Moorim P&P Co., Ltd.

KRX:009580.KS

2920 (KRW) • At close September 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 97,507.893131,372.05980,455.563142,986.03974,460.49181,483.03676,514.7148,938.94758,428.03852,539.07242,157.46839,487.1449,920.71144,542.964109,937.66176,373.9712,323.72
Kortetermijnbeleggingen 69,838.547151,049.19452,737.02342,811.45597,797.016100,983.6730119.25150.8318.46791.61,555.5542,349.7453,766.72418,372.0874,703.06534,293.21
Liquide middelen en kortetermijnbeleggingen 167,346.44282,421.253133,192.586185,797.494172,257.506182,466.70876,514.7149,058.19758,578.83952,857.53242,949.06841,042.69452,270.4598,309.688128,309.741151,077.03546,616.93
Nettovorderingen 271,686.987176,041.161112,101.21280,725.6193,062.813115,118.59397,542.44992,316.69791,079.10492,089.774128,380.261121,584.5670055,055.53162,180.70936,767.883
Voorraad 131,382.056144,392.31297,749.88795,108.868125,110.118117,320.302106,638.808114,963.809141,312.666125,578.724148,390.212146,283.138116,382.86366,872.70129,788.58966,806.70523,207.067
Overige vlottende activa 5,451.6293,775.378143.03361.413598.20230.17498,945.1490.001-0.001-0.0010-0116,040.4918,405.38-0.001646.638482.594
Totaal vlottende activa 575,867.113606,630.104343,186.717361,693.386391,028.64414,935.777282,098.667256,338.704290,970.608270,526.029319,719.54308,910.399284,693.803183,587.769213,153.86280,711.087107,074.474
Niet-vlottende activa:
Materiële vaste activa, netto 831,323.211720,294.624737,331.782748,365.89743,236.324772,298.436774,609.47798,780.408834,625.341838,000.6877,020.506894,758.979902,158.01794,797.033427,080.776184,801.919192,879.839
Goodwill 22.71722.71722.71722.71722.71722.71722.71722.71722.71722.7171,210.2481,800.96100000
Immateriële activa 1,687.0392,048.6752,215.6112,958.43,671.39910,691.59410,761.17113,035.56213,391.95413,847.9996,316.936,246.8016,930.2260000
Goodwill en immateriële activa 1,709.7562,071.3922,238.3282,981.1173,694.11610,714.31110,783.88813,058.27913,414.67113,870.7167,527.1788,047.7626,930.2260081,337.17341,248.169
Langetermijnbeleggingen 214,070.009121,780.374346,363.51273,263.017113,207.6155,070.68133,846.50926,023.77528,024.80425,926.30924,593.95923,242.17121,170.953-32,053.9431,149.458-71,015.274-30,978.569
Belastingvorderingen -22.717-121,780.37454,471.50344,136.65599,144.838102,938.567-33,846.509259.466292.209515.5951,050.61313.8442,349.743,654.9554,517.5895,190.804990.599
Overige niet-vlottende activa 22.717275,061.6820.001-0-0-0.00134,925.241834.996698.158856.1821,168.3352,643.491,477.6359,656.15624,019.153-0.001-0.001
Totaal niet-vlottende activa 1,047,102.977997,427.6981,140,405.1241,068,746.679959,282.888941,021.994820,318.599838,956.924877,055.182879,169.403911,360.592928,706.245934,086.558826,054.201456,766.976200,314.621204,140.037
Totaal activa 1,622,970.0891,604,057.8031,483,591.8391,430,440.0661,350,311.5271,355,957.7711,102,417.2661,095,295.6281,168,025.791,149,695.4321,231,080.1321,237,616.6441,218,780.3611,009,641.97669,920.836481,025.708311,214.511
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 30,330.95934,295.08424,678.27221,537.61828,037.55426,320.09727,202.18625,506.74324,597.20927,730.11523,037.38129,760.2627,415.63717,270.40712,107.13311,759.5277,395.091
Kortlopende schulden 462,717.754460,463.275433,909.838341,791.515295,736.578342,914.354220,329.51273,083.14322,883.874196,170.009256,449.838299,922.368247,006.33127,131.07664,264.92955,878.2665,264.994
Belastingschulden 010,799.7724,918.591010,132.55819,656.6839,796.711793.5362,377.631.494,079.3173,972.1871,157.2943,984.892000
Uitgestelde opbrengsten 12,471.7819,789.3868,613.98168,620.43867,594.26593,231.8219,796.71142,303.25837,210.7161.494,079.31745,820.57449,028.33994,315.07211,665.37717,843.4330
Overige kortlopende verplichtingen 82,129.2975,755.006175.76967.264987.04439.85848,854.768-0-036,510.3960,168.09-0-0-0.001-0.0010.00115,033.46
Totaal kortlopende verplichtingen 587,649.783590,302.744527,377.86432,016.835392,355.441462,506.131306,183.175340,893.141384,691.799260,412.003343,734.626375,503.202323,450.306138,716.55488,037.43885,481.22727,693.545
Langlopende verplichtingen:
Langetermijnschulden 319,172.908267,456.378247,141.38301,711.678247,640.705167,810.519158,312.903149,332.396167,140.886277,964.527251,592.549244,571.516296,735.235270,315.49737,045.2723,766.7674,425.514
Uitgestelde opbrengsten niet-vlottend 7,250.228058,949.46963,903.555054,070.5940038,506.24234,901.72532,909.26733,286.53329,053.63930,650.912000
Uitgestelde belastingverplichtingen niet-vlottend 18,660.39829,676.40231,181.14529,768.86329,604.36634,528.40932,438.90729,736.99531,405.06429,495.60528,136.42224,844.13721,281.36619,370.83627,430.5141,117.950
Overige niet-vlottende verplichtingen 59,862.73853,933.098-01,621.74560,153.8592,680.24742,261.33941,236.4350-00.001-000.00125,986.46426,966.19784,309.878
Totaal niet-vlottende verplichtingen 404,946.272351,065.878337,271.994397,005.841337,398.93259,089.769233,013.149220,305.826237,052.191342,361.857312,638.238302,702.186347,070.241320,337.24690,462.2531,850.91488,735.392
Totaal passiva 992,596.055941,368.622864,649.855829,022.676729,754.371721,595.9539,196.324561,198.967621,743.991602,773.86656,372.864678,205.388670,520.547459,053.799178,499.688117,332.141116,428.937
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81155,920.81103,420.81
Ingehouden winsten 165,488.789380,174.322336,530.373320,926.982164,052.836170,331.261286,458.725255,833.464268,756.34269,916.999296,598.974281,132.728270,726.098104,875.23346,328.1140,060.4425,922.446
Overige gereserveerde algehele resultaten 181,589.828179,418.678179,935.733174,115.043176,830.864173,510.298172,971.376173,665.13171,979.90900000000
Overige totale aandeelhoudersvermogen 118,350.802-61,681.849-61,985.343-57,186.864117,006.944117,004.573-52,255.449-51,483.706-50,375.26121,083.763122,187.483122,357.717121,612.906289,792.127289,172.227167,712.31765,442.317
Totaal eigen vermogen van aandeelhouders 621,350.229653,831.96610,401.572593,775.971613,811.454616,766.942563,095.463533,935.698546,281.799546,921.572574,707.267559,411.255548,259.814550,588.17491,421.147363,693.567194,785.573
Totaal eigen vermogen 630,374.034662,689.181618,941.984601,417.39620,557.157634,361.871563,220.942534,096.661546,281.799546,921.572574,707.267559,411.255548,259.814550,588.17491,421.147363,693.567194,785.573
Totaal passiva en aandeelhoudersvermogen 1,622,970.0891,604,057.8031,483,591.8391,430,440.0661,350,311.5271,355,957.7711,102,417.2661,095,295.6281,168,025.791,149,695.4321,231,080.1321,237,616.6441,218,780.3611,009,641.97669,920.835481,025.708311,214.51