DGB Financial Group Co., Ltd.

KRX:139130.KS

8350 (KRW) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,067,699.1434,300,700.6694,492,363.9744,296,587.2043,181,315.8192,720,641.1182,254,811.2562,547,299.462,092,476.8851,760,231.0211,496,883.6871,183,977.1551,427,705.024
Kortetermijnbeleggingen -8,096,992.143000000000000
Liquide middelen en kortetermijnbeleggingen -3,029,2934,300,700.6694,492,363.9744,296,587.2043,181,315.8192,720,641.1182,254,811.2562,547,299.462,092,476.8851,760,231.0211,496,883.6871,183,977.1551,427,705.024
Nettovorderingen 856,0151,043,6521,155,2361,589,3491,495,8961,331,212617,442754,5661,528,636531,7641,396,7581,155,421953,846
Voorraad 2,173,278-5,727,573.704-5,633,502.928-5,916,133.737-4,836,771.151-4,224,080.235-3,672,263.713-4,068,298.16300000
Overige vlottende activa 6,397,701.3565,727,573.7045,633,502.9285,916,133.7374,836,771.1514,224,080.2353,672,263.7134,068,298.16300000
Totaal vlottende activa 6,397,701.3565,344,352.6695,647,599.9745,885,936.2044,677,211.8194,051,853.1182,872,253.2563,301,865.463,621,112.8852,291,995.0212,893,641.6872,339,398.1552,381,551.024
Niet-vlottende activa:
Materiële vaste activa, netto 813,539.621837,817.69826,710.82754,278.718790,527.33741,912.088475,481428,986.983376,671.514336,023.522317,856.821311,362.695299,122.732
Goodwill 70,12574,54778,71449,93750,54452,04821,69021,6902,5825,1078,58400
Immateriële activa 204,872.721211,023.583187,740.722159,383.465134,990.088147,705.036126,264111,406.93199,639.33385,521.55682,854.09273,725.90880,380.154
Goodwill en immateriële activa 274,997.721285,570.583266,454.722209,320.465185,534.088199,753.036147,954133,096.931102,221.33390,628.55691,438.09273,725.90880,380.154
Langetermijnbeleggingen 247,874.88422,174,064.92521,320,230.06320,891,082.38218,976,305.0818,072,713.38113,171,202.512,575,442.9112,237,471.0327,395,394.1767,427,582.8456,680,700.4996,080,619.701
Belastingvorderingen 123,842.438258,846.369135,282.555131,734.477132,409.789145,485.044115,220.174113,854.971130,260.2920000
Overige niet-vlottende activa 85,501,827.757-258,846.369-135,282.555-131,734.477-132,409.789-145,485.044-115,220.174-113,854.971-130,260.292-7,822,046.254-7,836,877.758-7,065,789.102-6,460,122.587
Totaal niet-vlottende activa 86,962,082.42123,297,453.19822,413,395.60521,854,681.56519,952,366.49819,014,378.50513,794,637.513,137,526.82412,716,363.8797,822,046.2547,836,877.7587,065,789.1026,460,122.587
Totaal activa 93,359,783.77691,010,724.52485,905,990.88279,971,805.1872,397,722.98864,917,599.78956,733,837.4553,462,400.53351,144,445.52741,009,706.92637,577,822.05934,217,793.89831,294,003.295
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 222,124180,849605,521345,113414,400212,04790,576130,676168,8080000
Kortlopende schulden 15,331,8575,563,0993,948,0194,712,6657,571,7143,421,249949,807822,656939,6110000
Belastingschulden 25,070.15586,219.06762,588.16142,238.66927,393.3864,693.2148,22933,01220,79624,64826,9264,34373,490
Uitgestelde opbrengsten 56,96362,49567,30449,64140,38137,10842,83532,40327,0560000
Overige kortlopende verplichtingen 20,077,323.48520,521,423.71724,098,660.69523,433,444.06216,685,121.26617,025,862.74638,761,235.00415,927,410.53914,824,558.8840000
Totaal kortlopende verplichtingen 35,688,267.48526,327,866.71728,719,504.69528,540,863.06224,711,616.26620,696,266.74639,844,453.00416,913,145.53915,960,033.8840000
Langlopende verplichtingen:
Langetermijnschulden 5,587,319.69615,621,965.71713,595,671.45911,858,9959,694,7178,459,611.7826,935,469.1566,547,318.6065,662,515.4685,084,437.2455,010,241.94,862,401.6245,199,073.061
Uitgestelde opbrengsten niet-vlottend 56,96362,49567,30449,64140,38137,10842,83532,40327,0560000
Uitgestelde belastingverplichtingen niet-vlottend 4,287.64547,808.9662,55955,12675,682.16179,880.49872,07287,864110,7400000
Overige niet-vlottende verplichtingen 46,353,156.70469,067,950.354-129,863-104,767-116,063.16151,277,921.38545,487,670.49842,822,482.04241,566,982.697-5,084,437.245-5,010,241.9-4,862,401.624-5,199,073.061
Totaal niet-vlottende verplichtingen 52,001,727.04484,800,220.03113,595,671.45911,858,9959,694,71759,854,521.66452,538,046.65449,490,067.64847,367,294.16537,798,157.15234,579,285.07231,694,535.59429,002,602.7
Totaal passiva 87,689,994.52984,800,220.03113,595,671.45911,858,9959,694,71759,854,521.66452,538,046.65449,490,067.64847,367,294.16537,798,157.15234,579,285.07231,694,535.59429,002,602.7
Eigen vermogen:
Preferente aandelen 0461,510.90979,768.37514,705.27413,143.74800000000
Gewone aandelen 845,729.165845,729.165845,729.165845,729.165845,729.165845,729.165845,729.165845,265.77845,265.77670,265.77670,265.77670,265.77670,265.77
Ingehouden winsten 2,846,126.6233,022,527.0352,744,362.3172,355,159.6272,123,522.5261,868,675.2341,554,829.6331,303,373.9551,063,045.551811,844.794619,646.841401,012.342174,569.352
Overige gereserveerde algehele resultaten 100,677.571-461,510.909-79,768.375-14,705.274-13,143.748156,351.599142,259.791136,410.6942,405,720.6340000
Overige totale aandeelhoudersvermogen 1,542,472.1861,512,541.8761,908,353.4111,787,696.5511,647,751.4181,473,594.8151,362,382.141,395,662.864-827,396.4091,439,874.511,419,059.6761,451,980.1921,446,565.473
Totaal eigen vermogen van aandeelhouders 5,335,005.5445,380,798.0765,498,444.8934,988,585.3434,617,003.1084,344,350.8133,905,200.7293,680,713.2833,486,635.5462,921,985.0742,708,972.2872,523,258.3042,291,400.595
Totaal eigen vermogen 5,669,789.2476,210,504.4936,327,329.7785,804,046.8845,428,342.4975,063,078.1254,195,790.7963,972,332.8843,777,151.3623,211,549.7742,998,536.9872,523,258.3042,291,400.595
Totaal passiva en aandeelhoudersvermogen 93,359,783.77691,010,724.52485,905,990.88279,971,805.1872,397,722.98864,917,599.78956,733,837.4553,462,400.53351,144,445.52741,009,706.92637,577,822.05934,217,793.89831,294,003.295