Ilsung Construction Co., Ltd.

KRX:013360.KS

1338 (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 25,344.50519,169.98841,795.08822,125.34517,335.95221,237.67420,858.31622,065.6621,661.93114,185.07526,539.53232,414.50317,910.80813,677.84214,150.61925,570.40439,608.182
Kortetermijnbeleggingen 5002,0391,7391,73973957,680.12746,133.17534,084.15121,929.26626,214.91720,944.57716,029.20218,310.06121,483.91426,399.8351,142.651,982.923
Liquide middelen en kortetermijnbeleggingen 25,844.50521,208.98843,534.08823,864.34518,074.95278,917.80166,991.49156,149.81143,591.19740,399.99247,484.10948,443.70536,220.86935,161.75640,550.45426,713.05441,591.105
Nettovorderingen 171,444.073200,599.571156,037.31790,830.56215,819.429113,819.774116,990.21786,320.37376,998.6157,422.06186,210.56381,591.9396,861.99249,758.385068,452.72640,093.33
Voorraad 2,741.6483,036.5814,764.41113,493.26315,576.6819,405.65323,260.07832,253.39240,215.18461,359.18942,682.23554,864.56749,290.40874,119.98743,195.75514,463.47727,180.624
Overige vlottende activa 13,508.76-4,994.766-1,889.156-1,889.092-11,243.5170.003-0.0010-0.001-0.0018,990.0960.0010.001-0.00167,881.0725,806.70511,964.919
Totaal vlottende activa 213,538.986219,850.373212,446.66126,299.076238,227.543212,143.231207,241.786174,723.577160,804.99159,181.241185,367.002184,900.203182,373.269159,040.127151,627.279135,435.962120,829.978
Niet-vlottende activa:
Materiële vaste activa, netto 12,955.17215,023.9358,825.4056,474.6234,688.93,113.7142,121.62,579.8872,699.4993,161.7652,110.5111,826.3691,646.14242,679.99543,199.23721,226.35926,621.557
Goodwill 00000000000000000
Immateriële activa 906.4741,116.5271,271.7553,217.8413,646.4143,099.8083,715.0962,399.8431,937.6731,851.2011,820.5562,039.9752,278.577340.3962,868.97433.439586.204
Goodwill en immateriële activa 906.4741,116.5271,271.7553,217.8413,646.4143,099.8083,715.0962,399.8431,937.6731,851.2011,820.5562,039.9752,278.577340.3962,868.97433.439586.204
Langetermijnbeleggingen 171,043.62926,705.6829,803.68532,476.01131,429.344-26,749.138-15,771.167-4,309.3558,578.3546,400.22510,531.15215,818.53511,177.6162,634.849-3.49523,995.14721,297.634
Belastingvorderingen 15,513.5863,604.029119,005.282130,042.95672,870.391115,155.223105,965.58695,531.64676,113.624405.359198.28856,871.90759,676.9041,081.97609,270.2676,647.832
Overige niet-vlottende activa 7,501.66147,001.4537,934.58700.0011,983.6772,025.9946,531.9467,344.58993,739.4384,745.9383,626.9522,463.6336,878.57336,189.892847.634232.958
Totaal niet-vlottende activa 207,920.521193,451.624166,840.714172,211.432112,635.04996,603.28498,057.108102,733.96796,673.739105,557.97999,406.44680,183.73877,242.86983,615.78982,254.60455,772.84655,386.185
Totaal activa 421,459.507413,301.997379,287.374298,510.508350,862.593308,746.515305,298.894277,457.544257,478.729264,739.219284,773.448265,083.941259,616.139242,655.916233,881.883191,208.808176,216.163
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 35,819.97739,503.12533,342.65621,622.31351,176.83143,462.71346,478.62217,503.7068,513.64210,228.3448,132.1514,099.7210,612.1027,778.7448,322.0423,217.4053,817.212
Kortlopende schulden 82,206.65167,676.91343,302.97757,060.109102,617.04171,584.47761,715.15171,072.93772,956.78985,980.832,690.54233,69026,59028,587.44737,244.99612,535.9163,006.078
Belastingschulden 264.9422,605.1362,647.812473.95128.7572.58473.478148.8490.019912.052878.89818.9050.2640000
Uitgestelde opbrengsten 49,566.35263,193.8387,051.47762,504.01562,022.0712.58448,848.58965,027.22747,323.60849,034.68146,807.51943,970.27444,589.94735,445.318040,573.0070
Overige kortlopende verplichtingen 53,401.23544,822.1230.001-0063,899.295-0.0010.0010.002-00.001-0-0-0.00127,950.194-0.00148,631.282
Totaal kortlopende verplichtingen 220,994.215215,195.99163,697.112141,186.436215,815.943178,949.069157,042.361153,603.87128,794.041145,243.82587,630.21291,759.99481,792.04971,811.50873,517.23256,326.32755,454.572
Langlopende verplichtingen:
Langetermijnschulden 63,431.42454,873.30686,176.7641,886.6958,892.76410,812.14137,47015,403.3626,563.46812,00051,990.833,00020,00015,0009,00011,522.121,646.32
Uitgestelde opbrengsten niet-vlottend 10.8252,109.556125.174618.7679,673.0316,081.8242.51695.697216.223366.599612.67407,039.4930000
Uitgestelde belastingverplichtingen niet-vlottend 12,146.07411,702.6632,357.7918,267.9937,746.2357,298.0387,274.23510,936.60111,763.49818,287.66116,960.57801,334.8383,095.5492,304.60800
Overige niet-vlottende verplichtingen 26,680.3218,933.93317,589.53416,248.4817,639.41615,515.23219,266.568-00.001008,555.633637.2015,130.0375,759.2647,079.2619,010.332
Totaal niet-vlottende verplichtingen 102,268.64377,619.458106,249.25967,021.93543,951.44639,707.23164,053.31926,435.65838,543.1930,654.2669,564.05241,555.63329,011.53223,225.58617,063.87218,601.38110,656.652
Totaal passiva 323,262.859292,815.448269,946.371208,208.371259,767.389218,656.301221,095.68180,039.528167,337.231175,898.085157,194.263133,315.626110,803.58195,037.09490,581.10474,927.70866,111.224
Eigen vermogen:
Preferente aandelen 000000310.62310.62310.62310.62310.623,2193,2193,2193,2193,2193,219
Gewone aandelen 27,012.4427,012.4427,012.4427,012.4427,012.4427,012.4426,701.8226,701.8226,701.8226,701.8226,701.8223,793.4423,793.4423,793.4423,793.4423,793.4423,793.44
Ingehouden winsten 23,255.25423,152.02819,271.52614,847.55212,110.5810,963.15510,793.25623,758.89420,818.89718,798.22757,651.91861,608.4878,520.90656,485.48453,566.21247,464.56641,309.648
Overige gereserveerde algehele resultaten 39,925.62637,305.11236,304.134,623.8836,661.80236,808.28440,214.10340,350.64939,524.79200000000
Overige totale aandeelhoudersvermogen 7,688.04832,705.32726,617.40113,878.49515,388.04815,388.0486,261.0856,369.4452,857.22643,042.65142,930.70543,141.47643,265.99664,120.89862,722.12741,804.09341,782.85
Totaal eigen vermogen van aandeelhouders 97,881.369120,174.907109,205.46790,362.36891,172.8790,171.92784,280.88597,491.42890,213.35588,853.319127,595.062131,762.395148,799.342147,618.822143,300.779116,281.099110,104.938
Totaal eigen vermogen 98,196.648120,486.549109,341.00390,302.13791,095.20490,090.21484,203.21397,418.01590,141.49888,841.135127,579.184131,768.315148,812.558147,618.822143,300.779116,281.099110,104.938
Totaal passiva en aandeelhoudersvermogen 421,459.507413,301.997379,287.374298,510.508350,862.593308,746.515305,298.894277,457.544257,478.729264,739.219284,773.448265,083.941259,616.139242,655.916233,881.883191,208.807176,216.162