Dynamic Design Co., LTD.

KRX:145210.KS

2735 (KRW) • At close November 5, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,418.60212,851.39740,444.28135,018.6443,156.6635,828.096,564.15615,192.64710,360.6417,023.17712,416.072
Kortetermijnbeleggingen 16,761.294,328.0228,578.7113,541.879781.1788.5663,529.75819.7591,548.642,436.2852,999.081
Liquide middelen en kortetermijnbeleggingen 25,179.89217,179.41949,022.99238,560.5233,156.6635,836.65610,093.91415,212.40611,909.2819,459.46215,415.153
Nettovorderingen 20,496.21726,344.35319,371.98427,444.37937,203.16352,211.59456,159.01565,370.381,869.16179,150.70766,056.86
Voorraad 6,217.4538,168.1076,843.7077,907.0489,610.30611,909.37217,265.59620,171.90730,631.00825,611.54724,321.742
Overige vlottende activa 1,255.23-107.378-382.239-297.746-265.516-00.0013,774.958-0-00.001
Totaal vlottende activa 53,148.79251,584.574,856.44473,614.20549,704.61569,957.62183,518.526104,529.571124,409.449124,221.716105,793.756
Niet-vlottende activa:
Materiële vaste activa, netto 46,810.82242,294.56735,817.64972,811.84295,239.2186,690.205121,854.362139,733.243158,022.359178,509.659137,545.445
Goodwill 0000002,298.80912,593.37814,273.72615,938.70416,471.577
Immateriële activa 544.632383.666203.059495.628966.2291,822.4422,535.99114,583.7583,294.5552,790.3822,633.752
Goodwill en immateriële activa 544.632383.666203.059495.628966.2291,822.4424,834.814,583.75817,568.28118,729.08619,105.329
Langetermijnbeleggingen 2,763.343-1,719.927-4,256.879-1,167.4915,046.0537,681.07519,026.36812,608.64727,119.30422,990.03821,861.216
Belastingvorderingen 243.541296.017144.488107.8845,645.7594,486.0455,020.6794,326.113901.627993.584458.446
Overige niet-vlottende activa 3,010.2675,008.7249,276.2175,295.5341,867.3241,426.3158,190.70416,574.5717,678.2076,307.7766,902.75
Totaal niet-vlottende activa 53,372.60546,263.04841,184.53477,543.398108,764.576102,106.081158,926.914187,826.332211,289.778227,530.142185,873.185
Totaal activa 106,521.39797,847.548116,040.977151,157.602158,469.191172,063.702242,445.44292,355.903335,699.227351,751.858291,666.942
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,796.3896,919.1646,031.5236,468.47211,398.47512,457.40719,694.87917,651.22918,739.23822,243.73922,134.677
Kortlopende schulden 12,032.56817,815.37827,892.98713,191.42174,547.20583,017.508111,917.994114,464.487112,865.668132,025.96657,996.287
Belastingschulden 193.74622.379103.478618.9052,547.5745,144.585,123.3623,479.7361,177.1874,689.4892,421.354
Uitgestelde opbrengsten 290.19363.60322,587.49514,329.46124,127.1125,144.5828,544.047-17,651.22914,376.09911,815.9498,937.712
Overige kortlopende verplichtingen 23,181.55716,894.20.001-0029,157.4810.00257,373.573-0.001-0-0.001
Totaal kortlopende verplichtingen 42,300.70741,692.34556,512.00633,989.354110,072.792129,776.975160,156.922171,838.059145,981.004166,085.65489,068.675
Langlopende verplichtingen:
Langetermijnschulden 8,8217,233.31510,083.92446,073.19221,141.84811,153.0889,547.4147,851.0614,748.42429,970.04965,076.072
Uitgestelde opbrengsten niet-vlottend 007,637.666002,724.7913,428.5225,522.4611,131.365926.663989.685
Uitgestelde belastingverplichtingen niet-vlottend 0012.80981.551281.977299.5841,048.695481.8562,264.3394,310.4374,830.773
Overige niet-vlottende verplichtingen 3,111.39878.277-0.0016,810.475,477.092-0-0-000-0
Totaal niet-vlottende verplichtingen 11,932.3987,311.59217,734.39852,965.21326,900.91714,177.46314,024.63113,855.37618,144.12835,207.14970,896.53
Totaal passiva 54,233.10549,003.93774,246.40486,954.567136,973.709143,954.438174,181.553185,693.435164,125.132201,292.803159,965.206
Eigen vermogen:
Preferente aandelen 07,029.0015,362.9074,812.7974,794.9144,556.2413,176.5271,352.489000
Gewone aandelen 8,650.5476,970.52679,144.62375,784.71114,701.03414,701.03414,025.3585,941.325,941.325,337.725,337.72
Ingehouden winsten -138,889.623-111,077.366-123,152.846-97,167.965-59,703.17-53,895.982-10,625.29624,411.43183,052.9381,291.60663,606.519
Overige gereserveerde algehele resultaten -6,032.664-7,029.001-5,362.907-4,812.797-4,794.914-4,556.241-3,176.527-1,352.48982,826.7483,652.2933,883.54
Overige totale aandeelhoudersvermogen 188,428.725152,808.14685,641.31385,400.05766,133.6866,372.35263,946.59475,435.275-3,096.80157,004.78355,946.688
Totaal eigen vermogen van aandeelhouders 52,156.98548,701.30641,633.0964,016.80321,131.54327,177.40367,346.656105,788.026168,724.198147,286.402128,774.467
Totaal eigen vermogen 52,288.29248,843.61241,794.57364,203.03521,495.48228,109.26468,263.887106,662.468171,574.095150,459.055131,701.736
Totaal passiva en aandeelhoudersvermogen 106,521.39797,847.548116,040.977151,157.602158,469.191172,063.702242,445.44292,355.903335,699.227351,751.858291,666.942