Industrial Bank of Korea

KRX:024110.KS

14620 (KRW) • At close November 8, 2024
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 28,333,59226,292,16019,851,48213,188,61311,526,69114,627,76912,906,13711,699,22010,018,3169,947,14312,822,0447,377,5677,396,7217,593,0874,269,3643,204,5653,714,071
Kortetermijnbeleggingen -30,776,4740000000000000000
Liquide middelen en kortetermijnbeleggingen -2,442,88226,292,16019,851,48213,188,61311,526,69114,627,76912,906,13711,699,22010,018,3169,947,14312,822,0447,377,5677,396,7217,593,0874,269,3643,204,5653,714,071
Nettovorderingen 2,113,9862,378,5991,611,0941,423,5161,412,7601,278,0981,149,189944,480850,742825,341888,8091,004,7651,012,9141,055,610869,909674,317548,324
Voorraad 328,896-29,488,397-23,030,804-16,518,373-14,323,815-19,009,084-27,973,547-28,871,078000000000
Overige vlottende activa 37,966,98929,488,39723,030,80416,518,37314,323,81519,009,08427,973,54728,871,078000000000
Totaal vlottende activa 37,966,98928,670,75921,462,57614,612,12912,939,45115,905,86714,055,32612,643,70010,869,05810,772,48413,710,8538,382,3328,409,6358,648,6975,139,2733,878,8824,262,395
Niet-vlottende activa:
Materiële vaste activa, netto 2,248,1542,156,9092,170,2062,116,9522,097,8681,883,3101,835,2151,820,8991,484,3841,508,5831,505,2281,509,8161,397,7061,341,7761,215,8171,216,8131,169,405
Goodwill 00000000000001,4011,9612,5220
Immateriële activa 296,184264,197268,842284,710303,580190,725213,678258,427302,519337,229247,481160,078157,50896,66275,03559,42632,285
Goodwill en immateriële activa 296,184264,197268,842284,710303,580190,725213,678258,427302,519337,229247,481160,078157,50898,06376,99661,94832,285
Langetermijnbeleggingen 3,883,96683,593,22878,377,00167,856,87757,067,91051,183,79148,185,59239,969,50639,271,43436,798,41437,198,08635,984,20929,950,03927,583,30026,697,15927,602,97622,793,091
Belastingvorderingen 112,215148,68932,26114,75711,49211,39815,4717,68412,22100000000
Overige niet-vlottende activa 403,919,771-148,689-32,261-14,757-11,492-11,398-15,471-7,684-12,221-38,644,226-38,950,795-37,654,103-31,505,253-29,023,139-27,989,972-28,881,737-23,994,781
Totaal niet-vlottende activa 410,460,29086,014,33480,816,04970,258,53959,469,35853,257,82650,234,48542,048,83241,058,33738,644,22638,950,79537,654,10331,505,25329,023,13927,989,97228,881,73723,994,781
Totaal activa 448,427,279431,979,690398,071,914361,616,177318,111,038289,509,449274,069,731256,851,380239,842,781219,760,786212,582,797197,743,593185,976,134170,495,545154,510,265144,428,039122,223,778
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8,059,0676,449,7164,292,1035,328,6564,567,4605,836,3596,635,8913,515,6704,354,1231,566,8092,452,2652,302,9551,250,309185,518106,078104,290129,305
Kortlopende schulden 4,255,2263,786,736955,6213,421,3842,795,0922,075,2442,517,2772,795,7735,522,39700000000
Belastingschulden 393,312687,841513,216235,039212,034246,562224,386208,16099,118176,57673,22319,547381,726324,799000
Uitgestelde opbrengsten 177,303250,040164,390149,482176,965186,739178,466173,280164,88200000000
Overige kortlopende verplichtingen 151,060,664152,303,934154,479,566132,366,196108,205,65990,894,15795,815,49085,468,654-5,687,279-1,566,809-2,452,265-2,302,955-1,250,309-185,518-106,078-104,290-129,305
Totaal kortlopende verplichtingen 163,552,260162,790,426159,891,680141,265,718115,745,17698,992,499105,147,12491,953,3774,354,1231,566,8092,452,2652,302,9551,250,309185,518106,078104,290129,305
Langlopende verplichtingen:
Langetermijnschulden 223,247,863217,457,174187,911,171170,609,608155,749,248139,223,212121,781,246118,195,555109,762,661103,042,669101,418,37093,089,58692,210,09488,470,99482,580,56378,978,78466,727,819
Uitgestelde opbrengsten niet-vlottend 177,303250,040164,390149,482176,965186,739178,466173,280164,88200000000
Uitgestelde belastingverplichtingen niet-vlottend 288,792258,846490,957410,715300,389216,226233,893158,091257,57100000000
Overige niet-vlottende verplichtingen 33,477,757184,903,067-655,347-560,197-477,354128,789,096132,074,388120,277,046-422,453-103,042,669-101,418,370-93,089,586-92,210,094-88,470,994-82,580,563-78,978,784-66,727,819
Totaal niet-vlottende verplichtingen 257,191,715402,869,127187,911,171170,609,608155,749,248268,415,273254,267,993238,803,972109,762,661103,042,669101,418,37093,089,58692,210,09488,470,99482,580,56378,978,78466,727,819
Totaal passiva 420,743,975402,869,127187,911,171170,609,608155,749,248268,415,273254,267,993238,803,972222,548,991204,114,527198,153,739183,826,023172,774,002159,719,161145,025,317136,722,732115,361,079
Eigen vermogen:
Preferente aandelen 224,235224,235489,861489,861489,861489,861489,861489,861489,861489,862489,862489,862489,862489,862489,862489,862265,627
Gewone aandelen 4,211,3653,987,1303,721,5043,693,3222,885,7852,799,8952,799,8952,799,8952,782,0102,766,0862,750,9752,730,0072,730,0072,730,0072,718,0822,213,2262,025,758
Ingehouden winsten 4,409,27920,105,32418,073,33416,158,64815,346,85814,252,83713,155,81412,041,48711,253,70010,456,3529,683,7769,085,4218,330,9416,304,1555,166,9004,457,1953,950,228
Overige gereserveerde algehele resultaten 17,724,61615,768,16615,002,19614,515,00213,589,34012,735,51312,020,86511,394,7453,802,45400000000
Overige totale aandeelhoudersvermogen 953,633-11,136,396-9,899,518-9,838,581-9,650,034-9,295,190-8,769,061-8,776,020-1,124,9951,849,9921,425,3211,538,3991,578,230993,720868,733389,045469,478
Totaal eigen vermogen van aandeelhouders 27,523,12828,948,45927,387,37725,018,25222,661,81020,982,91619,697,37417,949,96817,203,03015,562,29214,349,93413,843,68913,129,04010,517,7449,243,5777,549,3286,711,091
Totaal eigen vermogen 27,683,30429,110,56327,533,84925,142,34922,776,64721,094,17619,801,73818,047,40817,293,79015,646,25914,429,05813,917,57013,202,13210,776,3849,484,9487,705,3076,862,699
Totaal passiva en aandeelhoudersvermogen 448,427,279431,979,690398,071,914361,616,177318,111,038289,509,449274,069,731256,851,380239,842,781219,760,786212,582,797197,743,593185,976,134170,495,545154,510,265144,428,039122,223,778