Hyundai Autoever Corporation

KRX:307950.KS

143500 (KRW) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 482,644.959559,531.532140,294.94795,109.20865,862.698240,161.672229,626.337193,941.577182,989.501195,196.089126,006.519114,531.83698,249.561
Kortetermijnbeleggingen 299,680.88190,000575,070204,520208,8209,2708,866.27328,854.5434,939.1943,277.176-4,163.868-307.6682,356.467
Liquide middelen en kortetermijnbeleggingen 782,325.839749,531.532715,364.947299,629.208274,682.698249,431.672238,492.61222,796.12187,928.695198,473.265126,006.519114,531.836100,606.027
Nettovorderingen 874,509.89938,117.499751,859.856493,102.038459,229.059439,494.201442,142.484452,652.64500282,688.035273,116.076247,932.818
Voorraad 4,835.697,758.83,378.6364,394.7014,840.183577.731580.89112,120.08500174.819205.214972.389
Overige vlottende activa 171,995.362448.403448.852153.686300.519-0-0-0.0017,068.091-0.001-0-0.0010.001
Totaal vlottende activa 1,833,666.7811,695,856.2331,471,052.291797,279.633739,052.459689,503.604681,215.984687,568.849602,436.941538,525.491408,869.374387,853.125349,511.235
Niet-vlottende activa:
Materiële vaste activa, netto 255,314.214200,279.241202,346.748183,503.103202,230.07975,174.02460,480.39958,100.70141,371.68841,253.75148,551.36438,850.72426,145.63
Goodwill 261,737.914261,586.087261,024.12116,574.2717,053.79616,781.05716,460.22817,402.1059,099.719,099.71000
Immateriële activa 284,205.43304,840.574306,568.11136,207.61733,600.02324,934.61820,121.62419,449.61219,457.31519,555.93713,090.45211,864.1610,356.442
Goodwill en immateriële activa 545,943.344566,426.661567,592.23252,781.88750,653.81941,715.67536,581.85236,851.71728,557.02528,655.64713,090.45211,864.1610,356.442
Langetermijnbeleggingen 44,315.524-153,503.798-523,872.958-173,301.933-185,988.425-5,660.817-4,852.781-24,766.0366,132.1276,937.03410,727.666,160.6033,669.308
Belastingvorderingen 284,205.430629,004.529216,764.317220,748.57415,951.71120,828.985527.0164,939.194144.569109.763824.1784,282.449
Overige niet-vlottende activa -120,388.128310,377.990.003-0012,386.9949,701.95537,779.7483,896.6199,443.2441,957.9171,934.76-0
Totaal niet-vlottende activa 1,009,390.384923,580.093875,070.554279,747.374287,644.047139,567.587122,740.41108,493.14784,896.65486,434.24474,437.15659,634.42444,453.829
Totaal activa 2,843,057.1652,619,436.3272,346,122.8441,077,027.0071,026,696.506829,071.191803,956.394796,061.996687,333.595624,959.735483,306.53447,487.549393,965.064
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 311,970.495421,804.925407,398.431268,924.736230,657.965256,057.876272,860.235311,760.541293,719.33274,544.885209,443.064197,662.302187,571.17
Kortlopende schulden 41,488.73668,497.84437,454.7531,905.7432,140.0631,965.858-50,040.439-42,195.103086.255695.0161,629.81,568.236
Belastingschulden 17,131.29820,646.5058,436.53810,441.40817,261.298,692.6677,896.98411,196.4058,595.5968,790.5626,053.4628,011.3135,790.424
Uitgestelde opbrengsten 255,608.44195,341.14276,520.942116,553.561135,995.7788,692.66750,040.43942,195.103065,324.07942,725.95152,466.10635,142.954
Overige kortlopende verplichtingen 313,878.806198,053.87-0.001-0.001-0101,268.415107,174.239106,733.12575,053.226499.999-00.0010
Totaal kortlopende verplichtingen 922,946.477883,697.78721,374.123417,384.037398,793.806367,984.815380,034.474418,493.666368,772.555340,455.218252,864.032251,758.209224,282.36
Langlopende verplichtingen:
Langetermijnschulden 157,150.248108,456.607157,018.486,129.438101,788.7073,109.848000093.983776.5252,448.572
Uitgestelde opbrengsten niet-vlottend 122,119.7877,063.00741,494.499,618.69710,450.5714,289.9080000008,410.834
Uitgestelde belastingverplichtingen niet-vlottend 25,564.89435,833.46329,328.6731,513.606652.6221,813.2034,165.65628,457.99382.7810326.67301,067.006
Overige niet-vlottende verplichtingen 22,963.28324,004.64521,085.8040-0284.9743,998.513-24,530.413912.0047,289.987,446.0258,972.977-0
Totaal niet-vlottende verplichtingen 327,798.205245,357.721248,927.36697,261.74112,891.8999,497.9338,164.1693,927.58994.7857,289.987,866.6819,749.50211,926.412
Totaal passiva 1,250,744.6821,129,055.501970,301.489514,645.777511,685.705377,482.748388,198.643422,421.246369,767.34347,745.197260,730.712261,507.711236,208.772
Eigen vermogen:
Preferente aandelen 0001,659.11700571.344000000
Gewone aandelen 13,711.99113,711.99113,711.99110,50010,50010,326.2110,326.2110,326.2110,326.2110,326.2110,00010,00010,000
Ingehouden winsten 782,182.909692,226.607582,038.735519,919.101465,606.752420,515.998391,769.595347,295.895294,472.679254,457.892215,460.719178,282.378148,250.511
Overige gereserveerde algehele resultaten 10,712.7916,366.3533,884.477-1,659.1171,822.60741.465-571.3443,195.29200000
Overige totale aandeelhoudersvermogen 773,320.911766,464.914768,070.9124,607.98531,517.10215,246.4039,445.90510,083.29812,397.96711,940.749-3,258.64-2,544.04-744.579
Totaal eigen vermogen van aandeelhouders 1,579,928.6021,478,769.8651,367,706.113555,027.086509,446.461446,130.076411,541.709370,900.695317,196.856276,724.851222,202.079185,738.338157,505.932
Totaal eigen vermogen 1,592,312.4831,490,380.8261,375,821.355562,381.23515,010.801451,588.443415,757.751373,640.75317,566.255277,214.537222,575.818185,979.839157,756.293
Totaal passiva en aandeelhoudersvermogen 2,843,057.1652,619,436.3272,346,122.8441,077,027.0071,026,696.506829,071.191803,956.394796,061.996687,333.595624,959.735483,306.53447,487.549393,965.064