Hyundai Rotem Company

KRX:064350.KS

63100 (KRW) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 288,062.752506,008.248319,728.259338,727.778382,485.797367,894.652435,786.012580,209.127253,279.712115,713.593116,634.831113,383.567
Kortetermijnbeleggingen 703,679.936391,322.41710,876.3204,330.2837,814.57344,430.82954,817.97955,780.02370,808.07976,424.6161,931.33363,818.172
Liquide middelen en kortetermijnbeleggingen 991,742.688897,330.665330,604.559543,058.058420,300.37412,325.481490,603.991635,989.15324,087.791192,138.203178,566.164177,201.739
Nettovorderingen 1,607,253.3121,737,298.2151,707,594.891,635,970.6241,612,671.7021,529,845.9291,564,625.8711,754,417.4750000
Voorraad 268,698.882235,504.483262,147.02250,962.485264,445.883208,500.666194,948.902221,711.088213,945.47215,059.276193,458.689157,754.976
Overige vlottende activa 822,472.3672,185,715.024379,406.804399,853.594411,746.871422,489.8071,934,325.696297,548.6882,867,766.4122,321,268.6662,204,585.4321,641,213.661
Totaal vlottende activa 3,690,167.2493,318,550.1722,679,753.2732,778,276.4872,709,164.8262,573,161.8832,619,878.5892,909,666.4013,405,799.6732,728,466.1452,576,610.2851,976,170.376
Niet-vlottende activa:
Materiële vaste activa, netto 1,248,289.9751,213,678.0591,200,517.7121,169,767.6891,097,625.611,114,397.171,160,439.1051,241,462.0831,353,847.5311,369,369.2331,427,659.281,391,868.125
Goodwill 000000000000
Immateriële activa 92,131.32978,604.05878,687.27882,920.22393,048.451117,745.17139,746.745144,389.417158,892.041182,157.873154,201.2149,815.467
Goodwill en immateriële activa 92,131.32978,604.05878,687.27882,920.22393,048.451117,745.17139,746.745144,389.417158,892.041182,157.873154,201.2149,815.467
Langetermijnbeleggingen 140,882.141-335,420.43532,546.309-163,022.748-2,975.676-14,654.11-29,898.383-30,405.673-46,424.792-46,507.615-32,764.4184,047.78
Belastingvorderingen 159.0685,240.492280.242214.4487,577.3278,603.7761,624.2371,814.561,720.5781,118.394655.155547.12
Overige niet-vlottende activa 69,855.013543,217.438115,397.858329,217.772179,840.696202,896.086192,121.582206,232.9170,112.234166,224.291148,535.689147,910.964
Totaal niet-vlottende activa 1,551,317.5261,505,319.6121,427,429.3991,419,097.3841,375,116.4081,428,988.0921,464,033.2861,563,493.2871,638,147.5921,672,362.1761,698,286.9061,694,189.456
Totaal activa 5,241,484.7754,823,869.7844,107,182.6724,197,373.8714,084,281.2344,002,149.9754,083,911.8754,473,159.6885,043,947.2654,400,828.3214,274,897.1913,670,359.832
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 465,113.56343,057.822305,782.478377,116.33340,038.726883,626.096788,805.519671,366.402926,442.823831,154.014820,136.985917,362.094
Kortlopende schulden 338,558.002702,934.913699,455.216808,931.945831,473.925465,599.175317,573.656699,833.603786,432.822293,352.136505,228.293388,363.969
Belastingschulden 616.4219,921.005886.412533.4931,450.416981.842503.6791,309.23606.226536.16321,962.42411,176.965
Uitgestelde opbrengsten 1,789,660.7051,316,027.4091,085,431.31862,853.101776,372.058549,795.096503.679270,013.301606.226536.16321,962.42411,176.965
Overige kortlopende verplichtingen 611,338.112210,708.9760.001181,439.083344,084.873-169,556.205234,912.51-0.001274,053.613185,852.395236,104.59134,025.74
Totaal kortlopende verplichtingen 3,204,670.3792,572,729.122,090,669.0052,230,340.4592,291,969.5821,729,464.1621,341,795.3641,641,213.3051,987,535.4841,310,894.7081,583,432.2921,450,928.768
Langlopende verplichtingen:
Langetermijnschulden 246,273.559452,450.855540,560.241360,350.103672,751.597926,464.0481,089,417.8941,112,940.6511,357,222.8951,081,557.338601,651.164760,715.588
Uitgestelde opbrengsten niet-vlottend 17,780.74114,151.44212,465.6911,651.45517,872.52716,688.974149,266.292194,662.658184,773.395167,670.81400
Uitgestelde belastingverplichtingen niet-vlottend 10,196.22788.58595,039.829109,190.45833,754.67633,959.62544,742.89246,116.17145,717.6656,783.90272,382.80462,477.123
Overige niet-vlottende verplichtingen 115,587.713292,979.19100,202.806139,689.935185,052.69187,579.02640,390.54811,060.34731,032.89145,250.727227,907.855213,012.218
Totaal niet-vlottende verplichtingen 389,838.24759,670.072748,268.566620,881.951909,431.491,164,691.6731,323,817.6261,364,779.8271,618,746.8411,351,262.781901,941.8231,036,204.929
Totaal passiva 3,594,508.6193,332,399.1922,838,937.5712,851,222.413,201,401.0722,894,155.8352,665,612.993,005,993.1323,606,282.3252,662,157.4892,485,374.1152,487,133.697
Eigen vermogen:
Preferente aandelen 000000000000
Gewone aandelen 545,711.465545,711.465545,711.465545,711.465425,000425,000425,000425,000425,000425,000425,000319,700
Ingehouden winsten 115,346.156167,724.232-48,266.366-119,925.928-161,332.118210,636.61512,932.873559,177.23527,930.969828,183.24882,362.907758,580.626
Overige gereserveerde algehele resultaten 498,957.073488,902.004477,597.797469,353.594201,367.476199,947.294200,785.301202,013.5490000
Overige totale aandeelhoudersvermogen 519,839.907318,009.312318,009.312468,332.122359,005.098208,389.934205,245.295205,794.629405,806.387407,804.749406,132.25635,481.295
Totaal eigen vermogen van aandeelhouders 1,679,854.6011,520,347.0131,293,052.2081,363,471.253824,040.4561,043,973.8381,343,963.4691,391,985.4081,358,737.3561,660,987.9891,713,495.1631,113,761.921
Totaal eigen vermogen 1,646,976.1561,491,470.5921,268,245.1011,346,151.461882,880.1611,107,994.141,418,298.8851,467,166.5561,437,664.941,738,670.8321,789,523.0761,183,226.135
Totaal passiva en aandeelhoudersvermogen 5,241,484.7754,823,869.7844,107,182.6724,197,373.8714,084,281.2334,002,149.9754,083,911.8754,473,159.6885,043,947.2654,400,828.3214,274,897.1913,670,359.832