FILA Holdings Corporation

KRX:081660.KS

37450 (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 585,613.513407,410.626699,203.591470,647.553232,032.424149,001.325107,696.148149,389.36546,937.86160,092.75460,740.69835,961.83848,328.1524,126.73312,359.25440,010.36723,265.254
Kortetermijnbeleggingen 55,337.3647,445.338,608.7258,675.26914,768.39413,653.37624,586.5912,176.939-3,806.417-2,426.4361,004.6466,956.1844,747.95318,847.1428,058.7595207,734.664
Liquide middelen en kortetermijnbeleggingen 640,950.878414,855.956707,812.316479,322.821246,800.818162,654.701132,282.738161,566.30446,937.86160,092.75461,745.34442,918.02253,076.10342,973.87520,418.01340,015.367230,999.918
Nettovorderingen 456,377.021579,996.108574,571.086589,929.084603,356.647542,960.595443,400.761470,529.594144,640.067125,828.397109,614.071110,539.372122,738.31488,629.2577,776.320174,691.338
Voorraad 1,045,388.1121,290,516.996757,797.015615,551.915735,481.063632,236.89578,366.697608,896.007222,208.181185,845.881170,920.127138,231.318131,034.589107,979.34266,869.31671,597.76556,036.075
Overige vlottende activa 98,936.6267,951.043949.9751,260.4011,171.29625.74330.612-0-0-0-0017,428.3416,453.533-075,422.146-0.002
Totaal vlottende activa 2,241,652.6362,293,320.1032,041,130.3921,686,064.2221,586,809.8231,337,877.9291,154,080.8081,240,991.905413,786.109371,767.032342,279.541291,688.712324,277.346256,036165,063.65187,035.278461,727.329
Niet-vlottende activa:
Materiële vaste activa, netto 600,991.575499,818.525418,218.322405,235.647439,052.048310,716.359323,527.081344,467.3544,530.66939,523.3741,900.52444,747.5143,258.60140,016.63638,769.40416,181.2318,459.261
Goodwill 513,149.293499,952.778454,553.157424,786.122443,656.476425,619.33403,410.211435,995.86753,465.92255,130.94858,690.01357,500.59259,819.49515,393.28115,393.28113,220.11215,393.17
Immateriële activa 1,264,388.4761,240,985.1491,098,234.9921,025,960.4911,104,266.8971,066,329.011,037,016.9561,190,899.176343,170.906326,367.281319,032.96321,973.956345,537.347341,932.295354,359.224327,608.183232,953.952
Goodwill en immateriële activa 1,777,537.7691,740,937.9271,552,788.1491,450,746.6131,547,923.3731,491,948.341,440,427.1671,626,895.043396,636.828381,498.229377,722.973379,474.548405,356.842357,325.576369,752.505340,828.295248,347.122
Langetermijnbeleggingen 294,227.906180,983.608156,989.425124,031.1788,428.76351,818.75523,471.37421,665.79618,662.396180,403.644148,158.693122,625.87327,030.823-4,824.31,833.11414,783.357-200,256.533
Belastingvorderingen 42,125.46153,390.04672,137.12376,390.96374,558.11674,672.05189,760.401107,027.844105,315.6762,038.42759,179.25729,618.52432,195.6369,477.4377,228.2811,917.77514,684.856
Overige niet-vlottende activa 23,614.20453,351.16947,593.40415,972.63433,477.00537,306.07447,657.38843,866.961-0-02,115.1428,646.7967,292.80722,635.60512,838.8627,355.167225,294.056
Totaal niet-vlottende activa 2,738,496.9142,528,481.2752,247,726.4242,072,377.0272,183,439.3051,966,461.581,924,843.4112,143,922.994565,145.562663,463.67629,076.589585,113.252515,134.709424,630.953430,422.166391,065.824306,528.762
Totaal activa 4,980,149.5514,821,801.3784,288,856.8153,758,441.2493,770,249.1283,304,339.5083,078,924.2183,384,914.899978,931.6711,035,230.701971,356.13876,801.964839,412.055680,666.954595,485.816578,101.102768,256.092
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 256,476.816288,124.127295,437.554202,389.256212,210.77221,732.179161,393.549149,414.69673,619.78165,846.81171,957.58654,448.96243,871.20246,082.77942,717.73441,291.40285,909.076
Kortlopende schulden 486,134.096412,998.504317,055.312386,740.32328,803.848174,629.962285,116.84584,311.888146,037.286,486.3191,868.66139,727.598125,875.28386,052.351105,250.896138,693.277240,217.749
Belastingschulden 55,064.73170,285.441108,288.42142,320.63876,579.15153,121.61935,206.07653,121.9361,425.5631,762.4441,231.8915,649.95711,213.3459,525.9056,762.7937,391.2575,533.012
Uitgestelde opbrengsten 45,098.49341,953.422438,890.671406,330.157326,341.3953,121.619248,070.186459,308.9147,435.32242,271.41244,514.12551,455.09457,796.62542,455.1148,902.51350,080.7825,533.012
Overige kortlopende verplichtingen 373,564.6349,601.795.147-00.001222,831.903004,537.162,655.6261,417.3231,629.43414,957.11213,279.23200.00149,440.99
Totaal kortlopende verplichtingen 1,161,274.0051,092,677.8431,051,388.684995,459.733867,356.009672,315.663694,580.5751,193,035.494271,629.463197,260.16209,757.694247,261.087242,500.221187,869.472196,871.143230,065.462381,100.827
Langlopende verplichtingen:
Langetermijnschulden 864,302.559875,886.255505,778.434615,772.451728,911.193808,534.943861,514.783592,521.903167,935.479206,747.027189,738.579135,976.939214,889.318105,245.544135,438.349147,189.705172,311.783
Uitgestelde opbrengsten niet-vlottend 6,665.63115,483.59916,208.82616,339.27220,116.62328,327.58817,255.45723,024.29528,165.1336,156.41546,552.69240,021.2640012,906.19825,891.48928,549.948
Uitgestelde belastingverplichtingen niet-vlottend 108,377.562125,235.37268,303.093131,453.49187,117.025142,583.05175,846.89255,202.30436.30635.78141.61236,825.8540084,952.4059,649.79311,802.553
Overige niet-vlottende verplichtingen 285,610.889137,954.976140,688.542142,088.496165,804.66146,084.388195,396.553218,968.07732,063.32334,819.22333,258.9282,612.9483,426.84971,415.4752,193.04125,999.22815,664.645
Totaal niet-vlottende verplichtingen 1,264,956.6411,154,560.2930,978.895905,653.7091,101,949.5021,125,529.9691,150,013.686889,716.579228,200.238277,758.446269,591.81215,436.997298,316.167176,661.018235,489.992208,730.215228,328.929
Totaal passiva 2,426,230.6462,247,238.0431,982,367.5791,901,113.4421,969,305.5111,797,845.6321,844,594.2612,082,752.073499,829.701475,018.605479,349.504462,698.084540,816.388364,530.49432,361.136438,795.676609,429.756
Eigen vermogen:
Preferente aandelen 00059,487.34609,643.12955,193.8270000000014,597.50514,597.505
Gewone aandelen 61,115.0761,115.0761,115.0761,115.0761,115.0761,115.0761,115.0757,040.0756,540.0752,240.0749,690.0749,690.0747,375.3245,335.36526,585.36526,585.36526,585.365
Ingehouden winsten 1,606,005.8881,649,916.5231,405,994.4161,179,341.5541,075,046.521817,777.012679,659.006665,101.319296,173.224426,454.813371,015.566285,438.248166,601.688168,955.08886,835.51820,627.30675,437.891
Overige gereserveerde algehele resultaten 203,915.276145,652.32263,098.338-59,487.3468,611.791-9,643.129-55,193.82733,944.847160,628.26200000000
Overige totale aandeelhoudersvermogen 37,122.08219,879.53980,737.52851,979.501104,880.192112,785.7658,216.217101,512.841-33,434.11686,707.27281,055.88587,187.6294,990.219101,846.01149,703.79777,495.2542,205.575
Totaal eigen vermogen van aandeelhouders 1,908,158.3171,876,563.4541,610,945.3521,292,436.1251,249,653.574991,677.842798,990.293857,599.077479,907.44565,402.155501,761.521422,315.938308,967.227316,136.464163,124.68139,305.426158,826.336
Totaal eigen vermogen 2,553,918.9052,574,563.3352,306,489.2361,857,327.8071,800,943.6181,506,493.8761,234,329.9561,302,162.826479,101.97560,212.096492,006.626414,103.88298,595.667316,136.464163,124.68139,305.426158,826.336
Totaal passiva en aandeelhoudersvermogen 4,980,149.5514,821,801.3784,288,856.8153,758,441.2493,770,249.1283,304,339.5083,078,924.2173,384,914.899978,931.6711,035,230.701971,356.13876,801.964839,412.055680,666.954595,485.816578,101.102768,256.092