Hana Financial Group Inc.

KRX:086790.KS

61600 (KRW) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 34,480,45845,756,10931,406,59627,529,81523,719,30024,306,99621,850,69229,226,46219,745,77622,257,73119,343,21818,701,47011,053,1968,687,4678,192,6839,520,1048,211,878
Kortetermijnbeleggingen -64,129,2180000000000000000
Liquide middelen en kortetermijnbeleggingen -29,648,76045,756,10931,406,59627,529,81523,719,30024,306,99621,850,69229,226,46219,745,77622,257,73119,343,21818,701,47011,053,1968,687,4678,192,6839,520,1048,211,878
Nettovorderingen 16,198,9829,501,35110,303,5139,176,56512,661,0097,833,4068,104,0759,902,65010,408,1399,087,9547,915,75110,062,0554,054,8303,512,9931,889,0983,903,7881,640,460
Voorraad 13,449,778-72,820,755-51,761,725-51,273,711-43,870,916-39,899,156-55,294,622-63,140,375000000000
Overige vlottende activa 63,530,31872,820,75551,761,72551,273,71143,870,91639,899,15655,294,62263,140,375000000000
Totaal vlottende activa 63,530,31855,257,46041,710,10936,706,38036,380,30932,140,40229,954,76739,129,11230,153,91531,345,68527,258,96928,763,52515,108,02612,200,46010,081,78113,423,8929,852,338
Niet-vlottende activa:
Materiële vaste activa, netto 6,505,6425,243,0393,539,6693,304,7363,629,3873,036,0712,651,5513,003,1522,873,5752,759,3392,688,4512,700,3311,494,8991,299,5511,619,8011,795,8231,675,596
Goodwill 137,00884,20784,20785,34485,17284,00779,77679,77679,77679,83879,87283,16623,72522,1936,5949,02825,863
Immateriële activa 798,114786,236664,130653,794570,062601,709744,080927,0601,012,0901,178,4941,377,3141,562,044316,370281,753252,40589,27552,458
Goodwill en immateriële activa 935,122870,443748,337739,138655,234685,716823,8561,006,8361,091,8661,258,3321,457,1861,645,210340,095303,946258,99998,30378,321
Langetermijnbeleggingen 5,233,520130,180,128103,421,50299,056,82088,937,97878,935,10179,268,64369,740,67964,534,47858,767,40451,317,85347,845,34729,960,11031,060,22030,779,51334,736,62123,244,095
Belastingvorderingen 364,438428,812302,030161,523168,830154,926150,533153,239000000000
Overige niet-vlottende activa 515,356,955-428,812-302,030-161,523-168,830-154,926-150,533-153,239-68,499,919-62,785,075-55,463,490-52,190,888-31,795,104-32,663,717-32,658,313-36,630,747-24,998,012
Totaal niet-vlottende activa 528,395,677136,293,610107,709,508103,100,69493,222,59982,656,88882,744,05073,750,66768,499,91962,785,07555,463,49052,190,88831,795,10432,663,71732,658,31336,630,74724,998,012
Totaal activa 591,925,995568,873,199502,445,270460,313,302421,506,147385,008,620359,992,234348,177,491326,912,708315,548,246295,188,639283,722,235178,228,882158,497,197150,318,834157,839,087126,248,660
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 24,710,97219,311,01018,224,37117,801,8527,958,6552,518,2614,307,1815,126,258000000000
Kortlopende schulden 62,130,06458,400,16347,551,13539,865,0194,950,6965,045,4047,553,6588,115,223000000000
Belastingschulden 134,109728,389782,822542,277575,301309,685678,253109,46614,57971,67531,00450,588222,725111,291215,88710,113178,051
Uitgestelde opbrengsten 998,5841,026,443880,824828,149552,823530,773306,001281,908000000000
Overige kortlopende verplichtingen 71,953,14282,388,19462,429,25158,784,13158,366,54855,937,50156,438,72157,211,261000000000
Totaal kortlopende verplichtingen 159,792,762161,125,810129,085,581117,279,15171,828,72264,031,93968,605,56170,734,650000000000
Langlopende verplichtingen:
Langetermijnschulden 44,508,57394,591,59383,302,43574,392,99866,331,69862,125,72655,195,32052,763,77652,240,69750,740,08251,277,13452,792,75040,883,17033,886,78029,374,31931,734,11125,354,707
Uitgestelde opbrengsten niet-vlottend 998,5841,026,443880,824828,149552,823530,773306,001281,908000000000
Uitgestelde belastingverplichtingen niet-vlottend 363,5102,259203,288175,938207,857264,392144,676454,068000000000
Overige niet-vlottende verplichtingen 349,686,897435,834,015-1,084,112-1,004,087-760,680294,979,269279,518,293271,287,701-52,240,697-50,740,082-51,277,134-52,792,750-40,883,170-33,886,780-29,374,319-31,734,111-25,354,707
Totaal niet-vlottende verplichtingen 395,557,564531,454,31083,302,43574,392,99866,331,698357,900,160335,164,290324,787,453303,940,964293,654,604274,299,014263,348,006163,407,944147,126,287140,426,931148,538,848116,679,214
Totaal passiva 555,350,326531,454,31083,302,43574,392,99866,331,698357,900,160335,164,290324,787,453303,940,964293,654,604274,299,014263,348,006163,407,944147,126,287140,426,931148,538,848116,679,214
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 1,501,2101,501,2101,501,2101,501,2101,501,2101,501,2101,480,0151,480,0151,480,0151,449,4701,449,4701,215,2491,215,2491,059,2581,059,2581,059,2581,059,258
Ingehouden winsten 20,429,04323,195,29320,824,21217,941,58415,965,05514,224,00312,267,56510,575,3959,481,8478,788,9237,982,8387,139,7515,677,0213,655,9762,791,6922,507,5022,208,825
Overige gereserveerde algehele resultaten 3,389,3442,602,0033,458,7933,419,8833,151,0123,339,6403,383,6633,662,430000000000
Overige totale aandeelhoudersvermogen 10,417,6739,127,9478,434,4207,851,0067,507,1987,364,3196,742,4486,769,85411,187,80610,888,90510,499,6947,391,8357,188,9105,959,7945,695,6715,369,5726,055,444
Totaal eigen vermogen van aandeelhouders 35,737,27036,426,45334,218,63530,713,68328,124,47526,429,17223,873,69122,487,69422,149,66821,127,29819,932,00215,746,83514,081,18010,675,0289,546,6218,936,3329,323,527
Totaal eigen vermogen 36,575,66937,418,88935,499,34031,600,28828,984,77327,108,46024,827,94423,390,03822,971,74421,893,64220,889,62520,374,22914,820,93811,370,9109,891,9039,300,2399,569,446
Totaal passiva en aandeelhoudersvermogen 591,925,995568,873,199502,445,270460,313,302421,506,147385,008,620359,992,234348,177,491326,912,708315,548,246295,188,639283,722,235178,228,882158,497,197150,318,834157,839,087126,248,660