Maniker.Co.,Ltd

KRX:027740.KS

950 (KRW) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 10,676.6234,858.33823,290.06812,888.5511,798.8562,350.3772,593.9583,296.62517,860.0562,833.91811,990.8379,252.8512,100.3243,811.1411,282.5243,253.7461,159.102
Kortetermijnbeleggingen 1,977.40324,989.7063,538.899391.343657.7211,624.7631,698.6222,038.8395,856.3897,653.87312,639.01226,462.2419,780.1077,334.07710,499.90413,066.09711,151.985
Liquide middelen en kortetermijnbeleggingen 12,654.02629,848.04526,828.96713,279.8942,456.5773,975.144,292.5795,335.46523,716.44610,487.79124,629.84935,715.09121,880.43111,145.21721,782.42816,319.84312,311.087
Nettovorderingen 23,816.82422,679.74329,700.17119,405.87619,524.15619,051.44225,594.37532,284.66431,088.03541,510.48657,203.06263,015.35885,990.95947,731.9832,985.16637,576.09236,142.871
Voorraad 20,085.35214,580.20313,266.29713,553.9299,768.8424,478.0744,243.273,799.4525,634.0812,139.26717,963.29615,784.29210,733.2819,116.02818,440.72517,974.72517,014.453
Overige vlottende activa 1,139.312-4.499-4.5-4.5-4.59,515.9079,372.3665,745.3097,782.01210,327.21714,105.68911,613.81811,854.0933,647.956752.645355.9835,612.262
Totaal vlottende activa 57,695.51467,103.49269,790.93546,235.19831,745.07537,020.56343,502.5947,164.8968,220.57274,464.76113,901.896126,128.559130,458.76381,641.18173,960.96472,226.64371,080.673
Niet-vlottende activa:
Materiële vaste activa, netto 97,753.43102,535.09199,954.806110,949.788116,695.512120,283.278175,009.084132,414.936133,756.459126,268.481148,799.795115,167.48796,146.665117,466.669116,612.12284,550.1563,495.972
Goodwill 0000009,211.0119,494.39300650.249650.248650.248650.249686.37300
Immateriële activa 43.538146.301269.276365.391892.9891,455.485998.338847.234878.6181,205.4571,439.2311,574.2441,623.905575.607542.124335.606386.086
Goodwill en immateriële activa 43.538146.301269.276365.391892.9891,455.48510,209.34910,341.627878.6181,205.4572,089.482,224.4922,274.1531,225.8561,228.497335.606386.086
Langetermijnbeleggingen 4,029.42-21,828.7961,792.9327,732.0998,603.5669,693.27112,694.43212,271.1935,239.4245,727.9295,180.755-18,828.365-2,018.9382,197.2041,865.506-3,289.526-4,299.445
Belastingvorderingen 0024,659.07226,816.24425,227.91224,843.83510,282.925550.635281.68618,414.40919,214.71565,731.05352,554.7111,515.36215,485.80718,063.243668.453
Overige niet-vlottende activa 851.59626,670.04900-0009,228.64814,454.27502,095.6761,474.3212,023.3340.001120.68934.5215,481.744
Totaal niet-vlottende activa 102,677.985107,522.645126,676.086145,863.522151,419.979156,275.869208,195.79164,807.038154,610.462151,616.276177,380.422165,768.989150,979.924132,405.092135,312.62199,693.99375,732.81
Totaal activa 160,373.499174,626.137196,467.021192,098.72183,165.054193,296.432251,698.38211,971.928222,831.034226,081.037291,282.318291,897.548281,438.687214,046.273209,273.585171,920.636146,813.482
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 12,980.7813,976.51611,927.7577,726.4869,100.10710,283.36712,276.85813,561.98319,699.24516,707.50842,432.16232,698.35839,497.28817,831.9719,356.8316,812.80511,153.251
Kortlopende schulden 46,381.04158,028.78663,485.63668,196.12237,392.5155,618.56688,173.11665,771.37891,501.62690,745.96698,672.80197,881.78103,595.97646,036.79649,943.60557,670.30438,962.295
Belastingschulden 1,014.0431,785.22200006.89487.463000955.2091,621.0872,167.0481,326.8781,805.118729.6
Uitgestelde opbrengsten 79.9950.29912,939.45912,928.24411,690.95813,273.20613,043.4119,287.65910,014.78611,034.80912,403.18418,392.28712,988.7692,167.0481,326.8781,805.1187,501.209
Overige kortlopende verplichtingen 14,736.00916,333.029528.749328.263501.22500.0010.001-00-0-01,4488,459.218,995.8297,025.586-0.001
Totaal kortlopende verplichtingen 74,177.8288,388.6388,881.60189,179.11558,684.879,175.139113,493.38688,621.021121,215.657118,488.284153,508.146148,972.425157,530.03374,495.02569,623.14373,313.81357,616.754
Langlopende verplichtingen:
Langetermijnschulden 7,892.085,377.55521,844.01925,816.46132,272.2836,811.6835,633.90223,357.6219,499.44621,920.05741,206.34845,862.71527,783.55539,718.35447,302.81913,477.33132,207.057
Uitgestelde opbrengsten niet-vlottend 912.0441,014.85791.20625.29832.37841.41252.846002,448.38213,471.114,684.169001,606.0742,192.1663,081.032
Uitgestelde belastingverplichtingen niet-vlottend 3,375.8453,391.9976,428.5835,191.3634,002.30933.27649.98600733.1991,673.5661,269.6175,184.9365,828.4026,632.5296,204.73936.418
Overige niet-vlottende verplichtingen 27,208.38127,476.20631,928.6210-0.0013,825.2015,138.3062,722.9521,786.193-0002,615.611,966.9340.002-0.0010.001
Totaal niet-vlottende verplichtingen 39,388.3537,260.61560,292.42931,033.12336,306.9710,711.56441,475.0426,080.57221,285.63925,101.63856,351.01461,816.50135,584.10147,513.6955,541.42421,874.23535,324.508
Totaal passiva 113,566.169125,649.245149,174.03120,212.23894,991.7789,886.703154,968.426114,701.593142,501.296143,589.921209,859.16210,788.926193,114.134122,008.715125,164.56695,188.04892,941.261
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 31,755.61431,755.61431,755.61499,236.29779,236.29779,236.29758,362.73958,362.73941,687.73936,000.53536,000.53536,000.53523,500.53523,500.53523,490.6823,490.6823,468.019
Ingehouden winsten -87,860.277-59,569.345-140,992.859-91,098.287-54,743.002-37,513.332-21,636.074-11,666.903-12,113.0581,036.67519,772.97321,479.50743,113.25325,085.39717,308.88110,574.9269,736.416
Overige gereserveerde algehele resultaten 42,355.25241,864.1541,920.03342,590.45143,227.96543,508.10438,991.75234,123.40374,503.68100000000
Overige totale aandeelhoudersvermogen 60,221.56935,278.569114,633.0220,960.93920,159.52517,675.810,882.2076,852.339-33,054.65534,934.80221,092.20521,100.14219,969.26342,292.85742,283.58542,666.98220,667.786
Totaal eigen vermogen van aandeelhouders 46,472.15849,328.98847,315.80971,689.40187,880.785102,906.86986,600.62487,671.57771,023.70771,972.01276,865.71378,580.18586,583.05190,878.78983,083.14676,732.58853,872.221
Totaal eigen vermogen 45,895.28648,976.89247,292.99171,886.48288,173.284103,409.72996,729.95497,270.33580,329.73982,491.11581,423.15881,108.62188,324.55392,037.55884,109.01876,732.58853,872.221
Totaal passiva en aandeelhoudersvermogen 160,373.499174,626.137196,467.021192,098.72183,165.054193,296.432251,698.38211,971.928222,831.034226,081.037291,282.318291,897.548281,438.687214,046.273209,273.585171,920.636146,813.482