BAIKSAN Co,. Ltd

KRX:035150.KS

13820 (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 47,417.23546,699.41565,371.47338,171.79118,308.16116,112.96926,751.13213,555.94812,575.70311,269.763,977.5116,622.3633,771.8622,245.9762,204.4073,964.4582,873.197
Kortetermijnbeleggingen 23,214.94220,462.3745,418.78318,363.95815,406.21924,618.68817,505.60322,175.82519,081.59119,089.09818,178.47118,624.67323,302.28930,637.43525,279.00715,264.29720,064.208
Liquide middelen en kortetermijnbeleggingen 70,632.17767,161.78970,790.25656,535.74933,714.3840,731.65744,256.73535,731.77331,657.29430,358.85822,155.98225,247.03627,074.15132,883.41127,483.41419,228.75522,937.405
Nettovorderingen 74,944.23586,506.12776,504.06974,104.678105,802.68488,312.73351,712.11754,529.1344,638.64847,094.0840,964.78438,524.05735,519.393038,290.91028,739.477
Voorraad 52,889.29552,209.32462,529.78245,987.22457,691.25748,351.66323,012.77426,086.08323,443.2623,435.30922,091.35624,829.18321,154.78220,228.10416,924.49417,444.32814,875.375
Overige vlottende activa 10,321.072-0-40-40-546.905-0000.001000.0010.00140,953.782-0.00136,134.3640.001
Totaal vlottende activa 208,786.78205,877.239209,784.108176,587.651196,661.417177,396.053118,981.626116,346.98699,739.202100,888.24785,212.12388,600.27783,748.32794,065.29782,698.81772,807.44766,552.258
Niet-vlottende activa:
Materiële vaste activa, netto 94,950.46989,450.45779,998.43598,074.13699,044.07975,696.66345,803.8149,302.99745,623.66646,453.56159,170.18962,476.26363,282.49553,987.57458,267.41262,647.99523,889.476
Goodwill 2,077.4552,077.4552,415.7182,415.7183,259.54613,377.482,921.284843.829000000000
Immateriële activa 1,414.844990.191,053.7411,409.5031,592.1473,449.0242,780.6883,767.2913,973.3132,014.912,053.858972.9121,133.163476.649945.0731,491.4031,285.216
Goodwill en immateriële activa 3,492.2993,067.6453,469.4593,825.2214,851.69316,826.5045,701.9724,611.123,973.3132,014.912,053.858972.9121,133.163476.649945.0731,491.4031,285.216
Langetermijnbeleggingen 42,670.32-9,874.4794,635.285-11,795.657-8,509.305-16,095.177-12,528.376-21,434.892-13,732.886-6,531.882-13,242.636-12,800.498-18,689.499-21,411.386-21,540.83-12,384.624-10,810.432
Belastingvorderingen 1,644.2591,832.8371,463.1361,242.281171.431211.207300.718191.72187.6220,176.69119,376.51419,723.25823,803.677202.4642,803.92682.866218.324
Overige niet-vlottende activa 376.34148,519.77330,812.15123,163.738,370.10240,697.38633,587.20137,755.53134,821.386-00-0-031,230.08125,860.34716,894.98421,098.707
Totaal niet-vlottende activa 143,133.687132,996.233120,378.465114,509.681133,928117,336.58372,865.32570,426.47670,873.09962,113.27967,357.92570,371.93669,529.83564,485.38266,335.92868,732.62435,681.291
Totaal activa 351,920.467338,873.472330,162.573291,097.333330,589.417294,732.636191,846.95186,773.462170,612.301163,001.526152,570.048158,972.213153,278.162158,550.679149,034.745141,540.071102,233.548
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 41,990.28442,975.62349,573.50331,869.96635,710.40929,330.30817,252.63217,302.27614,244.87111,28210,335.819,422.7987,843.9929,625.76112,108.31113,116.9627,892.54
Kortlopende schulden 73,218.285,707.88182,351.38283,985.3194,992.40880,533.65726,032.81520,535.5236,620.58134,293.62727,663.06745,042.98550,346.92671,078.54553,427.46243,805.36341,543.835
Belastingschulden 5,246.1776,546.9876,587.8784,428.0578,343.069,308.7993,556.9375,714.4562,167.0021,006.052844.2913,291.19336.157270.785158.8131,137.4450
Uitgestelde opbrengsten 476.252601.43816,273.21619,300.90625,225.4679,308.79915,142.23513,306.7897,793.22117,998.5334,873.1427,892.8424,943.717,022.37158.8131,137.4450
Overige kortlopende verplichtingen 13,504.64216,086.529-00012,331.5730.001052.460.0010-000.00112,977.37916,809.5661,911.076
Totaal kortlopende verplichtingen 129,189.378145,371.471148,198.101135,156.183155,928.284131,504.33758,427.68451,144.58558,711.13463,574.16142,872.0262,358.62563,134.62887,726.67778,671.96574,869.33651,347.451
Langlopende verplichtingen:
Langetermijnschulden 1,6308,715.69228,117.18228,271.36526,689.02318,0004,5608,172.0823,871.2554,387.39410,298.9741,238.2892,033.0971,256.4797,176.8681,757.01676.741
Uitgestelde opbrengsten niet-vlottend 6,761.44903,001.4593,736.4863,503.773,164.8071,764.8792,248.5762,301.071000002,228.22414,896.070
Uitgestelde belastingverplichtingen niet-vlottend 5,006.5643,841.3713,831.2151,500.4022,234.1023,973.1782,053.6812,151.0792,124.7761,105.0133,707.5774,250.0754,252.3153,512.5473,207.29872.9327.479
Overige niet-vlottende verplichtingen 873.014787.6210-0.0010-0-0-001,905.808247.191327.577490.2771,151.3130.0010.0011,069.881
Totaal niet-vlottende verplichtingen 14,271.02713,344.68434,949.85633,508.25332,426.89625,137.9858,378.5612,571.7378,297.1027,398.21514,253.7435,815.9416,775.6895,920.33912,612.39116,725.9871,474.101
Totaal passiva 143,460.405158,716.155183,147.957168,664.435188,355.18156,642.32366,806.24463,716.32267,008.23670,972.37657,125.76268,174.56569,910.31793,647.01591,284.35691,595.32352,821.553
Eigen vermogen:
Preferente aandelen 03,724.3231,324.3864,054.6823,021.054,577.6265,525.3672,076.7722,359.86900000000
Gewone aandelen 14,107.514,102.514,00014,00014,00014,00014,00014,00014,00014,00014,00014,00014,00014,00014,00014,00014,000
Ingehouden winsten 159,045.935134,845.459101,134.17984,189.408101,572.52498,374.61387,954.15481,559.42661,411.23148,493.73853,076.69949,008.20639,229.2587,146.76-3,354.592-10,280.28114,661.139
Overige gereserveerde algehele resultaten -3,195.035-3,724.323-1,324.386-4,054.682-3,021.05-4,577.626-5,525.367-2,076.772-2,359.86900000000
Overige totale aandeelhoudersvermogen 36,115.19429,539.91730,458.66223,057.92726,064.68824,562.11923,077.45626,568.59128,183.54129,525.26928,357.89527,778.99930,126.3443,747.31347,104.98146,252.71120,134.643
Totaal eigen vermogen van aandeelhouders 206,073.593178,487.876145,592.841121,247.334141,637.212136,936.731125,031.611122,128.017103,594.77292,019.00795,434.59490,787.20583,355.59864,894.07357,750.38949,972.4348,795.782
Totaal eigen vermogen 208,460.062180,157.317147,014.617122,432.897142,234.237138,090.313125,040.707123,057.14103,604.06592,029.1595,444.28690,797.64783,367.84564,903.66457,750.38949,944.74949,411.995
Totaal passiva en aandeelhoudersvermogen 351,920.467338,873.472330,162.573291,097.333330,589.417294,732.636191,846.95186,773.462170,612.301163,001.526152,570.048158,972.213153,278.162158,550.679149,034.745141,540.072102,233.548