Samsung Securities Co., Ltd.

KRX:016360.KS

47500 (KRW) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,830,129.38715,989,364.19918,000,752.78716,171,751.2594,403,658.7557,958,137.9066,504,862.9476,200,407.876,182,518.5725,089,416.6993,869,065.2044,319,274.2764,833,237.9254,480,414.5394,217,774.5164,050,948.2422,546,800.0392,964,975.393
Kortetermijnbeleggingen 6,963,114.288,118,204.8543,545,314.3722,250,541.3271,069,943.9460000000000000
Liquide middelen en kortetermijnbeleggingen 8,793,243.66715,989,364.19918,000,752.78716,171,751.2594,403,658.7557,958,137.9066,504,862.9476,200,407.876,182,518.5725,089,416.6993,869,065.2044,319,274.2764,833,237.9254,480,414.5394,217,774.5164,050,948.2422,546,800.0392,964,975.393
Nettovorderingen 3,708,422.6132,958,644.1054,192,926.8616,829,161.7731,847,152.3441,560,530.2422,028,931.7021,231,247.2161,506,488.1891,161,742.351850,054.7181,063,735.2651,531,176.235467,553.048498,480.607141,332.631122,620.979152,349.842
Voorraad 013,672,280.05510,727,760.9111,729,256.9884,051,957.409-38,330,643.979-37,948,260.013-33,229,936.0210000000000
Overige vlottende activa -12,501,666.28-13,672,280.055-10,727,760.91-11,729,256.988-4,051,957.40938,330,643.97937,948,260.01333,229,936.0210000000000
Totaal vlottende activa 17,937,259.72518,948,008.30422,193,679.64823,000,913.0326,250,811.0999,518,668.1488,533,794.6497,431,655.0867,689,006.7616,251,159.054,719,119.9225,383,009.5416,364,414.164,947,967.5874,716,255.1234,192,280.8732,669,421.0183,117,325.235
Niet-vlottende activa:
Materiële vaste activa, netto 87,320.976106,243.43104,577.302118,395.14286,720.73744,485.0749,101.77851,244.34357,622.61858,231.60866,750.38181,715.53897,126.4685,918.38587,949.80669,078.32651,424.59349,243.617
Goodwill 575.1671,102.2111,216.139986.4741,796.57700000000000258.725603.693
Immateriële activa 108,107.844104,145.82285,982.91479,869.76579,909.15185,109.00390,245.771100,996.939100,553.098114,679.201130,278.083127,743.12110,096.93156,215.82861,199.6643,520.14243,333.53934,175.895
Goodwill en immateriële activa 108,107.844104,145.82285,982.91479,869.76579,909.15185,109.00390,245.771100,996.939100,553.098114,679.201130,278.083127,743.12110,096.93156,215.82861,199.6643,520.14243,592.26434,779.588
Langetermijnbeleggingen 2,670,321.46525,157,993.40733,272,094.35832,195,494.60531,829,999.94523,156,092.76323,942,183.1222,507,978.620,786,306.63217,814,694.48314,093,146.72112,476,086.1918,932,088.8067,862,128.748,153,018.5547,569,626.0816,188,576.8754,630,983.029
Belastingvorderingen 575.1671,102.2111,216.139986.4741,796.57738,330,643.97937,948,260.01333,229,936.0210000000000
Overige niet-vlottende activa 881,323.755-1,102.211-1,216.139-986.474-1,796.577-38,330,643.979-37,948,260.013-33,229,936.021-20,944,482.348-17,987,605.293-14,290,175.184-12,685,544.849-9,139,312.197-8,004,262.953-8,302,168.02-7,682,224.549-6,283,593.732-4,715,006.234
Totaal niet-vlottende activa 3,747,649.20625,368,382.65933,462,654.57432,393,759.51131,996,629.83323,285,686.83624,081,530.66922,660,219.88220,944,482.34817,987,605.29314,290,175.18412,685,544.8499,139,312.1978,004,262.9538,302,168.027,682,224.5496,283,593.7324,715,006.234
Totaal activa 56,507,909.50953,848,261.01765,707,48763,869,722.09444,729,591.39938,330,643.97937,948,260.01333,229,936.02130,994,440.99425,774,747.15120,535,582.37319,480,917.79416,770,851.40414,206,344.03614,078,954.9212,542,897.2789,985,769.0298,410,618.5
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 000000000000000000
Kortlopende schulden 17,124,369.62217,185,708.09625,758,371.82919,700,494.6717,402,239.333658,956.2441,242,827.926599,318.7650000000000
Belastingschulden 98,205.95213,278.298237,330.91663,661.3434,107.22587,231.04336,470.1283,168.5082,607.23667,866.7167,6269,316.2713,683.48738,797.77578,499.51252,606.07577,792.49228,308.882
Uitgestelde opbrengsten 86,559.35872,827.03976,145.42123,014.44224,828.9230000000000000
Overige kortlopende verplichtingen -86,559.358-17,258,535.135-25,834,517.25-19,723,509.112-17,427,068.256-639,603.265-1,172,699.537-531,963.6470000000000
Totaal kortlopende verplichtingen 17,124,369.62217,185,708.09625,758,371.82919,700,494.6717,402,239.33319,352.97970,128.38867,355.1180000000000
Langlopende verplichtingen:
Langetermijnschulden 2,590,364.48,883,105.319,783,066.1597,544,751.3133,850,443.7132,680,707.8491,737,827.9261,008,318.7651,063,896.269592,700880,771.674735,460.035511,352.166769,400871,699.999322,000520,000473,400
Uitgestelde opbrengsten niet-vlottend 86,559.35872,827.03976,145.42123,014.44224,828.92333,668,537.93933,536,621.31829,402,982.470000000000
Uitgestelde belastingverplichtingen niet-vlottend 178,868.018176,245.706130,102.566128,414.82997,931.9890-31,798,793.392-28,394,663.7050000000000
Overige niet-vlottende verplichtingen 47,029,408.33938,520,174.619-206,247.987-151,429.271-122,760.912-2,680,707.849-1,737,827.926-1,008,318.765-1,063,896.269-592,700-880,771.674-735,460.035-511,352.166-769,400-871,699.999-322,000-520,000-473,400
Totaal niet-vlottende verplichtingen 49,885,200.11447,652,352.6749,783,066.1597,544,751.3133,850,443.71333,668,537.9391,737,827.9261,008,318.7651,063,896.269592,700880,771.674735,460.035511,352.166769,400871,699.999322,000520,000473,400
Totaal passiva 49,885,200.11447,652,352.6749,783,066.1597,544,751.3133,850,443.71333,668,537.9391,737,827.9261,008,318.7651,063,896.269592,700880,771.674735,460.035511,352.166769,400871,699.999322,000520,000473,400
Eigen vermogen:
Preferente aandelen 749,429.897579,532.9771,093,892.701601,675.552464,217.605395,053.725316,258.33207,972.670000000000
Gewone aandelen 458,478.08458,478.08458,478.08458,478.08458,478.08458,478.08458,478.08394,153.905394,153.905394,153.905394,153.905394,153.905394,153.905346,153.905346,153.905346,153.905346,153.905346,153.905
Ingehouden winsten 749,429.8973,832,399.6493,749,334.542,980,432.8732,624,455.5092,357,751.8932,111,390.3981,889,445.011,785,308.8511,557,650.8511,337,038.8841,351,674.2551,245,937.3321,230,252.8631,056,697.173875,895.972742,956.361450,674.881
Overige gereserveerde algehele resultaten 3,707,747.0793,450,842.9472,821,503.6692,549,865.6982,283,118.4984,662,106.044,411,638.6953,826,953.5520000000000
Overige totale aandeelhoudersvermogen 957,624.441-2,125,345.31-2,042,280.202-1,273,378.534-880,991.167-3,211,283.698-2,888,123.037-2,491,590.111,344,358.5441,474,965.6931,564,613.6661,596,844.3471,606,363.2231,222,201.9951,195,912.8281,171,698.8141,184,462.3921,148,085.344
Totaal eigen vermogen van aandeelhouders 6,622,709.3956,195,908.3436,080,928.7885,317,073.6684,949,278.5254,662,106.044,409,642.4663,826,935.0263,523,821.3013,426,770.4483,295,806.4553,342,672.5073,246,454.462,798,608.7632,598,763.9062,393,748.6912,273,572.6581,944,914.13
Totaal eigen vermogen 17,596,854.8415,894,105.66327,209,598.31326,219,275.23920,637,608.52217,568,956.5574,411,638.6953,826,953.5523,523,821.3013,426,844.8493,506,533.3913,482,478.1723,380,421.5492,919,877.8682,709,2262,497,122.1452,366,354.6052,023,854.988
Totaal passiva en aandeelhoudersvermogen 56,507,909.50953,848,261.01765,707,48763,869,722.09444,729,591.39938,330,643.97937,946,263.78433,229,917.49630,994,440.99425,774,672.7520,324,855.43719,480,917.79416,636,884.31514,085,074.93214,078,954.9212,542,897.2789,985,769.0298,410,618.5