Daesung Holdings Co., Ltd.

KRX:016710.KS

7540 (KRW) • At close May 2, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 129,261.26370,977.5681,075.3151,636.5472,544.85448,131.61577,641.26773,785.66377,039.908132,241.134192,114.487191,945.107110,158.18799,138.18297,037.99370,473.59924,627.84111,773.374
Kortetermijnbeleggingen 100,210.428175,702.427127,803.40873,867.76457,252.80551,817.78964,324.55973,395.537127,254.28985,445.15629,983.40830,623.15472,522.223966.7714,908.749318.8497,797.00510,172.803
Liquide middelen en kortetermijnbeleggingen 229,471.69246,679.987208,878.719125,504.304129,797.65999,949.404141,965.827147,181.199204,294.196217,686.29222,097.895222,568.261182,680.41100,104.952111,946.74270,792.44832,424.84621,946.177
Nettovorderingen 264,085.531250,371.026310,106.026218,326.954183,351.855202,119.461200,934.475204,312.576181,290.791177,564.084269,619.776246,561.902249,885.621216,093.814191,187.199176,705.53998,555.15680,442
Voorraad 1,368.7521,760.5331,971.0161,880.9921,208.086838.456721.5251,589.3422,837.8274,112.7693,362.0174,445.9352,723.3993,137.2844,241.5971,474.01553,820.96550,513.109
Overige vlottende activa 583.64917,177.61820,669.27514,716.0889,881.55516,328.29815,848.34218,574.53215,859.31815,433.37124,196.97621,121.0316,135.398247,456.597202,748.956200,470.4106,573.81383,374.202
Totaal vlottende activa 495,509.622516,254.205521,682.901346,582.912314,870.971303,420.987344,744.605354,422.958390,145.618414,796.514499,417478,650.331441,424.828350,698.833318,937.295272,736.863192,819.624155,833.488
Niet-vlottende activa:
Materiële vaste activa, netto 584,572.912582,256.056577,784.172569,729.526547,485.607530,972.736476,859.003464,849.874447,451.512425,117.641403,251.589392,719.925378,171.373358,762.081286,278.309253,240.187251,920.901251,755.475
Goodwill 1,122.3081,122.3081,122.3081,122.3081,122.3081,122.3081,122.3081,122.3081,122.3081,122.3081,122.3081,122.3081,122.3081,122.3081,045.578000
Immateriële activa 2,398.4922,218.9611,645.9821,954.5612,113.5042,501.9513,032.833,761.1834,249.8524,847.8045,456.1796,664.4617,110.4077,509.61623,153.1924,483.88924,922.31826,086.502
Goodwill en immateriële activa 3,520.83,341.2692,768.293,076.8693,235.8123,624.2594,155.1384,883.4915,372.165,970.1126,578.4877,786.7698,232.7158,631.92424,198.76824,483.88924,922.31826,086.502
Langetermijnbeleggingen 32,973.442126,183.683124,820.142227,971.845235,217.647221,993.961203,727.377182,817.696131,841.491178,748.336220,793.933195,204.609128,103.299190,775.52132,019.047123,887.433110,425.215112,714.838
Belastingvorderingen 7,097.67206,560.3687,322.937,895.9777,343.3885,701.8045,715.3814,2734,065.5284,426.5286,233.596101,863.3744,765.8224,253.864,816.31971.528849.567
Overige niet-vlottende activa 125,988.05817,947.638157,730.20589,328.7872,419.44168,487.2282,149.52393,499.085149,358.635110,657.73355,730.94258,619.2921.04627,932.8921,795.9716,664.87714,866.31521,102.574
Totaal niet-vlottende activa 754,152.884729,728.645869,663.177897,429.951866,254.483832,421.563772,592.845751,765.527738,296.797724,559.35690,781.479660,564.192616,371.808590,868.237468,545.955413,092.696403,106.277412,508.956
Totaal activa 1,249,662.5061,245,982.8491,391,346.0781,244,012.8631,181,125.4551,135,842.551,117,337.451,106,188.4851,128,442.4151,139,355.8641,190,198.481,139,214.5241,057,796.637941,567.07787,483.25685,829.559595,925.901568,342.443
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 271,755.032274,316.222353,971.628232,173.588184,291.914208,034.984206,203.245203,675.636178,161.111210,955.63282,847.223263,239.583280,629.742239,011.81200,667.509180,671.35142,653.635146,043.322
Kortlopende schulden 93,261.51213,650.275103,627.57331,759.665144,332.4689,924.19280,801.799123,879.63679,417.68110,313.29143,039.39583,673.28563,538.11771,983.58680,060.09845,463.22410,851.5251,102.322
Belastingschulden 4,725.22214,205.53416,844.0222,631.4187,602.1913,940.2621,691.515,423.1653,565.1512,552.3783,128.4454,350.452,821.2212,952.952,618.4644,208.5331,533.648982.158
Uitgestelde opbrengsten 00168.67422.976422.211470.5471,691.5124,646.9153,565.1512,552.37818,805.69318,045.0419,307.80117,835.0072,618.46428,599.7921,533.648982.158
Overige kortlopende verplichtingen 22,730.17125,640.76221,582.65519,945.00919,557.02623,490.28915,606.74519,223.7535,222.60718,212.02325,771.76226,874.26116,486.5814,882.05725,777.17724,391.25725,030.51815,178.208
Totaal kortlopende verplichtingen 392,471.936527,812.793496,194.552286,509.68356,205.803325,860.273306,428.152352,202.186296,366.549342,033.32454,786.825378,137.579363,475.66328,830.404309,123.248254,734.364180,069.321213,306.01
Langlopende verplichtingen:
Langetermijnschulden 130,032.86722,509.374133,902.682195,427.23485,862.857128,519.404149,376.258117,877.495180,571.665168,181.559133,214.419194,074.59176,284.121119,540.938137,091.149168,401.642182,844.215131,645.439
Uitgestelde opbrengsten niet-vlottend 118,870.723115,822.847109,473.107105,294.882100,946.02193,412.45583,344.39372,280.18765,077.77250,963.96738,880.04534,364.7826,871.47622,652.5130007,573.461
Uitgestelde belastingverplichtingen niet-vlottend 2,815.9874,264.48927,763.32737,495.85336,053.54236,024.14735,111.70433,930.38335,087.0734,571.53934,358.38926,217.7835,155.7322,616.0040010,865.27611,719.941
Overige niet-vlottende verplichtingen 16,368.93516,539.111156,444.70522,374.05720,395.643141,653.07128,918.604114,986.882107,239.17494,043.54483,659.09710,847.97411,034.7829,305.3911,335.3959,280.3479,571.0980.001
Totaal niet-vlottende verplichtingen 268,088.512159,135.821290,347.387360,592.027243,258.063270,172.474278,294.862232,864.377287,810.839262,225.103216,873.516265,505.127219,346.11154,114.845148,426.544177,681.989203,280.589150,938.842
Totaal passiva 660,560.447686,948.614786,541.939647,101.707599,463.867596,032.747584,723.015585,066.564584,177.388604,258.423671,660.341643,642.705582,821.77482,945.249457,549.792432,416.353383,349.91364,244.852
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 16,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,089.45916,044.616,044.6
Ingehouden winsten 631,051.942604,675.539457,109.807453,641.387441,604.134401,651.604397,836.752385,495.186369,370.582361,295.526346,356.796334,012.423306,037.922307,025.067165,763.232152,748.629113,497.744102,807.335
Overige gereserveerde algehele resultaten 0-157,708.43564,569.45564,043.8563,216.57582,664.824102,447.456103,006.724103,910.063104,593.02100000000
Overige totale aandeelhoudersvermogen -207,544.687-43,789.265,966.864991.447-261.609903.468-1,062.571521.0492,003.8573,472.52726,620.21726,620.21716,013.472,724.772132,076.23170,256.68561,458.23363,380.04
Totaal eigen vermogen van aandeelhouders 439,596.714419,267.303479,166.13470,722.293457,431.984418,644.531412,863.64402,105.694387,463.898380,857.512367,414.236352,012.178338,140.851325,839.299226,423.993228,872.473191,000.577182,231.975
Totaal eigen vermogen 589,102.059559,034.235604,804.139596,911.156581,661.588539,809.803532,614.436521,121.922544,265.027535,097.44518,538.139495,571.819474,974.867458,621.821329,933.458253,413.206212,575.991204,097.591
Totaal passiva en aandeelhoudersvermogen 1,100,157.1611,245,982.8491,391,346.0781,244,012.8631,181,125.4551,135,842.551,117,337.451,106,188.4851,128,442.4151,139,355.8641,190,198.481,139,214.5241,057,796.637941,567.07787,483.25685,829.559595,925.901568,342.443