iMarketKorea Inc.

KRX:122900.KS

8150 (KRW) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 174,413.123132,420.10565,318.15283,481.17899,399.06187,181.68485,888.39372,580.39349,461.553135,380.30650,332.01412,352.20266,669.32882,029.6226,966.103704.2913.249
Kortetermijnbeleggingen 68,304.3591,423.012145,988.012165,592.034222,659.834179,065.791188,850.86570,782.32511,310.36422,252.0942,490.98419.48730.16643.3619.88,572.36460
Liquide middelen en kortetermijnbeleggingen 242,717.473223,843.117211,306.164249,073.212322,058.895266,247.475274,739.258143,362.71860,771.917157,632.452,822.99812,371.68966,699.49482,072.9826,985.9039,276.564973.249
Nettovorderingen 661,804.928-0531,739.856525,660.434476,109.171450,053.075476,353.863871,337.177846,052.938654,689.329643,688.136598,648.471443,238.329455,704.94332,108.392249,600.652351,994.063
Voorraad 81,908.5771,579.82471,699.26173,536.72758,408.559129,616.30399,374.45378,312.963104,394.14748,154.27635,541.66922,914.71212,321.0235,871.0474,149.4684,813.7289,728.879
Overige vlottende activa 26,198.12631,836.836551,927.656544,180.608489,446.704469,231.013496,643.789883,129.896860,162.575660,450.276653,776.686600,948.06828,369.659463,791.244332,400.946252,511.322351,994.065
Totaal vlottende activa 1,012,629.09927,259.777834,933.08866,790.547869,128.584865,094.79870,757.4991,104,805.5771,025,328.639866,236.952741,942.533636,638.331550,869.502551,735.273343,536.317266,601.614362,696.193
Niet-vlottende activa:
Materiële vaste activa, netto 140,008.93966,208.76629,533.73539,186.69741,767.73912,951.22210,998.249,956.7511,378.49811,216.23911,177.32412,327.9675,133.052,312.032751.4031,365.8482,130.969
Goodwill 14,478.04714,478.04711,255.46811,422.21111,422.21117,218.62226,804.73635,091.60239,666.07417,212.7165,957.2474,080.62400000
Immateriële activa 103,798.221111,814.277122,200.286121,091.186129,476.053144,861.103157,050.005162,350.376171,823.368175,082.34924,602.0527,063.9175,597.7411,268.9661,308.8681,468.261,753.37
Goodwill en immateriële activa 118,276.268126,292.324133,455.754132,513.397140,898.264162,079.725183,854.741197,441.978211,489.442192,295.06530,559.29731,144.5415,597.7411,268.9661,308.8681,468.261,753.37
Langetermijnbeleggingen 89,847.985-17,771.248-51,368.804-119,690.287-197,981.839-149,058.741-174,365.473-57,411.67-2,180.592-8,133.9351,714.392648.888-19.166-32.36-8.8-8,558.364-46
Belastingvorderingen 6,307.3316,483.454601.816726.378415.018187,209.08787.3711,177.8561,927.1681,270.089488.963537.784147.80415.143100.502140.90289.626
Overige niet-vlottende activa 6,647.439116,481.604173,004.227191,294.349242,649.3-0.001194,895.58478,094.10618,362.46127,601.7975,850.4032,030.8081,678.5284,662.9811,708.19410,189.7752,243.941
Totaal niet-vlottende activa 361,087.962297,694.899285,226.729244,030.533227,748.482213,181.286216,170.463229,259.021240,976.977224,249.25549,790.37946,689.98712,537.9588,226.7623,860.1674,606.4216,171.906
Totaal activa 1,373,717.0531,224,954.6761,120,159.8091,110,821.081,096,877.0661,078,276.0761,086,927.9621,334,064.5981,266,305.6161,090,486.206791,732.913683,328.318563,407.46559,962.035347,396.484271,208.035368,868.1
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 763,566.589679,122.525583,541.188579,937.056547,941.385554,614.938577,068.397798,940.074724,149.156581,453.199407,285.641341,250.756258,967.808282,315.758238,074.699185,214.449292,968.225
Kortlopende schulden 94,714.09843,574.63832,173.6725,206.00227,251.31120,014.24412,289.66111,787.82615,441.1719,577.83915,396.594956.28200000
Belastingschulden 4,409.29815,542.43210,428.4998,173.55612,112.7537,453.1896,447.65610,215.94411,137.6228,241.3396,310.0377,294.695,845.0866,357.5554,850.7793,010.8963,184.575
Uitgestelde opbrengsten 10,417.8193,505.45226,210.76623,889.30827,954.4677,453.18924,491.14328,702.93338,004.82226,970.57218,394.69117,389.48100000
Overige kortlopende verplichtingen 32,891.14819,392.90618,373.14418,100.75915,023.50322,053.96418,043.48618,486.98826,867.218,729.23112,084.65410,094.7919,619.7199,229.256,215.5983,421.1455,189.259
Totaal kortlopende verplichtingen 895,581.133757,632.502644,516.502631,417.373604,692.332604,136.335613,849.201839,430.832777,595.149618,001.608441,076.926359,596.519274,432.613297,902.563249,141.076191,646.49301,342.059
Langlopende verplichtingen:
Langetermijnschulden 22,739.09624,652.0123,462.46125,924.08132,825.3840388.275643.339863.9359.0091,090.23,252.75500000
Uitgestelde opbrengsten niet-vlottend 22,660.05603,523.7184,377.6653,850.59401,454.778142.107142.107142.1074,742.5914,435.61300000
Uitgestelde belastingverplichtingen niet-vlottend 22,836.28524,717.20229,048.05127,761.26728,979.99931,238.97730,621.52533,901.94634,067.20933,421.8982.1510.66807.6640151.7060
Overige niet-vlottende verplichtingen 32,188.6347,778.9482,834.98626.7593,850.5941,373.584142.1072,493.4534,588.7845,805.1680.00101,521.5880478.811,391.1821,426.938
Totaal niet-vlottende verplichtingen 77,764.01557,148.1658,869.21562,467.43765,655.97632,612.56132,606.68437,180.84539,662.03439,378.1825,834.9437,689.0361,521.5887.664478.811,542.8881,426.938
Totaal passiva 973,345.149814,780.663703,385.717693,884.81670,348.308636,748.896646,455.885876,611.676817,257.184657,379.789446,911.869367,285.555275,954.201297,910.227249,619.886193,189.379302,768.998
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 18,166.6718,166.6718,166.6718,166.6718,166.6718,166.6718,166.6718,166.6718,166.6718,166.6718,166.6718,166.6718,166.6718,166.6713,666.6713,666.6713,666.67
Ingehouden winsten 2,751.779230,113.905232,947.546256,872.868248,616.959247,761.669251,511.953259,066.747250,071.569226,188.417194,136.395165,080.385134,650.836109,249.38479,850.25460,092.31248,172.758
Overige gereserveerde algehele resultaten 216,067.919216,534.263216,124.152238,504.161246,641.26244,100.184234,923.074229,948.494132,874.07400000000
Overige totale aandeelhoudersvermogen 106,524.077109,667.986112,904.836-152,173.31999,287.993113,615.913-126,054.417114,815.551114,824.817125,674.021290,720.045262,060.185236,698.455213,916.3454,259.6744,259.6744,259.674
Totaal eigen vermogen van aandeelhouders 343,510.445357,948.561364,019.052361,370.379366,071.622379,544.252378,547.28392,048.968383,063.056370,029.108346,765.579317,843.072287,453.26262,051.80897,776.59878,018.65666,099.102
Totaal eigen vermogen 400,371.904410,174.014416,774.092416,936.27426,528.758441,527.18440,472.077457,452.921449,048.433433,106.417344,821.044316,042.762287,453.26262,051.80897,776.59878,018.65666,099.102
Totaal passiva en aandeelhoudersvermogen 1,373,717.0531,224,954.6761,120,159.8091,110,821.081,096,877.0661,078,276.0761,086,927.9621,334,064.5981,266,305.6161,090,486.206791,732.913683,328.318563,407.46559,962.035347,396.484271,208.035368,868.1