.60640,239.21544,578.93549,268.65344,48345,309.71226,916.603
Totaal eigen vermogen van aandeelhouders 143,081.041165,122.892160,553.743142,440.519179,395.342174,837.713162,117.298158,042.571153,879.163145,345.346147,324.002131,799.311115,227.625102,422.44793,949.28482,329.65761,057.718
Totaal eigen vermogen 215,147.013257,987.836259,966.46215,151.317294,365.102286,727.587248,164.622208,319.392195,821.588194,098.632212,026.973192,223.007165,841.275148,268.71898,568.76885,941.58965,174.363
Totaal passiva en aandeelhoudersvermogen 916,578.396792,860.678906,605.618758,995.613816,143.779670,840.467519,933.655462,751.008450,314.764437,508.862429,933.873485,305.389416,823.411348,681.101276,610.967249,637.363170,062.959