Hyosung ITX Co. Ltd.

KRX:094280.KS

12650 (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 4,084.63618,332.906277.8833,481.517554.4261,340.717827.2597,022.879462.461512.55328.486126.663277.2167.56818,166.60617,661.0965,508.253
Kortetermijnbeleggingen 429.317428.569435.922450.879730.176886.862457.196187.1632,955.223,642.1543,033.47-8,075.787-7,579.642010,759.9285,035.6530
Liquide middelen en kortetermijnbeleggingen 4,513.95418,761.475713.8063,932.3961,284.6022,227.5791,284.4567,210.0433,417.6814,154.7043,361.956126.663277.2167.56828,926.53422,696.7495,508.253
Nettovorderingen 65,679.164,972.9957,195.17448,987.3652,649.75555,256.35163,915.99643,690.9143,982.53839,579.58929,770.54723,198.27821,926.08415,859.34854,772.69546,793.69916,402.816
Voorraad 15,030.298,442.8297,939.3674,555.5795,953.9625,023.7126,683.1494,343.8574,151.2013,832.6172,683.4323,477.6832,605.0033,553.45712,390.95413,039.3234,259.777
Overige vlottende activa 2,161.9310.00100-00.001-00-000-0-0-0.001-0.0011.7186,000
Totaal vlottende activa 87,385.27592,177.29565,848.34857,475.33559,888.31862,507.64371,883.60155,244.81151,551.4247,566.91135,815.93626,802.62424,808.29619,480.37296,090.18282,531.48932,170.846
Niet-vlottende activa:
Materiële vaste activa, netto 51,678.94349,588.63654,271.1545,098.20744,078.06413,982.82214,167.8912,458.78312,026.74710,975.89616,747.7299,183.59711,682.67613,977.77533,832.77331,552.28911,885.442
Goodwill 0000000000000023,348.59213,699.2199.833
Immateriële activa 5,631.3923,631.2313,112.8082,545.9674,054.0834,018.4994,118.7523,952.4393,158.1333,289.515941.5331,149.7421,327.871839.476-337.8753,664.834186.062
Goodwill en immateriële activa 5,631.3923,631.2313,112.8082,545.9674,054.0834,018.4994,118.7523,952.4393,158.1333,289.515941.5331,149.7421,327.871839.47623,010.71717,364.053195.895
Langetermijnbeleggingen 28,814.3527,983.38296,660.44131,077.29726,690.74420,222.44440,361.92735,156.64434,225.5620,939.40513,879.81930,695.25118,933.41506,118.4515,563.3040
Belastingvorderingen 24,157.4052,561.61121,512.0184,293.1434,101.755,251.2681,285.9112,091.242,143.7914,209.7865,394.3173,857.4214,973.51400.3031,979.4961,089.798465.745
Overige niet-vlottende activa 79.15720,876.582-0.00121,208.6220,528.67715,432.5315,696.02813,461.66517,079.51916,257.88412,961.5350-023,476.04118,746.99312,171.0846,663.085
Totaal niet-vlottende activa 110,361.24984,641.441175,556.416104,223.23599,453.31858,907.56375,630.50967,120.77168,633.75155,672.48649,924.93344,886.01136,917.47338,693.59583,688.42977,740.52819,210.167
Totaal activa 197,746.524176,818.736241,404.764161,698.57159,341.637121,415.206147,514.11122,365.581120,185.171103,239.39785,740.86971,688.63561,725.76958,173.967179,778.611160,272.01751,381.013
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 20,529.7117,513.547,451.5175,596.1398,674.84814,558.48714,794.0339,902.18614,329.12811,646.2697,538.221,597.699268.989282.36436,152.5320,049.9591,130.522
Kortlopende schulden 14,732.17632,239.3836,189.38431,259.03536,617.04716,051.38423,434.83121,258.95621,996.05117,102.80316,028.44114,373.1613,862.90618,083.05744,740.79344,128.860
Belastingschulden 965.64312,286.7649,446.9449,309.3666,894.4047,154.1077,817.5226,732.0595,917.5195,775.1515,984.0543,882.3383,767.0863,671.9083,575.3394,533.1192,062.978
Uitgestelde opbrengsten 275.484541.14363,180.51351,996.86136,182.6497,154.10739,032.2529,579.83623,455.73724,129.03925,317.72321,884.99520,283.0393,671.9083,575.33923,305.5650
Overige kortlopende verplichtingen 52,524.89854,980.3340.0010027,427.1660.001-00.0010-0.0010-012,514.7619,443.906-0.00111,681.085
Totaal kortlopende verplichtingen 88,062.26995,274.397106,821.41588,852.03581,474.54565,191.14477,261.11460,740.97859,780.91752,878.11148,884.38337,855.85434,414.93434,552.089103,912.56887,484.38312,811.607
Langlopende verplichtingen:
Langetermijnschulden 15,640.16112,512.16516,395.79415,854.64417,684.08200002,00000001,581.9082,6100
Uitgestelde opbrengsten niet-vlottend 004,396.018-12,774.5540000000000000
Uitgestelde belastingverplichtingen niet-vlottend 21,461.71010,472.13412,774.55409,465.48912,171.959,965.7630000000901.730
Overige niet-vlottende verplichtingen 2,368.3833,283.61707,567.0028,455.733-1,014.701-4,367.254-1,462.8169,787.5049,108.2128,011.0095,971.4385,750.3152,916.7622,700.8323,241.6751,133.478
Totaal niet-vlottende verplichtingen 39,470.25515,795.78231,263.94623,421.64626,139.8148,450.7887,804.6968,502.9479,787.50411,108.2128,011.0095,971.4385,750.3152,916.7624,282.746,753.4051,133.478
Totaal passiva 127,532.523111,070.18138,085.361112,273.681107,614.35973,641.93285,065.81169,243.92569,568.42163,986.32356,895.39243,827.29240,165.2537,468.852108,195.30894,237.78813,945.084
Eigen vermogen:
Preferente aandelen 434.9434.9434.9434.9434.9434.9434.9434.9434.9434.9435434.9434.9434.9434.9434.9434.9
Gewone aandelen 6,2145,779.15,779.15,779.15,779.15,779.15,779.15,779.15,779.15,779.15,7795,779.15,779.15,779.15,779.15,779.15,779.1
Ingehouden winsten 49,515.26748,156.23628,523.49225,270.96324,838.83924,428.43926,736.54121,146.2216,605.83811,876.4957,958.5083,096.026-253.9742,107.9972,324.9983,524.97314,113.129
Overige gereserveerde algehele resultaten 2,094.712,095.29759,298.8878,469.5716,015.3922,315.4514,682.06210,954.352000000000
Overige totale aandeelhoudersvermogen 11,955.1249,283.0249,283.0249,470.35514,659.04614,815.38414,815.69614,807.08527,796.91121,162.57914,672.96918,551.31715,600.49412,383.11812,308.82117,366.58717,108.8
Totaal eigen vermogen van aandeelhouders 70,21465,748.557103,319.40349,424.88951,727.27747,773.27462,448.29953,121.65750,616.74939,253.07428,845.47727,861.34321,560.5220,705.11520,847.81927,105.5637,435.929
Totaal eigen vermogen 70,21465,748.557103,319.40349,424.88951,727.27747,773.27462,448.29953,121.65750,616.74939,253.07428,845.47727,861.34321,560.5220,705.11571,583.30466,034.22937,435.929
Totaal passiva en aandeelhoudersvermogen 197,746.524176,818.736241,404.764161,698.57159,341.637121,415.206147,514.11122,365.581120,185.17103,239.39785,740.86971,688.63561,725.76958,173.967179,778.612160,272.01751,381.013