Daou Technology Inc.

KRX:023590.KS

17890 (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 6,846,409.6781,496,407.6281,324,230.81,171,288.134276,059.373485,713.972182,206.695156,147.522186,200.552166,029.397168,857.3247,390.026113,508.019220,950.998226,693.569259,032.16592,814.844
Kortetermijnbeleggingen 29,367,299.55638,510,238.03637,032,630.00233,044,966.20317,910,708.66213,204,441.7746,253,301.2275,249,323.9723,578,498.1232,101,489.6092,118,162.4122,213,467.289371,103.052372,658.179363,094.401126,130.025119,519.01
Liquide middelen en kortetermijnbeleggingen 36,213,709.23440,006,645.66438,356,860.80234,216,254.33618,186,768.03513,690,155.7456,435,507.9225,405,471.4943,764,698.6742,267,519.0072,287,019.7122,460,857.315484,611.071593,609.177589,787.97385,162.19212,333.854
Nettovorderingen 78,549.122813,970.452127,473.18828,057.164586,209.204491,321.4744,640,781.6142,766,361.4462,263,104.4292,079,121.2581,662,676.721,726,614.8621,014,489.901,673,404.3951,052,831.493651,276.401
Voorraad 774.9931,282.21152.02338.50666.822822.74445.8411,050.04311,095.5499,993.86827,355.78940,637.13520,552.88522,624.8919,218.7266,535.8947,153.273
Overige vlottende activa 369,563.291201,756.799157,885.044235,046.4760,715.23988,004.01527,848.46910,290.0773,623.2123,976.8633,519.5662,190.3582,221.3261,550,789.26366.123729.066577,692.434
Totaal vlottende activa 36,662,596.63941,023,655.12638,642,271.05734,479,396.47718,833,759.29914,270,303.97511,104,583.8468,183,173.066,042,521.8654,360,610.9963,980,571.7874,230,299.6711,521,875.1812,167,023.3282,272,777.2141,445,258.6431,448,455.962
Niet-vlottende activa:
Materiële vaste activa, netto 417,730.019418,291.459344,536.886326,212.581307,718.928245,159.736217,859.293227,460.805246,015.315251,433.158198,781.698158,911.139120,016.368313,183.134284,423.101131,607.16353,223.026
Goodwill 81,579.93794,540.96850,539.08752,888.20855,210.90958,798.70964,710.71944,886.84832,171.41129,084.51325,033.3215,008.0443,400.361,049.9111,199.4931,424.739120.686
Immateriële activa 57,705.722111,055.58269,976.85950,534.54140,456.68439,929.53142,665.12354,234.80766,297.44464,018.74762,413.19931,326.16831,923.91514,429.90311,956.3365,556.5466,112.362
Goodwill en immateriële activa 106,933.82205,596.55120,515.946103,422.74895,667.59498,728.24107,375.84299,121.65598,468.85593,103.2687,446.5236,334.21235,324.27515,479.81413,155.8296,981.2856,233.048
Langetermijnbeleggingen 15,787,629.391-31,549,065.339-30,421,950.253-29,943,065.253-12,698,932.001-8,792,826.863-4,834,444.288-4,257,399.005-3,056,708.325-1,709,984.954-1,822,764.385-2,019,051.6471,873,513.241465,641.693-286,272.036-63,503.387-35,437.574
Belastingvorderingen 18,485.73421,611.04713,644.12816,485.316,766.1126,037.7785,943.69910,044.88910,673.6629,598.2337,962.3749,127.7484,244.382288.19197.533589.996429.094
Overige niet-vlottende activa 349,083.72739,139,919.89937,623,428.20733,639,780.96618,196,626.86713,518,250.8666,525,083.4025,555,851.8413,815,277.0142,333,744.212,397,469.5212,502,367.358680,119.801386,046.2375,847.895166,719.736154,811.482
Totaal niet-vlottende activa 16,679,862.6918,236,353.6177,680,174.9134,142,836.3535,907,847.5015,075,349.7552,021,817.9481,635,080.1851,113,726.521977,893.908868,895.728687,688.8092,713,218.0681,180,639.031387,352.322242,394.793179,259.076
Totaal activa 53,342,459.3349,260,008.74346,322,445.9738,622,232.8324,741,606.79919,345,653.7313,126,401.7949,818,253.2467,156,248.3875,338,504.9044,849,467.5154,848,503.1314,235,093.2473,347,662.3592,660,129.5351,687,653.4361,627,715.038
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 50,570.99228,488.5823,018.7975,578.8742,305.8792,511.464,869.2528,416.12921,535.50115,751.56717,514.84729,162.57430,221.5236,544.32217,591.28817,356.49915,307.291
Kortlopende schulden 20,389,360.92516,839,685.00513,675,591.59211,242,602.5457,490,464.4725,352,167.8423,090,620.3832,112,876.4861,013,302.332834,689.973544,843.206690,989.305596,437.561435,410.25502,228.569172,818.24402,170.206
Belastingschulden 32,360.58480,960.45259,535.797196,310.7955,369.01276,137.97852,141.68335,914.25253,112.1916,131.0117,620.87511,262.52627,311.03325,307.94617,923.48527,609.75124,424.33
Uitgestelde opbrengsten 62,313.02149,874.3078,090,356.6438,173,183.7025,604,620.25976,137.9782,272,169.7941,576,699.8321,101,777.704645,564.021815,383.7731,212,709.796706,516.6111,650,169.7111,128,440.394834,286.78624,424.33
Overige kortlopende verplichtingen 23,392,160.77210,180,249.204194,271.441281,578.7587,367.6164,784,387.811-30,405.388-32,357.574-72,039.843-28,307.994-20,671.773-39,742.296-56,175.588-61,838.924-35,458.417-44,774.724622,507.779
Totaal kortlopende verplichtingen 43,977,337.28727,207,746.12922,225,793.06719,904,833.54213,162,433.11710,293,854.535,394,264.9763,709,965.2532,139,223.3851,499,580.1441,382,205.7751,933,544.4791,334,532.6572,122,137.6271,648,316.6071,024,653.0511,104,141.227
Langlopende verplichtingen:
Langetermijnschulden 30,168.9551,341,482.1941,773,970.09662,560.0752,141,026.1771,052,744.891563,406.993100,303.902100,125.797469.27115,312.37720,236.22521,548.49327,838.55732,552.6733,026.29710,000
Uitgestelde opbrengsten niet-vlottend 58,831.8951,279,714.355159,662.31217,204.196218,829.2235,267,274.5855,031,659.2724,215,331.2043,311,658.6242,484,710.5952,180,375.7541,622,584.6091,728,073.2580160,891.528026,681.307
Uitgestelde belastingverplichtingen niet-vlottend 156,178.307137,824.763260,453.797214,785.829119,315.705126,310.12137,589.73390,346.86873,602.26559,832.54658,618.89160,268.59656,169.71523,007.37920,322.32515,256.27417,152.393
Overige niet-vlottende verplichtingen 3,569,409.85114,104,828.06917,286,097.44814,377,671.9486,435,776.808164,896.76288,489.00894,737.19884,067.68343,837.52736,814.18367,645.00816,919.832176,226.130.00122,822.693-0.001
Totaal niet-vlottende verplichtingen 3,814,589.00816,863,849.38119,480,183.64615,472,222.0488,914,947.9136,611,226.3595,821,145.0054,500,719.1723,569,454.3692,588,849.9392,291,121.2051,770,734.4391,822,711.298227,072.066213,766.52471,105.26453,833.699
Totaal passiva 47,791,926.29544,071,595.5141,705,976.71235,377,055.5922,077,381.0316,905,080.88911,215,409.9818,210,684.4245,708,677.7544,088,430.0833,673,326.983,704,278.9183,157,243.9552,349,209.6931,862,083.1281,095,758.3151,157,974.927
Eigen vermogen:
Preferente aandelen 0004,942.05300014,421.8021,876.26300000000
Gewone aandelen 22,433.30922,433.30922,433.30922,433.30922,433.30922,433.30922,433.30922,433.30922,433.30922,433.30922,433.30922,433.30922,433.30922,433.30922,433.30922,433.30920,000
Ingehouden winsten 2,182,800.2352,016,827.9621,667,199.4741,315,750.2751,044,928.066877,531.424796,060.897692,706.558603,611.105507,381.565474,180.442451,391.233392,320.416270,554.948203,460.546161,016.60483,265.097
Overige gereserveerde algehele resultaten 7,549.997302.50729,330.48-4,942.0532,433.88126,622.5467,769.395-14,421.802-1,876.26300000000
Overige totale aandeelhoudersvermogen 306,117.042275,676.249257,407.611249,566.382266,450.128173,277.255230,781.522215,822.701224,611.872230,269.655224,819.199231,106.491225,487.462220,314.98209,370.393191,938.945195,230.216
Totaal eigen vermogen van aandeelhouders 2,518,900.5822,315,240.0261,976,370.8731,587,749.9661,336,245.3821,199,864.5341,057,045.122930,962.567850,656.285760,084.529721,432.949704,931.033640,241.186513,303.237435,264.248375,388.858298,495.313
Totaal eigen vermogen 5,550,533.0355,188,413.2334,616,469.2573,245,177.242,664,225.7692,440,572.8411,910,991.8131,607,568.8221,447,570.6331,250,074.8221,176,140.5351,144,224.2131,077,849.292998,452.666798,046.407591,895.121469,740.112
Totaal passiva en aandeelhoudersvermogen 53,342,459.3349,260,008.74346,322,445.9738,622,232.8324,741,606.79919,345,653.7313,126,401.7949,818,253.2467,156,248.3875,338,504.9044,849,467.5154,848,503.1314,235,093.2473,347,662.3592,660,129.5351,687,653.4361,627,715.038