Jahwa Electronics. Co., Ltd

KRX:033240.KS

17500 (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 56,116.50152,257.74135,526.32539,912.61868,068.06536,490.40771,889.91257,663.83359,032.08154,573.12756,136.95726,898.44622,452.93617,067.86614,123.01816,869.5724,883.344
Kortetermijnbeleggingen 4,124.95516,611.6082,086.0657,005.5443,648.23682,620.266131,064.511121,363.253121,817.806118,754.69997,892.232104,890.5864,323.48250,270.23454,883.93345,082.32747,434.574
Liquide middelen en kortetermijnbeleggingen 60,241.45668,869.34937,612.38596,918.158111,716.301119,110.673202,954.423179,027.086180,849.887173,327.826154,029.189131,789.02786,776.41867,338.169,006.95161,951.89772,317.918
Nettovorderingen 156,944.77591,786.057150,106.21870,789.73836,065.39448,360.77357,338.74138,856.20131,599.31835,979.57350,362.71842,710.88531,915.047023,557.85300
Voorraad 80,030.82138,304.74736,605.89930,103.07531,554.25528,172.00224,865.67619,868.88419,931.69717,623.97531,570.62424,763.4435,508.41618,056.12212,608.12415,089.26216,635.077
Overige vlottende activa 2,538.856-02.0823.995289.415518.77509.559595.1444.96419.5814.5913.206-031,263.862-0.00124,107.25718,546.929
Totaal vlottende activa 299,755.908198,960.154224,326.583197,814.965179,625.364196,162.218285,668.399238,347.311232,425.866226,950.955235,967.12199,276.558154,199.881116,658.084105,172.927101,148.416107,499.924
Niet-vlottende activa:
Materiële vaste activa, netto 303,121.747219,413.171149,322.546104,113.574123,103.809114,398.259131,742.138103,263.69577,681.96973,641.55769,222.53354,555.10654,574.59545,906.82942,274.96645,148.19637,977.048
Goodwill 16,979.62722,074.515129.07400000000000000
Immateriële activa 9,003.5126,371.5971,425.4321,737.312,111.2741,435.3451,459.21,398.5861,567.7841,692.0691,694.0011,610.1881,732.4761,547.291,771.5322,041.9572,542.619
Goodwill en immateriële activa 25,983.13928,446.1121,554.5061,737.312,111.2741,435.3451,459.21,398.5861,567.7841,692.0691,694.0011,610.1881,732.4761,547.291,771.5322,041.9572,542.619
Langetermijnbeleggingen 42,513.36926,943.76349,373.798-14,139.492-6,468.913-52,827.365-95,782.35-42,263.699-40,640.945-66,854.619-55,157.214-74,221.441-45,379.829-18,187.676-21,052.984-14,702.348-18,499.923
Belastingvorderingen 17,482.75911,582.8018,695.1426,751.5745,674.3474,786.2582,234.5941,848.89925.8211,199.7352,396.463,005.3873,067.491148.74328.864048,690.721
Overige niet-vlottende activa 3,790.54920,442.6744,671.26959,710.16144,409.30588,248.133135,459.764124,203.209127,318.079122,951.174102,950.977110,486.08168,683.36751,707.24956,386.31646,388.493736.121
Totaal niet-vlottende activa 392,891.563306,828.52213,617.261158,173.127168,829.822156,040.631175,113.346188,450.682166,852.708132,629.916121,106.75795,435.32282,678.181,122.43579,408.69478,876.29871,446.586
Totaal activa 692,647.471505,788.674437,943.843355,988.092348,455.187352,202.849460,781.745426,797.993399,278.574359,580.871357,073.877294,711.88236,877.981197,780.519184,581.622180,024.714178,946.51
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 48,506.6114,581.16716,246.64216,468.30215,095.08421,275.73726,488.05126,706.12421,918.05316,539.16130,503.08923,877.84625,160.86815,870.3498,852.2448,225.2727,702.304
Kortlopende schulden 135,311.30230,806.49830,698.88427,693.3225,447.4629,810.931112,262.7147,202.30936,379.47437,381.74629,284.01532,289.10138,266.17129,942.55328,199.98728,715.67821,251.266
Belastingschulden 59.89751.0652,292.41518.47312.13179.8754,581.8024,336.5112,220.1841,413.3736,753.2928,217.5684,847.223490.966481.7482,062.8483,267.273
Uitgestelde opbrengsten 686.5962,927.41790,263.98922,297.85826,685.97179.87529,442.77124,672.29616,155.1519,091.4329,697.3732,801.65417,940.2959,070.2258,534.9382,062.8483,267.273
Overige kortlopende verplichtingen 35,794.80586,328.49-0.0010-0.00122,070.276-0-0-0-00.0010.0010.001-0.0010.0019,234.8898,071.657
Totaal kortlopende verplichtingen 220,299.313134,643.572137,209.51466,459.4867,228.51373,336.819168,193.53298,580.72974,452.67773,012.33789,484.47588,968.60281,367.33554,883.12645,587.1748,238.68740,292.5
Langlopende verplichtingen:
Langetermijnschulden 89,890.42526,259.649743.50515,569.151,144.3881,5001,5001,5000001,2001,200003,5003,724
Uitgestelde opbrengsten niet-vlottend 00000007,570.9520002,704.8172,113.68001,616.1520
Uitgestelde belastingverplichtingen niet-vlottend 0000000107.9861,568.068952.959158.57824.843166.397525.7022,887.9081,320.2543,726.054
Overige niet-vlottende verplichtingen 2,707.7551,727.711,246.3251,506.4481,480.455404.3277,457.3334,349.05248,355.98726,261.14327,414.8030170501.574631.562-0.0012,078.159
Totaal niet-vlottende verplichtingen 92,598.1827,987.3591,989.8317,075.5982,624.8431,904.3278,957.3343,527.9949,924.05527,214.10227,573.3813,929.663,650.0771,027.2763,519.476,436.4059,528.213
Totaal passiva 312,897.493162,630.932139,199.34583,535.07969,853.35775,241.146177,150.862142,108.719124,376.732100,226.439117,057.85592,898.26385,017.41255,910.40249,106.6454,675.09249,820.713
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 11,077.93510,125.4728,9508,9508,9508,9508,9508,9508,9508,9508,9508,9108,9108,9108,9108,9108,910
Ingehouden winsten -13.181226,963.002264,693.94244,307.723242,296.63244,031.489257,500.281243,982.472236,050.836224,370.444206,701.786170,234.473130,887.773113,994.821113,096.211109,166.067103,541.453
Overige gereserveerde algehele resultaten 218,800.388262,904.97245,388.593241,083.304231,773.183224,898.148218,210.872218,239.27326,253.46300000000
Overige totale aandeelhoudersvermogen 149,884.817-156,835.723-220,288.06-221,888.06-204,418.06-200,918.06-201,030.45-196,434.721-5,965.15215,941.25814,914.06613,045.2712,819.35710,438.2136,765.807708.8275,212.754
Totaal eigen vermogen van aandeelhouders 379,749.96343,157.721298,744.473272,452.967278,601.753276,961.577283,630.702274,737.024265,289.148249,261.702230,565.852192,189.744142,617.13133,343.034128,772.018118,784.894117,664.207
Totaal eigen vermogen 379,749.978343,157.742298,744.499272,453.013278,601.83276,961.702283,630.884284,689.274274,901.842259,354.432240,016.022201,813.617151,860.569141,870.118135,474.982125,349.622129,125.796
Totaal passiva en aandeelhoudersvermogen 692,647.471505,788.674437,943.843355,988.092348,455.187352,202.849460,781.745426,797.993399,278.574359,580.871357,073.877294,711.88236,877.981197,780.52184,581.622180,024.714178,946.509