Dongwon Systems Corporation

KRX:014820.KS

41250 (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 77,908.42650,846.32474,033.30155,452.1149,820.3680,206.79354,012.888158,947.067158,739.5555,507.52839,146.93414,107.1548,725.37148,768.06610,547.32138,999.62915,293.977
Kortetermijnbeleggingen 47,303.52524,128.484101,376.18241,362.39316,15010,00017,921.73527,597.45114,541.8437,845.8723,588.88910,359.36616,684.62140,809.19922,961.72474,182.54416,681.464
Liquide middelen en kortetermijnbeleggingen 125,211.95174,974.808175,409.48296,814.50365,970.3690,206.79371,934.623186,544.518173,281.39363,353.39862,735.82324,466.51665,409.99289,577.26533,509.045113,182.17331,975.441
Nettovorderingen 244,749.62248,367.757243,824.569202,827.152203,406.483209,335.261301,283.525287,443.634253,875.263259,591.164181,051.076170,090.998195,285.708159,759.526124,092.15161,359.4530
Voorraad 183,353.29226,936.882219,264.449154,196.704152,416.838165,338.304152,231.981134,103.282114,531.57121,368.93459,233.66250,412.6461,318.36846,666.95357,798.36321,151.24230,503.067
Overige vlottende activa 7,979.093-36.5980-36.597-36.598-0-0.001-0-0-00.002-1,233.1410-0.0010.0020.002179,146.753
Totaal vlottende activa 561,293.954550,242.849638,498.501453,801.762421,757.083464,880.357525,450.128608,091.434541,688.225444,313.495303,020.563243,737.013322,014.069296,003.743215,399.56295,692.87241,625.261
Niet-vlottende activa:
Materiële vaste activa, netto 726,484.154650,765.475636,061.233612,380.162522,240.09445,034.288396,219.336397,417.128400,716.498346,014.9973,578.13639,322.18437,731.74953,444.4782,976.33793,576.66852,736.006
Goodwill 110,510.636110,381.956113,715.341123,079.219127,838.869126,041.294124,782.164130,747.909129,673.14188,464.8060000000
Immateriële activa 51,419.40957,458.97458,927.82755,069.88658,459.44163,014.670,406.76176,732.46580,687.00358,609.4435,167.9754,999.1625,958.7763,682.1083,934.3311,475.3822,773.915
Goodwill en immateriële activa 161,930.045167,840.93172,643.167178,149.105186,298.311189,055.894195,188.925207,480.374210,360.144147,074.2495,167.9754,999.1625,958.7763,682.1083,934.3311,475.3822,773.915
Langetermijnbeleggingen 82,467.30239,966.854-69,591.634-41,354.869-16,142.476-9,809.28511,849.839-3,632.0922,867.29612,422.214-8,739.5953,610.816-6,972.137-32,588.636-16,184.75-69,005.577-12,576.011
Belastingvorderingen 25,840.61-39,966.854114,403.47352,841.29240,446.027292.2972,461.5729,702.78514,491.02114,537.8559,912.9848,061.7229,637.6176,701.3845,400.7671,852.4814,752.816
Overige niet-vlottende activa 7,211.77282,820.728-0.001-0034,604.24849,492.95189,681.359102,236.726158,061.605158,914.168118,142.10882,578.39981,710.466104,021.654107,973.76821,755.923
Totaal niet-vlottende activa 1,003,933.883901,427.133853,516.239802,015.69732,841.951659,177.442655,212.624700,649.555730,671.686678,110.912238,833.667174,135.991128,934.404112,949.792180,148.339135,872.72269,442.649
Totaal activa 1,565,227.8371,451,669.9821,492,014.7391,255,817.4511,154,599.0341,124,057.81,180,662.7521,308,740.9891,272,359.9121,122,424.407541,854.23417,873.004450,948.473408,953.535395,547.899431,565.592311,067.91
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 158,477.166118,896.728145,256.93197,827.32695,422.58991,152.823203,817.144190,893.216135,024.86131,186.324111,010.52158,542.16988,912.93468,515.63231,396.23274,685.47975,109.461
Kortlopende schulden 328,175.196217,509.737293,123.713280,458.17260,302.835212,571.66204,659.96378,187.36156,090.98155,715.302106,538.999177,756.411101,367.8127,929.608116,435.862,932.624,805
Belastingschulden 3,371.9414,040.75611,685.49216,382.21210,197.03810,841.6591,962.51712,830.25712,797.65,824.1591,786.4310189.8793,195.869465.1141,463.76417.853
Uitgestelde opbrengsten 735.382944.28575,513.77772,382.53660,770.55610,841.65953,653.08473,672.07791,707.15659,582.88521,938.18513,853.03920,588.5421,434.22848,894.12821,111.64121,923.507
Overige kortlopende verplichtingen 71,535.5483,515.712979.5460.001-054,100.602-00.0010-00.00100-0.001-0.0010.0020.001
Totaal kortlopende verplichtingen 558,923.284420,866.461514,873.966450,668.035216,495.98368,666.745462,130.187642,752.654382,822.995346,484.511239,487.706250,151.619210,869.275217,879.467196,726.159158,729.722121,837.969
Langlopende verplichtingen:
Langetermijnschulden 179,644.135278,706.809277,375.259155,834.062330,202.017179,682.685173,512.66135,446.547437,416.348376,853.35537,40044,301.656123,248.54367,552.866,081.901114,200.01758,431.2
Uitgestelde opbrengsten niet-vlottend 3,163.2903,469.6822,731.0654,689.9046,399.67735.5418.39147.945644.6811,027.408605.769492.77509,171.40314,665.8540
Uitgestelde belastingverplichtingen niet-vlottend 46,072.16619,286.26130,923.54330,123.55829,450.23732,782.46232,389.83429,751.37130,786.5621,975.26658,268.32933,553.8236,594.20901,108.9063,910.080
Overige niet-vlottende verplichtingen 3,374.1763,180.853000.001-022,335.02114,229.305109,854.723130,856.161-0-019,143.29610,412.164497.641319.9564,858.489
Totaal niet-vlottende verplichtingen 232,253.767301,173.923311,768.484188,688.686364,342.159218,864.824228,273.054279,445.614578,105.576530,329.46396,695.73778,461.247149,478.82377,964.96476,859.851133,095.90763,289.689
Totaal passiva 791,177.051722,040.384826,642.45639,356.721580,838.14587,531.568690,403.241922,198.268960,928.571876,813.974336,183.442328,612.866360,348.098295,844.431273,586.01291,825.63185,127.658
Eigen vermogen:
Preferente aandelen 1,320.5551,320.5551,326.791,326.791,326.791,326.791,326.791,326.791,326.791,326.791,326.791,326.791,326.791,326.791,326.791,326.791,326.79
Gewone aandelen 146,276.965144,956.41145,942.055128,092.555128,092.555128,092.555128,092.555120,397.77120,397.77120,397.77120,397.7760,298.2160,298.2160,298.2160,298.2160,298.2160,298.21
Ingehouden winsten 358,591.65334,019.049279,248.961254,802.843207,462.007183,447.696155,374.9493,088.64341,498.0516,157.31613,929.9042,797.8283,349.28525,743.59521,334.18238,511.03343,492.073
Overige gereserveerde algehele resultaten 180,039.149180,602.832167,551.6829,798.5536,385.16131,208.11427,488.339-41,440.016202,833.49300-4,319.63300000
Overige totale aandeelhoudersvermogen 86,140.45667,155.82868,912.47270,455.00480,461.48380,461.48374,288.96597,515.799-147,230.76737,641.43666,831.28325,042.12921,050.76925,740.50939,002.70739,603.93120,823.179
Totaal eigen vermogen van aandeelhouders 772,368.774728,054.675662,981.959484,475.743453,727.996424,536.638386,571.588270,888.986218,825.336175,523.312202,485.74785,145.32486,025.054113,109.104121,961.889139,739.964125,940.252
Totaal eigen vermogen 774,050.786729,629.598665,372.289616,460.731573,760.894536,526.231490,259.511386,542.721311,431.34245,610.433205,670.78889,260.13890,600.375113,109.104121,961.889139,739.964125,940.252
Totaal passiva en aandeelhoudersvermogen 1,565,227.8371,451,669.9821,492,014.7391,255,817.4511,154,599.0341,124,057.81,180,662.7521,308,740.9891,272,359.9121,122,424.407541,854.23417,873.004450,948.473408,953.535395,547.899431,565.592311,067.91