Hansae Yes24 Holdings Co., Ltd

KRX:016450.KS

4480 (KRW) • At close November 12, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 105,043.551207,417.50692,174.037152,581.01102,988.7763,695.67780,349.16237,757.619160,720.46373,115.05343,149.25752,560.143,451.04838,581.04937,493.15622,449.56918,478.388
Kortetermijnbeleggingen 185,658.89791,949.00959,384.466168,323.859166,702.842286,503.745337,752.54297,776.163118,228.998151,037.72184,278.874165,188.062146,271.003104,230.82480,799.0562,422.98945,681.903
Liquide middelen en kortetermijnbeleggingen 290,702.448299,366.514151,558.503320,904.869269,691.611350,199.422418,101.702335,533.782278,949.461224,152.773227,428.131217,748.162189,722.051142,811.873118,292.20684,872.55864,160.291
Nettovorderingen 311,296.01347,492.998412,507.737330,775.701316,291.488323,303.832321,045.401310,536.584257,873.185170,688.603118,140.021107,669.83486,790.95372,597.55471,956.10567,736.6230
Voorraad 402,756.528465,507.955553,331.11390,336.149407,615.876401,129.76333,215.771343,045.659249,427.911187,690.674189,833.542166,135.724163,349.613140,588.208104,666.6697,428.14464,931.73
Overige vlottende activa 23,726.327-1,565.0255,118.4814,475.715704.252658.976437.152468.0181,240.667629.8991,446.1881,181.4611,839.74-0.0010.001-0.0020
Totaal vlottende activa 1,028,481.3121,110,802.4431,122,515.8311,046,492.435994,303.2271,075,291.991,072,800.025989,584.043787,491.224583,161.949536,847.881492,735.181441,702.358355,997.634294,914.972250,037.323192,495.097
Niet-vlottende activa:
Materiële vaste activa, netto 539,431.572417,302.787388,261.217373,443.973385,326.14298,398.708288,000.171308,535.619225,650.13216,802.885141,946.762119,637.735106,241.67288,408.52478,834.45855,074.29442,469.246
Goodwill 41,019.29642,957.55738,064.89138,889.26239,175.99540,657.28680,838.1681,138.84137,897.18535,674.33632,886.73831,197.45931,197.45921,441.71427,567.91800
Immateriële activa 44,229.92636,088.01636,393.43727,420.78736,971.4260,107.22262,095.96459,740.56432,428.11530,957.1825,367.3336,813.9286,335.4831,471.689740.506725.361785.918
Goodwill en immateriële activa 85,249.22279,045.57374,458.32866,310.04976,147.415100,764.508142,934.124140,879.40570,325.366,631.51838,254.07138,011.38737,532.94222,913.40328,308.424725.361785.918
Langetermijnbeleggingen 483,013.201272,581.985535,928.371107,473.19328,421.125-185,281.409-238,107.519106,008.068156,219.57353,549.873-72,446.577-74,391.595-75,695.357-56,106.863-38,672.593-32,992.905-31,639.472
Belastingvorderingen 11,083.60814,704.25121,924.80729,353.76228,989.46727,477.91919,603.86324,195.10217,768.76111,125.11710,239.8219,305.0588,060.2773,378.5064,124.4612,376.9853,484.97
Overige niet-vlottende activa 5,087.032142,526.70398,184.506216,939.323218,242.903361,664.672408,414.377171,387.007178,685.867190,047.661218,618.388192,114.315175,308.851112,039.38189,401.27472,748.06249,627.27
Totaal niet-vlottende activa 1,123,864.635926,161.2981,118,757.228793,520.301737,127.05603,024.397620,845.015751,005.201648,649.63538,157.053336,612.465284,676.901251,448.386170,632.951161,996.023107,931.79764,727.932
Totaal activa 2,152,345.9472,036,963.7412,241,273.061,840,012.7351,731,430.2771,678,316.3871,693,645.041,740,589.2431,436,140.8551,121,319.003873,460.346777,412.081693,150.743526,630.585456,910.995357,969.12257,223.029
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 130,879.215135,233.925142,601.208124,866.596123,002.46113,752.619114,670.114127,480.429112,327.34686,031.18270,235.21668,948.01866,695.23560,770.50162,450.35455,176.99943,840.3
Kortlopende schulden 669,739.403672,429.88652,083.911563,973.511597,763.871597,675.613528,861.02554,733.468446,338.6350,921.313261,062.78232,568.806229,772.51161,074.041113,982.966104,764.14977,509.903
Belastingschulden 30,857.96640,248.60432,898.71813,326.56121,334.50614,890.15415,903.71114,312.14926,963.07217,368.94412,807.913,958.64715,262.5114,839.66210,773.8549,858.4626,497.612
Uitgestelde opbrengsten 063,722.48184,581.432143,597.759181,977.59914,890.154148,478.299141,080.981109,452.94891,067.46765,894.99263,572.55658,245.38331,529.13330,421.63453,764.28322,032.333
Overige kortlopende verplichtingen 213,776.2328,421.735-128,132.119-90,528.29-100,162.78448,598.898-103,123.892-114,764.096-113,208.904-81,859.91-64,110.278-68,278.163-67,761.741-65,610.164-73,224.207-65,035.463-50,337.913
Totaal kortlopende verplichtingen 1,045,252.8161,055,290.5491,026,634.357880,102.734946,918.113903,560.057819,459.365850,323.36694,200.409549,560.178416,125.826379,717.882368,909.133253,373.674206,854.955213,705.429143,382.535
Langlopende verplichtingen:
Langetermijnschulden 74,180.08388,976.786137,159.116134,909.017112,864.55975,970.89109,383.363142,052.985132,766.33871,281.06142,485.33125,345.2136,53004,291.4879,716.615366.458
Uitgestelde opbrengsten niet-vlottend 028.8357,445.9246,889.327,912.259,358.73259,725.72862,672.83255,222.33349,526.48937,222.82335,902.67129,627.27200015,699.174
Uitgestelde belastingverplichtingen niet-vlottend 19,927.25812,867.60263,419.0599,938.355,062.62712,248.293,852.6885,540.4184,706.2184,687.3485,706.1044,795.4484,907.563,566.0663,036.3701,081.419
Overige niet-vlottende verplichtingen 49,329.05948,282.46157,262.37162,388.73562,766.85359,441.123-000-00-0029,825.32823,171.55118,792.170.002
Totaal niet-vlottende verplichtingen 143,436.4150,155.683265,286.47214,125.422188,606.289157,019.035172,961.779210,266.235192,694.889125,494.89885,414.25866,043.33241,064.83333,391.39430,499.40828,508.78517,147.053
Totaal passiva 1,188,689.2171,205,446.2321,291,920.8271,094,228.1561,135,524.4021,060,579.093992,421.1441,060,589.595886,895.297675,055.076501,540.084445,761.214409,973.966286,765.067237,354.363242,214.213160,529.588
Eigen vermogen:
Preferente aandelen 000018,113.6430015,397.09415,347.48100000000
Gewone aandelen 20,00020,00020,00020,00020,00020,00020,00020,00020,00020,00020,00015,874.1615,874.1615,874.1615,874.1620,00020,000
Ingehouden winsten 381,394.641345,609.29336,913.457311,492.25247,010.169237,372.874263,535.393236,852.017226,834.638179,696.078149,372.32132,079.693111,746.3970,533.84366,424.76656,213.05367,385.751
Overige gereserveerde algehele resultaten 52,519.84126,382.19195,028.43421,641.085-18,113.64329,520.1634,185.507-15,397.094-15,347.48100000000
Overige totale aandeelhoudersvermogen 50,262.2421,618.63321,795.8815,201.744,449.615-26,466.974-32,407.9058,066.13716,698.81215,737.52812,738.81517,223.03518,207.60639,320.61139,178.68519,388.0343,312.564
Totaal eigen vermogen van aandeelhouders 504,176.723413,610.114473,737.771368,335.075271,459.784260,426.06285,312.995264,918.154263,533.45215,433.606182,111.135165,176.888145,828.155125,728.614121,477.61195,601.08790,698.315
Totaal eigen vermogen 963,656.73831,517.509949,352.232745,784.58595,905.875617,737.294701,223.896679,999.649549,245.557446,263.927371,920.263331,650.867283,176.777239,865.518219,556.632115,754.90796,693.44
Totaal passiva en aandeelhoudersvermogen 2,152,345.9472,036,963.7412,241,273.061,840,012.7351,731,430.2771,678,316.3871,693,645.041,740,589.2431,150,428.747890,488.682873,460.346777,412.081555,802.122526,630.585456,910.995357,969.12251,227.903