Halla Holdings Corp.

KRX:060980.KS

35300 (KRW) • At close September 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 175,372.088139,221.885168,537.207141,753.802113,213.84985,620.327123,411.301104,265.449149,523.591165,866.014718,276.909214,509.23335,698.103123,477.02174,079.8351,201.223184,434.029
Kortetermijnbeleggingen 3,645.65461,016.7424,236.137,798.0462,738.58113,929.10442,113.04213,265.0243,236.5321,797.97143,359.49516,731.3227,507.48326,243.03213,256.62525,831.3637,226.976
Liquide middelen en kortetermijnbeleggingen 179,017.742200,238.627172,773.337149,551.848115,952.4399,549.431165,524.344117,530.473152,760.123167,663.984861,636.404231,240.55363,205.586149,720.052187,336.45577,032.586191,661.005
Nettovorderingen 234,340.934256,357.925214,610.217145,679.777136,457.699190,753.081166,972.615211,067.866186,443.174195,871.5481,204,967.5341,284,695.541,086,373.8560686,276.878429,484.047480,756.299
Voorraad 116,402.378128,833.20599,558.3588,427.03981,171.46678,194.53187,616.07887,546.60295,950.623104,269.409417,395.02420,016.008350,667.661274,900.369223,832.59374,972.234222,764.143
Overige vlottende activa 13,629.85-11,217.407-11,115.242-11,584.072-11,281.2890-0-0.0010-00.0010-0799,005.029-0.001-0.0020.002
Totaal vlottende activa 543,390.903574,212.349475,826.661372,074.591322,300.306368,497.044420,113.036416,144.941435,153.92467,804.9412,483,998.961,935,952.0981,800,247.1031,223,625.451,097,445.925581,488.865895,181.449
Niet-vlottende activa:
Materiële vaste activa, netto 326,774.648287,456.495437,905.407385,737.786307,359.104262,403.196253,429.607336,771.522134,793.608129,676.7351,784,975.3181,664,362.6371,374,866.9761,095,743.302960,417.175607,085.742731,484.882
Goodwill 7,477.4367,477.4367,477.4367,477.43613,467.56613,467.56613,467.56625,371.38324,018.65211,426.4216,410.90511,457.5128,956.0444,924.7126,728.6530902.217
Immateriële activa 19,999.56325,905.51131,566.06338,859.70610,799.76415,723.51919,927.10423,340.88422,073.26711,782.477110,979.59193,125.92369,772.06959,679.72551,537.3440,172.10750,586.883
Goodwill en immateriële activa 27,476.99933,382.94739,043.49946,337.14224,267.3329,191.08533,394.6748,712.26746,091.91923,208.897127,390.496104,583.43578,728.11364,604.43758,265.99340,172.10751,489.1
Langetermijnbeleggingen 1,400,274.4691,140,659.341,175,942.304979,029.039965,511.717908,195.321955,280.186932,084.08930,143.6651,023,591.078364,637.42172,530.40964,747.1522,641.0432,552.45283,296.26121,071.516
Belastingvorderingen 19,999.563625.8123,160.594,363.2035,264.034,864.5243,116.4338,384.08729,552.6586,343.4862,176.89339,418.50943,049.62322,521.47318,243.30914,704.36115,780.451
Overige niet-vlottende activa -19,687.263243,527.946163,080.005173,972.441135,700.903150,997.752186,988.995171,939.81330,305.38328,810.517253,952.514117,889.93873,743.43282,461.5747,013.62346,083.64733,904.722
Totaal niet-vlottende activa 1,754,838.4161,705,652.541,819,131.8051,589,439.6121,438,103.0841,355,651.8771,432,209.8911,497,891.771,170,887.2321,211,630.7082,593,132.6422,098,784.9281,635,135.2941,287,971.8221,116,492.55991,342.118853,730.671
Totaal activa 2,298,229.3192,279,864.892,294,958.4671,961,514.2031,760,403.3911,724,148.9211,852,322.9271,914,036.711,606,041.1521,679,435.6495,077,131.6024,034,737.0263,435,382.3962,511,597.2722,213,938.4751,572,830.9831,748,912.12
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 242,234.692236,816.282187,995.993120,980.533117,638.997153,995.129160,707.959157,463.112120,528.421132,996.577967,177.302898,901.526845,263.956587,569.372483,990.942172,151.179415,074.128
Kortlopende schulden 401,156.971272,343.57259,044.815329,512.831332,026.80193,849.938289,780.863166,756.975224,958.947109,535.672618,969.973337,232.54251,373.73898,303.1135,726.0230,607.86848,966.555
Belastingschulden 6,197.77618,809.9519,180.87959.9143,791.2778,436.6219,957.046,132.8656,061.93518,118.60625,111.35617,307.33335,953.93326,387.7648,619.685032,064.868
Uitgestelde opbrengsten 19,634.00421,192.98775,679.69221,571.34544,515.6428,436.6246,279.16446,693.54832,900.35644,962.813268,498.07274,810.588275,503.257267,843.234176,083.155141,598.329177,009.8
Overige kortlopende verplichtingen 36,586.01255,207.02926.2469.644360.06834,057.087978.918686.918110.0060.0010.001-02.5010.0010.002-0.001-0.001
Totaal kortlopende verplichtingen 699,611.678585,559.869522,746.746472,074.353494,541.507290,338.774497,746.904371,600.553378,497.731287,495.0621,854,645.3461,510,944.6541,372,143.452953,715.707795,800.119344,357.375641,050.482
Langlopende verplichtingen:
Langetermijnschulden 331,297.506628,236.689680,402.986507,583.218316,179.884495,745.229353,835.214518,198.639263,270.417425,236.1771,265,397.015730,629.297422,172.449118,292.263354,704.873305,238.439415,830.212
Uitgestelde opbrengsten niet-vlottend 12.173102,757.3242,834.8112,877.448102,724.44724,179.52612,894.048874.7135,705.3535,422.2753,280.9451,645.595495.9173,248.754108,768.469
Uitgestelde belastingverplichtingen niet-vlottend 51,862.08450,467.00462,933.68451,602.29138,193.45934,763.50939,537.52743,562.0648,682.9426,508.02715,214.23813,704.7388,559.74246,752.65430,813.53926,981.6147,126.626
Overige niet-vlottende verplichtingen 205,132.58910,394.19711,643.20640,517.70122,515.77938,043.61524,740.813-0.001014,140.446217,426.316206,680.7218,429.51142,017.547141,243.926120,036.487-0.001
Totaal niet-vlottende verplichtingen 588,304.352689,107.89757,737.199602,538.021379,766.569568,562.353420,838.002585,940.228284,847.407446,759.3621,503,742.922956,437.01652,442.646308,708.059527,258.255455,505.294531,725.306
Totaal passiva 1,287,916.031,274,667.7591,280,483.9451,074,612.374874,308.075858,901.127918,584.906957,540.781663,345.138734,254.4243,358,388.2682,467,381.6642,024,586.0981,262,423.7661,323,058.375799,862.6691,172,775.789
Eigen vermogen:
Preferente aandelen 04,042.674,464.99160,487.43149,243.37952,582.74344,359.74323,849.811000000000
Gewone aandelen 55,086.1855,086.1855,086.1855,086.1855,086.1855,086.1855,086.1855,086.1855,086.1855,086.1891,070.16591,070.16591,070.16591,070.16580,725.65537,239.9837,239.98
Ingehouden winsten 824,750.716739,855.046744,416.783664,931.817615,486.201611,667.485693,259.585658,661.976697,623.5082,373,399.111,321,695.6741,191,094.8941,069,467.635737,834.589546,523.633445,068.95403,796.439
Overige gereserveerde algehele resultaten -14,634.817-4,042.67-4,464.991-60,487.431-49,243.379-52,582.743-44,359.743-23,849.811312,350.90200000000
Overige totale aandeelhoudersvermogen 145,373.453208,791.309212,890.849166,826.019215,505.475198,479.954185,361.888205,871.821-155,364.914-1,512,000.012240,371.578223,033.784201,958.957397,676.917244,365.757290,659.384128,227.965
Totaal eigen vermogen van aandeelhouders 1,010,575.5311,003,732.5341,012,393.812886,844.015886,077.855865,233.619933,707.653919,619.977909,695.675916,485.2781,653,137.4171,505,198.8431,362,496.7571,226,581.671871,615.045772,968.314569,264.384
Totaal eigen vermogen 1,010,313.2891,005,197.1311,014,474.522886,901.829886,095.316865,247.794933,738.021956,495.93942,696.014945,181.2241,718,743.3341,567,355.3621,410,796.2981,249,173.506890,880.1772,968.314576,136.331
Totaal passiva en aandeelhoudersvermogen 2,298,229.3192,279,864.892,294,958.4671,961,514.2031,760,403.3911,724,148.9211,852,322.9271,914,036.711,606,041.1521,679,435.6495,077,131.6024,034,737.0263,435,382.3962,511,597.2722,213,938.4751,572,830.9831,748,912.12