Halla Corporation

KRX:014790.KS

2325 (KRW) • At close November 5, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 85,038.54162,615.60979,186.03991,855.7679,087.5395,354.04241,709.64482,010.597121,823.162130,783.38288,436.06590,864.906154,354.653158,708.688249,664.878143,055.08394,249.985
Kortetermijnbeleggingen 0691.681.64546,836.8971.645241.99413.749222,239.165203,332.251229,240.144152,154.566368,271.652322,972.05260,027.38875,367.48289,247.827,722.397
Liquide middelen en kortetermijnbeleggingen 85,038.54163,307.28979,187.684138,692.65779,089.17595,596.03242,123.392304,249.762325,155.413360,023.526240,590.631459,136.558477,326.705218,736.076325,032.36232,302.883121,972.382
Nettovorderingen 522,859.248493,360.733530,448.27534,630.922532,473.297796,353.574640,115.537438,247.474580,055.63568,880.566769,359.348929,471.227861,488.391,403,887.0161,112,143.5531,145,690.557590,003.508
Voorraad 170,849.273209,897.929184,641.975113,403.80475,582.632137,511.376224,566.275160,382.521131,676.75127,287.531294,837.925415,449.512464,671.211844,292.886672,040.33482,087.515132,785.615
Overige vlottende activa 93,523.3140-00.0010-0-0-00-0.0010.001-0.0010.0016,890.7294,551.6942,696.0173,578.781
Totaal vlottende activa 872,270.377766,565.951794,277.928786,727.383687,145.1041,029,460.982906,805.204902,879.7571,036,887.7931,056,191.6231,304,787.9041,804,057.2971,803,486.3062,473,806.7072,113,767.9371,862,776.972848,340.286
Niet-vlottende activa:
Materiële vaste activa, netto 379,593.136384,448.815117,433.465243,362.668227,612.051280,052.347817,900.567670,384.857642,117.63267,354.268275,198.553163,208.68518,836.3741,130,167.771990,934.7541,009,755.28313,345.014
Goodwill 002,83637,626.71708,991.32921,258.6621,569.10522,158.27723,422.37156,295.69221,525.156,158.56556,871.55164,593.86261,746.7990
Immateriële activa 4,119.244,127.8912,067.33642,744.6851,612.3612,089.5733,611.0224,886.8817,385.7718,902.31614,090.99919,122.61410,411.12959,744.89851,588.6252,368.3672.441
Goodwill en immateriële activa 4,119.244,127.8914,903.33680,371.4021,612.36111,080.90224,869.68226,455.98629,544.04832,324.68770,386.69140,647.76416,569.694116,616.449116,182.482114,115.1662.441
Langetermijnbeleggingen 410,609.641279,290.893356,598.295259,772.64307,380.119323,644.074278,231.43872,851.49131,555.806107,038.515552,129.184398,576.106331,007.585114,673.45144,575.25529,385.084114,423.921
Belastingvorderingen 53,470.89748,869.17265,283.56488,404.823101,676.441103,898.041125,224.947127,827.785124,651.567132,129.825139,768.62274,563.1372,626.74524,956.819,364.19622,621.795768.087
Overige niet-vlottende activa 4,237.42184,119.073182,855.403194,929.662262,760.96645,617.11561,069.711273,483.389420,687.798489,720.838281,120.147498,935.507437,000.195212,011.726195,870.44204,636.866116,314.432
Totaal niet-vlottende activa 852,030.333900,855.844727,074.062866,841.195901,041.938764,292.4791,307,296.3451,171,003.5071,248,556.851,028,568.1341,318,603.1971,175,931.199806,040.5931,598,426.1971,366,927.1271,380,514.194244,853.895
Totaal activa 1,724,300.711,667,421.7951,521,351.9911,653,568.5781,588,187.0421,793,753.4612,214,101.5492,073,883.2642,285,444.6432,084,759.7582,623,391.0992,979,988.4962,609,526.8994,072,232.9043,480,695.0633,243,291.1661,093,194.181
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 236,107.819280,230.392326,846.1314,657.967334,450.584301,814.044391,121.328453,388.927512,158.072430,335.78492,134.077618,691.659651,068.305844,281.637689,733.131563,908.088194,609.468
Kortlopende schulden 370,512.069257,151.922188,948.416361,589.465307,125.556227,318.858375,765.72286,136.968966,368.745564,317.652899,181.824880,650.226707,231.976585,101.161427,425.727384,519.187280,317.439
Belastingschulden 11,614.2625,231.1196,820.42823,127.374564.27949,409.48223,026.77818,696.3062,192.172377.1721,954.0834,015.931,011.66332,578.20424,699.6420,281.819,019.539
Uitgestelde opbrengsten 132,362.02111,206.407138,312.793199,072.576344,563.26349,409.482418,986.289422,282.241313,151.886173,746.852162,408.264129,291.868126,589.09432,578.204331,613.764358,454.0996,519.901
Overige kortlopende verplichtingen 95,286.12530,903.9710-0.001-0693,071.638-000.001-0.001-0-0-42,231.166358,598.0030.001-0.001-0.002
Totaal kortlopende verplichtingen 834,268.033679,492.692654,107.311875,320.007986,139.4031,271,614.0211,185,873.3371,161,808.1361,791,678.7031,168,400.2831,553,724.1651,628,633.7521,442,658.2091,820,559.0051,448,772.6231,306,881.364571,446.806
Langlopende verplichtingen:
Langetermijnschulden 335,434.543493,101.878380,848.474314,481.517263,415.562144,247.601421,126.614347,641.13614,062.667360,592.643345,599.808940,196.801746,437.609444,554.738741,594.991797,507.753228,999.387
Uitgestelde opbrengsten niet-vlottend 229.172255.116281.064,812.04332.9483,720.09556,982.95139,952.8051,970.9814,461.1419,080.02963,300.2844,871.2521,645.595495.917138,546.3755,712.761
Uitgestelde belastingverplichtingen niet-vlottend 9,971.77210,241.32810,429.20218,856.85414,680.71817,398.15355,649.27560,375.56962,812.4981,283.7292,532.1062,426.1567,738.374,273.83150,014.11857,626.63617,857.984
Overige niet-vlottende verplichtingen 88,799.37457,141.26859,160.05965,909.76562,548.46791,113.126101,838.185112,318.69391,657.658102,199.146107,388.431-345,620.67-327,680.943159,894.732157,420.3340.001-0.001
Totaal niet-vlottende verplichtingen 434,434.86560,739.59450,718.795404,060.177340,977.695256,478.975635,597.025560,288.202170,503.804468,536.659464,600.373660,302.57431,366.218680,368.896949,525.36993,680.765252,570.131
Totaal passiva 1,268,702.8931,240,232.2821,104,826.1051,279,380.1841,327,117.0981,528,092.9971,821,470.3621,722,096.3381,962,182.5081,636,936.9422,018,324.5392,288,936.3221,874,024.4272,500,927.9012,398,297.9832,300,562.129824,016.937
Eigen vermogen:
Preferente aandelen 50,872.150,872.150,872.150,872.150,872.150,872.150,872.150,872.150,872.150,872.150,872.1000000
Gewone aandelen 245,246.81194,374.71194,374.71194,374.71194,374.71194,374.71182,474.71182,474.71167,474.71162,074.71158,839.42137,037.07100,000100,00048,185.2848,185.2848,185.28
Ingehouden winsten 51,679.1931,143.45721,110.433-21,683.923-134,882.25-142,478.132-1,902.934-50,519.973-64,798.78950,323.463-146,452.833278,865.862538,091.869329,008.016288,917.343230,924.017190,873.81
Overige gereserveerde algehele resultaten 8,773.3679,509.1557,967.064,976.5576,782.5198,630.19690,015.49992,774.719000000000
Overige totale aandeelhoudersvermogen 99,007.042141,297.314142,181.693138,802.554143,903.707143,962.93661,197.09866,440.008159,692.472174,848.425530,549.059261,612.69396,715.228167,185.73982,925.11286,429.69625,644.335
Totaal eigen vermogen van aandeelhouders 455,578.509427,196.735416,505.996367,341.999261,050.786255,361.81382,656.474342,041.564313,240.493438,118.698593,807.746677,515.624734,807.097596,193.755420,027.735365,538.993264,703.425
Totaal eigen vermogen 455,597.816427,189.513416,525.885374,188.394261,069.944265,660.464392,631.187351,786.926323,262.136447,822.815605,066.56691,052.174735,502.4711,571,305.0031,082,397.08942,729.037269,177.244
Totaal passiva en aandeelhoudersvermogen 1,724,300.711,667,421.7951,521,351.9911,653,568.5781,588,187.0421,793,753.4612,214,101.5492,073,883.2642,285,444.6432,084,759.7582,623,391.0992,979,988.4962,609,526.8994,072,232.9043,480,695.0633,243,291.1661,093,194.181