Kumho Petrochemical Co., Ltd.

KRX:011780.KS

102800 (KRW) • At close November 14, 2024
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 452,439.486567,301.48622,937.474418,223.094127,807.557101,804.574234,430.216196,976.93347,292.207213,642.87783,312.052246,240.861505,090.108208,190.569228,313.849144,508.684153,684.317
Kortetermijnbeleggingen 536,842583,6241,141,000115,121.1266,868.2497,850.9215,866.628,018.3594,751.612,312.07623,631.9821,338.23233,152.35744,899.69290,577.75195,797.77411,114.105
Liquide middelen en kortetermijnbeleggingen 989,281.4861,150,925.481,763,937.474533,344.214194,675.797199,655.494250,296.816224,995.29252,043.807225,954.953106,944.032267,579.093538,242.465253,090.261318,891.599340,306.458164,798.422
Nettovorderingen 787,170.718721,323.831866,701.068627,313.326587,762.325667,986.687621,449.306569,036.141473,826.468629,691.328608,537.31636,436.405926,246.889761,289.471,252,694.9621,542,895.4081,057,320
Voorraad 745,609.381826,466.257780,319.057531,852.803469,472.369471,642.724426,750.281445,541.869394,695.333529,333.268538,584.306567,313.643581,566.933516,867.723978,589.3171,505,537.996924,342.689
Overige vlottende activa 94,882.82882,087.99568,815.24458,524.62357,218.36740,626.817655,621.528584,785.61520,837.383101,379.19280,138.435655,204.211938,321.439653,459.7591,317,492.0821,544,628.7311,153,195.565
Totaal vlottende activa 2,571,407.5632,743,638.3663,445,210.5141,705,481.6861,261,435.5031,348,711.4081,332,668.6241,255,322.772967,576.5231,401,399.5381,258,944.6891,490,096.9472,058,130.8371,423,417.7432,614,972.9983,390,473.1852,242,336.676
Niet-vlottende activa:
Materiële vaste activa, netto 4,039,182.8513,716,515.1283,508,864.1932,330,499.7052,352,473.4682,365,586.8822,440,253.9462,564,778.1562,505,694.0282,266,417.5192,221,670.4732,129,599.3741,922,407.3262,142,472.4384,828,706.4844,831,235.2233,492,244.044
Goodwill 3,6853,6853,6851,0471,0471,0471,0471,047310310310307307034,143.962158,284.215173,790.677
Immateriële activa 33,402.48140,330.41547,654.28114,785.80512,555.82613,204.10513,883.89316,216.7115,840.52415,902.14819,426.42528,077.61934,860.89150,883.199107,406.66187,594.8349,698.75
Goodwill en immateriële activa 37,087.48144,015.41551,339.28115,832.80513,602.82614,251.10514,930.89317,263.7116,150.52416,212.14819,736.42528,384.61935,167.89150,883.199141,550.623245,879.045223,489.427
Langetermijnbeleggingen 1,224,785.051475,262.262-134,090.617798,708.193819,443.526764,961.463752,731.066634,485.248659,333.085700,565.254638,298.134698,923.721649,554.576565,666.708911,727.8351,332,416.9361,478,188.008
Belastingvorderingen 55,966.9421,960.9176,731.18516,331.9454,639.9829,143.12112,028.65926,827.58930,213.02214,459.06725,921.07410,318.31347,260.95599,879.444235,829.288104,356.87829,763.364
Overige niet-vlottende activa 51,264.746737,880.1361,237,620.25160,427.88386,447.092114,066.76827,200.42947,436.16231,588.45538,250.82947,067.7153,415.5991,711112,925.717182,699.41303,239.846101,030.579
Totaal niet-vlottende activa 5,408,287.0714,975,633.8584,670,464.2923,321,800.5313,276,606.8943,268,009.343,247,144.9943,290,790.8643,242,979.1133,035,904.8172,952,693.8162,920,641.6262,656,101.7472,971,827.5066,300,513.646,817,127.9285,324,715.422
Totaal activa 7,979,694.6347,719,272.2248,115,674.8075,027,282.2174,538,042.3984,616,720.7484,579,813.6184,546,113.6364,210,555.6364,437,304.3554,211,638.5044,410,738.5734,714,232.5844,395,245.2498,915,486.63810,207,601.1137,567,052.098
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 493,975.748349,002.309443,426.404402,331.428330,405.691319,050.979398,183.564373,697.827219,196.676292,144.493286,034.057287,335.238428,090.888426,811.028956,725.613629,178.504584,585.449
Kortlopende schulden 536,666.02492,902.296719,637.237381,785.037649,137.629987,447.335936,306.1611,521,119.3471,032,326.1791,177,207.666859,163.755881,899.6751,935,451.3741,457,486.6565,025,734.0233,252,214.3721,697,824.488
Belastingschulden 8,973.585100,830.213571,507.305155,126.06249,830.49897,865.09738,989.91210,669.31713,011.2727,757.00219,395.01636,463.59345,875.26386,311.0749,142.22935,631.23959,423.543
Uitgestelde opbrengsten 34,68231,2821,191,615.379409,902.342277,416.25497,865.097289,707.806250,743.228289,735.114269,991.002259,261.722269,246.307349,661.685321,262.716570,583.747825,934.77564,394.279
Overige kortlopende verplichtingen 490,318.04510,757.994625,710.074-138,899.062-31,150.498158,825.58-38,989.91240,073.912276,723.843242,204239,866.706232,782.714303,786.423234,951.643564,180.969795,765.667506,506.11
Totaal kortlopende verplichtingen 1,529,933.3931,462,781.1912,360,281.021,210,245.8061,275,639.5741,758,919.1861,913,905.0742,145,560.4021,541,257.9681,739,373.2481,404,459.5341,438,481.222,713,203.9482,205,560.4016,555,782.8344,712,789.7822,848,339.59
Langlopende verplichtingen:
Langetermijnschulden 346,217.163303,863.501313,778.308525,788.009506,936.759376,285.463586,990.21559,535.148882,264.647972,502.2481,175,907.2061,210,119.429364,756.51,023,554.5781,398,318.1493,285,017.7872,936,408.29
Uitgestelde opbrengsten niet-vlottend 36,866.742149,866.696144,392.93640039,963.72349,866.9810.633,4263,790.9224,014.374,207.6424,406.0184,886.03887,543.61252,416.492329,093.1366,330.696
Uitgestelde belastingverplichtingen niet-vlottend 96,057.355124,870.563185,650.3792,754.25885,930.83488,054.40777,465.05754,493.41549,318.65931,982.84830,731.66961,120.77339,359.14,980.22319,882.392116,883.84864,984.956
Overige niet-vlottende verplichtingen 136,600.439280,785.719358,707.09448,860.51185,930.834133,369.001122,115.29255,197.93970,174.29583,846.78671,512.83938,259.17834,949.4954,864.35413,939.6520.002234,453.053
Totaal niet-vlottende verplichtingen 615,741.699603,075.855672,485.401667,802.778632,831.315509,654.464709,105.502672,652.5021,005,548.5231,056,349.0341,247,420.0451,313,905.398443,951.1331,120,942.7651,684,556.6853,730,994.7723,242,176.995
Totaal passiva 2,145,675.0912,065,857.0463,032,766.4221,878,048.5841,908,470.8892,268,573.652,623,010.5772,818,212.9042,546,806.4912,795,722.2832,651,879.5792,752,386.6183,157,155.0813,326,503.1658,240,339.5188,443,784.5546,090,516.585
Eigen vermogen:
Preferente aandelen 15,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.4315,117.43
Gewone aandelen 167,455.885152,338.455152,338.455152,338.455152,338.455152,338.455152,338.455152,338.455152,338.455152,338.455152,338.455152,338.455152,338.455127,122.235127,122.235127,122.235127,122.235
Ingehouden winsten 2,830,9625,185,749.8344,565,066.4462,727,443.3652,153,900.561,895,464.5071,402,981.271,207,923.4561,145,722.4951,102,565.0641,051,440.5481,113,220.9581,046,864.786446,555.277-283,790.164357,071.189419,241.391
Overige gereserveerde algehele resultaten 2,465,730.062,319,964.4241,671,857.8571,288,574.7221,084,606.417840,040.426834,271.205787,892.31000000000
Overige totale aandeelhoudersvermogen 2,831,079.055-1,995,650.616340,657.048268,445.23-1,871,029.086-555,642.094226,450.279244,356.375227,538.468224,914.018255,745.628266,984.953233,379.718259,597.519603,654.87594,848.973288,370.819
Totaal eigen vermogen van aandeelhouders 5,829,496.945,652,041.1975,081,790.5673,148,227.052,628,648.1512,347,318.7241,842,656.3821,619,735.7161,556,481.7191,559,379.811,474,642.0611,547,661.7951,447,700.39848,392.461462,104.3711,094,159.827849,851.875
Totaal eigen vermogen 5,834,019.5425,653,415.1785,082,908.3853,149,233.6332,629,571.5082,348,147.0981,956,803.0411,727,900.7321,663,749.1451,641,582.0731,559,758.9261,658,351.9551,557,077.5041,068,742.084675,147.121,763,816.5591,476,535.513
Totaal passiva en aandeelhoudersvermogen 7,979,694.6347,719,272.2248,115,674.8075,027,282.2174,538,042.3984,616,720.7484,579,813.6184,546,113.6364,210,555.6364,437,304.3554,211,638.5044,410,738.5734,714,232.5844,395,245.2498,915,486.63810,207,601.1137,567,052.098