Seowon Co., Ltd.

KRX:021050.KS

1242 (KRW) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,875.06614,921.7611,187.2694,570.5861,666.0254,035.6297,442.014,330.0789,061.5621,977.722,411.2146,359.93411,790.8639,093.171,959.4652,929.0361,362.07
Kortetermijnbeleggingen 2,106.406421.1911,942.247895.71214.5512,793.3693,708.296002,310.8564,363.2047,546.1661,193.8213,829.727,848.52,467.382,418.765
Liquide middelen en kortetermijnbeleggingen 9,981.47215,342.95113,129.5165,466.2981,680.5766,828.99811,150.3064,330.0789,061.5624,288.5776,774.41813,906.112,984.68412,922.899,807.9655,396.4163,780.835
Nettovorderingen 28,507.53925,401.80551,439.80932,064.17131,536.82125,982.98925,709.28458,050.90671,058.3652,313.3660,718.007128,936.081100,986.025050,472.521038,076.631
Voorraad 46,836.60253,435.45559,748.30857,330.98856,361.16251,974.10349,590.68742,825.72447,163.65980,871.60783,405.893119,942.366106,747.46384,419.06162,082.51528,037.68839,222.115
Overige vlottende activa 1,0922,237.1781,822.1441,889.451,946.0714,552.6035,374.0723,417.8122,386.6314,872.5462,358.1685,037.8164,100.85878,699.751.25335,645.1922,187.586
Totaal vlottende activa 86,417.61396,417.389126,139.77996,750.90691,524.62989,338.69291,824.348108,624.519129,670.212142,346.09153,256.486267,822.363224,819.029176,041.701122,364.25469,079.29683,267.167
Niet-vlottende activa:
Materiële vaste activa, netto 63,420.21663,233.25658,179.80351,148.41953,509.86552,727.72952,243.82953,312.22655,160.82476,980.75869,184.21125,545.614107,755.18867,023.79454,232.76754,960.22426,578.525
Goodwill 00000000000000000
Immateriële activa 1,177.9631,197.2091,058.6391,058.6391,466.2111,466.2111,466.2111,466.2111,466.2111,466.2111,466.2111,466.2111,466.211889.551000
Goodwill en immateriële activa 1,177.9631,197.2091,058.6391,058.6391,466.2111,466.2111,466.2111,466.2111,466.2111,466.2111,466.2111,466.2111,466.211889.551000
Langetermijnbeleggingen 94,333.193104,963.812105,872.12475,220.08474,502.41972,819.27762,012.31658,955.61157,132.05762,782.21867,932.64552,540.47652,229.72441,422.14133,093.9219,728.57410,982.124
Belastingvorderingen 0-104,963.8121,942.2471,632.513831.7492,793.3693,708.296-58,955.611-57,132.0572,310.8564,363.2047,546.1661,193.821742.1181,816.7193,776.411135.17
Overige niet-vlottende activa 1,648.284105,385.003173.386143.57148.57964.8011,048.07260,191.69158,697.0991,593.3761,997.41,682.7091,330.0876,067.4079,622.5162,918.1992,719.23
Totaal niet-vlottende activa 160,579.656169,815.468167,226.2129,203.226130,458.814130,771.387120,478.724114,970.128115,324.134145,133.42144,943.669188,781.176163,975.031116,145.01198,765.92371,383.40840,415.049
Totaal activa 246,997.269266,232.857293,365.978225,954.131221,983.443220,110.079212,303.072223,594.647244,994.346287,479.51298,200.155456,603.539388,794.061292,186.711221,130.177140,462.704123,682.216
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,970.4765,568.5527,609.4038,028.78610,864.1687,769.1742,556.4964,501.20111,160.5590017,014.28318,017.80212,001.8622,358.761374.237495.736
Kortlopende schulden 92,525.22893,617.46977,368.39580,442.11792,753.26295,221.992105,608.671110,475.544155,789.487159,523.483155,056.714224,765.341175,906.087123,404.44395,836.97753,432.27646,402.032
Belastingschulden 00119.29425.788312.591379.484281.054176.067109.526154.129172.7161,087.045834.4224,563.3051,335.622121.9931,945.689
Uitgestelde opbrengsten 0-5,568.552-7,609.403-8,028.786-10,864.168-7,769.174-2,556.496-4,501.201-11,160.559006,824.1417,475.679,643.9379,791.76511,587.1761,945.689
Overige kortlopende verplichtingen 561.5336,022.93822,619.79,373.1712,037.0798,776.5469,889.9356,421.68512,614.55110,963.6666,916.11,375.094998.6410.001-0.0010.0012,547.207
Totaal kortlopende verplichtingen 98,057.23699,640.40799,988.09589,815.287104,790.341103,998.538115,498.606116,897.229168,404.037170,487.149161,972.813249,978.86202,398.201145,050.243107,987.50265,393.6951,390.664
Langlopende verplichtingen:
Langetermijnschulden 21,00025,148.16445,307.48122,285.073,798.1015,270.316232.811,480.357,710.09510,149.95515,261.47647,078.93132,826.1466,724.6837,351.66510,259.83415,274.97
Uitgestelde opbrengsten niet-vlottend 135.4910200.7261.8251.2050.696042.269317.218906.86643.9381,121.689921.104,545.98100
Uitgestelde belastingverplichtingen niet-vlottend 3,555.1895,102.0211,894.4058,240.9085,686.4545,509.8793,347.0612,310.4141,802.2546,967.5659,218.43712,148.99811,175.55310,142.0669,501.5041,361.9620
Overige niet-vlottende verplichtingen 253.693105.965-039.54341.545312.565.56713773.584.52,783.820.00113,712.3851,252.561
Totaal niet-vlottende verplichtingen 24,944.37330,356.14957,402.61230,567.3039,528.7610,822.3913,624.86114,145.5329,895.06718,091.37925,260.85260,423.11845,007.29919,650.56921,399.15125,334.18116,527.531
Totaal passiva 123,001.609129,996.556157,390.707120,382.59114,319.1114,820.929119,123.467131,042.762178,299.104188,578.529187,233.665310,401.978247,405.5164,700.812129,386.65390,727.87167,918.196
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 23,737.29523,737.29523,737.29523,737.29523,737.29523,737.29523,737.29523,737.29513,987.29513,987.29513,987.29513,987.29513,987.29513,987.29513,987.29513,987.29513,987.295
Ingehouden winsten 24,790.16238,432.70436,129.18321,374.04527,124.54824,834.89617,977.06616,809.65811,995.39965,239.30776,987.51391,159.68183,074.22156,327.63837,181.9993,489.17628,950.242
Overige gereserveerde algehele resultaten 49,804.82748,407.0848,385.20430,120.83830,033.75930,066.9928,622.95925,138.77323,301.01500000000
Overige totale aandeelhoudersvermogen 25,663.37522,497.16624,624.10125,332.10821,619.20621,619.20617,789.68821,979.61912,689.33211,688.12912,352.17612,372.99114,579.32733,503.43531,263.57424,957.1016,571.686
Totaal eigen vermogen van aandeelhouders 123,995.659133,074.245132,875.783100,564.286102,514.808100,258.38888,127.00787,665.34561,973.04290,914.731103,326.983117,519.967111,640.843103,818.36882,432.86842,433.57249,509.223
Totaal eigen vermogen 123,995.659133,074.245135,975.272105,571.542107,664.343105,289.1593,179.60592,551.88566,695.24298,900.981110,966.49146,201.56141,388.561127,485.89991,743.52549,734.83355,764.02
Totaal passiva en aandeelhoudersvermogen 246,997.269263,070.801293,365.978225,954.131221,983.443220,110.079212,303.072223,594.647244,994.346287,479.51298,200.155456,603.539388,794.061292,186.711221,130.178140,462.704123,682.216