LOTTE Himart Co.,Ltd.

KRX:071840.KS

7680 (KRW) • At close November 12, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 121,378.62576,691.69739,694.813236,481.36949,772.653299,766.687329,405.56157,985.838129,790.642104,861.71462,003.95757,763.094268,730.2203,857.96152,577.27161,830.767167,808.285
Kortetermijnbeleggingen 125,30028,698.16445,000180,00035,00020,50020,50015,5005001,001.6954,780.39514,245.41522,650.3332,157.13418,305.75718,055.39813,228.207
Liquide middelen en kortetermijnbeleggingen 246,678.625105,389.86184,694.813416,481.36984,772.653320,266.687349,905.56173,485.838130,290.642105,863.40966,784.35272,008.509291,380.53236,015.095170,883.027179,886.165181,036.492
Nettovorderingen 62,918.27876,796.30575,039.0377,033.77196,741.426115,764.403111,719.06490,796.90169,364.4174,024.92575,840.1167,077.0341,685.33236,197.97448,812.35869,592.8840
Voorraad 343,261.667471,390.152522,032.309494,196.392532,113.66499,263.442477,954.219461,863.751416,222.561357,113.479339,728.654252,195.756225,876.914202,186.953170,078.861158,782.393149,481.936
Overige vlottende activa 7,904.79481,689.7021,151.9978,099.09698,777.93895,892.955102,140.95994,663.43293,863.88511,186.97546,731.69379,375.10555,750.96550,197.93663,540.15969,592.88242,383.877
Totaal vlottende activa 660,763.364658,469.714682,918.142988,776.858715,664.251915,423.084930,000.739730,013.02640,377.089548,188.788529,084.809403,579.37573,008.409488,399.983404,502.047408,261.44372,902.305
Niet-vlottende activa:
Materiële vaste activa, netto 635,634.727689,808.166747,744.764767,017.61727,801.574412,691.994402,793.544413,010.693421,724.754434,545.597420,719.691390,743.942384,356.606366,837.793381,472.951332,841.908310,335.29
Goodwill 837,579.669837,579.6691,270,704.6941,405,532.3231,475,529.5031,630,910.7481,683,324.0781,683,324.0781,683,324.0781,683,324.0781,683,324.0781,683,324.0781,683,324.0781,683,324.0781,595,114.9561,683,324.078249,507.853
Immateriële activa 13,122.2615,539.71519,871.25417,032.20920,016.16322,510.09224,666.60720,548.40121,249.09710,311.6758,465.9696,879.6334,220.0273,926.2511,774.2562,946.0983,435.045
Goodwill en immateriële activa 850,701.93853,119.3841,290,575.9481,422,564.5321,495,545.6661,653,420.8411,707,990.6851,703,872.4791,704,573.1751,693,635.7531,691,790.0471,690,203.7111,687,544.1051,687,250.3291,596,889.2121,686,270.176252,942.898
Langetermijnbeleggingen 34,632.96136,628.28153,022.205-33,933.198110,791.688100,780.86129,385.15132,205.067127,297.75373,640.80869,647.97153,872.07443,217.615-31,458.049-11,058.789-6,047.1782,030.169
Belastingvorderingen 17,806.97527,565.5223,457.3432,070.0123,282.09234,747.0223,249.276480.60711,240.51424,626.47916.01412.61255.9389.97805,923.7487,431.414
Overige niet-vlottende activa 171,140.99198,628.00965,826.491202,694.56254,480.149031,208.74825,276.9810044,165.73864,682.29380,066.847146,132.0686,516.87176,841.52166,604.594
Totaal niet-vlottende activa 1,709,917.5821,805,749.362,260,626.7512,360,413.5182,391,901.172,201,640.7162,274,627.4012,274,845.8272,264,836.1972,226,448.6382,226,339.4562,199,914.6322,195,241.1122,168,772.112,053,820.2452,095,830.175639,344.365
Totaal activa 2,370,680.9462,464,219.0742,943,544.8933,349,190.3763,107,565.4213,117,063.83,204,628.143,004,858.8482,905,213.2852,774,637.4262,755,424.2652,603,494.0022,768,249.522,657,172.0932,458,322.2922,504,091.6151,012,246.67
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 116,985.10599,135.388148,242.027201,596.315200,137.291204,687.366285,969.398281,453.893193,365.846174,017.786170,425.471128,185.405186,966.128121,251.012168,737.797163,636.701151,623.507
Kortlopende schulden 453,397.91472,332.938223,510.576418,369.578214,822.828129,992.364329,850.3570284,998.05299,733.293-91,204.295560,0000225,097.565140,00051,133.685138,590.445
Belastingschulden 740.591320.22921,403.47430,268.149,421.37221,901.32346,946.11736,737.29922,740.68111,449.85528,682.45419,038.925,658.63628,982.6946,324.93810,497.65421,418.009
Uitgestelde opbrengsten 074,016.308203,810.768225,874.583174,552.96121,901.323231,092.223,689.883160,080.627168,676.512161,204.295104,858.7250129,268.72898,431.84295,819.7821,418.009
Overige kortlopende verplichtingen 143,653.736118,099.002182,407.294195,606.443165,131.589181,538.4184,146.103132,283.242137,339.946137,181.093-28,682.45485,819.82588,604.631100,286.03492,106.90585,322.12475,290.799
Totaal kortlopende verplichtingen 714,777.342763,903.865575,563.372845,840.476589,513.081538,119.453846,911.975450,474.434638,444.522642,427.59401,629.767793,044.13301,229.395475,617.305407,169.64310,590.164386,922.76
Langlopende verplichtingen:
Langetermijnschulden 386,719.898387,875.216525,262.862561,375.757581,534.884499,388.299319,598.702648,999.835468,955.471431,771.55729,121.186299,173.712995,326.1311,114,156.1951,350,252.0151,615,453.568162,172.877
Uitgestelde opbrengsten niet-vlottend 481.137144.76937.11345.5426.59943.97381.180.816165.3711,162.3183,797.1516,053.1756,161.3366,634.25235,567.37600
Uitgestelde belastingverplichtingen niet-vlottend 0015,323.95615,974.30714,591.213774.38412,257.9019,642.3941,282.3481,567.3943,038.7695,750.83411,777.4065,990.8784,944.4561,544.3630
Overige niet-vlottende verplichtingen 18,912.44416,998.66215,323.95515,974.308016,878.65100.00113,537.85512,573.8529,633.25125,057.88825,822.43456,003.4410.00136,893.54145,075.783
Totaal niet-vlottende verplichtingen 406,113.48405,018.647540,623.93577,395.605596,152.697517,085.306331,937.703658,723.046483,941.045447,075.113758,754.438336,035.6091,039,087.3071,182,784.7661,390,763.8481,653,891.472207,248.66
Totaal passiva 1,120,890.8221,168,922.5121,116,187.3011,423,236.081,185,665.7781,055,204.7591,178,849.6781,109,197.481,122,385.5671,089,502.7031,160,384.2041,129,079.7391,340,316.7021,658,402.0711,797,933.4881,964,481.635594,171.42
Eigen vermogen:
Preferente aandelen 000000000000042,602.152,215.7759000
Gewone aandelen 118,038.56118,038.56118,038.56118,038.56118,038.56118,038.56118,038.56118,038.56118,038.56118,038.56118,038.56118,038.56118,038.5652,902.755,1995,19913,647.13
Ingehouden winsten 70,939.299139,635.439672,491.586752,427.529732,714.706876,687.415862,054.233721,787.181607,963.112511,715.747421,507.325300,690.659254,209.215116,632.348-99,320.644-62,144.788140,003.971
Overige gereserveerde algehele resultaten 034,233.53631,124.84628,291.92125,931.1521,917.8397,747.87316,717.445000000000
Overige totale aandeelhoudersvermogen 1,026,554.4661,037,622.5641,057,679.3121,055,488.2071,071,146.3771,067,133.0661,045,685.6681,055,835.6271,056,826.0471,055,380.4161,055,675.0541,058,797.5281,055,675.053786,632.774752,294.674595,655.767264,424.149
Totaal eigen vermogen van aandeelhouders 1,249,790.1241,295,296.5621,827,357.5921,925,954.2961,921,899.6432,061,859.0412,025,778.4621,895,661.3681,782,827.7191,685,134.7231,595,040.0611,474,404.2721,427,922.828998,770.022660,388.805539,609.979418,075.25
Totaal eigen vermogen 1,249,790.1241,295,296.5621,827,357.5921,925,954.2961,921,899.6432,061,859.0412,025,778.4621,895,661.3681,782,827.7191,685,134.7231,595,040.0611,474,414.2621,427,932.818998,770.022660,388.805539,609.979418,075.25
Totaal passiva en aandeelhoudersvermogen 2,370,680.9462,464,219.0742,943,544.8933,349,190.3763,107,565.4213,117,063.83,204,628.143,004,858.8482,905,213.2852,774,637.4262,755,424.2652,603,494.0022,768,249.522,657,172.0932,458,322.2932,504,091.6151,012,246.67