DL E&C Co.,Ltd.

KRX:375500.KS

31100 (KRW) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 0624,065.546578,224.185563,382.37313,954.016330,192.224330,682.589171,448.007183,584.802166,132.903141,169.93468,197.18665,987.58535,801.4145,250.46322,859.84611,293.388
Kortetermijnbeleggingen 011,756.4957,904.92714,189.42355,849.69992,513.33176,502.197194,903.123194,508.62560,002.972,138.13447,789.11616,355.2646,865.02580,050.174110,642.36639,177.538
Liquide middelen en kortetermijnbeleggingen 0635,822.041586,129.111577,571.794369,803.715422,705.556407,184.786366,351.13378,093.427226,135.803213,308.068115,986.30282,342.84582,666.43985,300.637133,502.21250,470.926
Nettovorderingen 0680,640.327639,797.756509,849.201399,758.21271,761.695235,754.708255,833.207223,666.961202,708.506241,897.068258,390.489262,853.477319,720.1030382,862.447318,452.988
Voorraad 037,135.17838,067.88841,401.597736.8131,238.343243.524,556.2324,869.19110,815.4587,927.467,059.40726,357.7368,975.3217,059.1335,511.59156,200.238
Overige vlottende activa 0-1,659-23,036-24,222-26,397.999-0-00.001-0-0-0-0.001-0.0010.001345,103.634-0.0020.001
Totaal vlottende activa 01,351,938.5461,240,958.7551,104,600.592743,900.738695,705.594643,183.014626,740.569606,629.579439,659.767463,132.596381,436.197371,554.058411,361.863447,463.401551,876.248425,124.153
Niet-vlottende activa:
Materiële vaste activa, netto 019,613.49418,472.83518,252.4538,453.9773,320.0995,277.4411,913.1041,543.9951,603.0941,561.9311,510.1821,432.98890,191.127124,111.026123,318.81826,571.968
Goodwill 00000000000000000
Immateriële activa 015,833.07117,323.16417,690.8112,681.3462,022.5311,594.3032,060.4211,202.5751,704.0392,195.1022,159.3142,132.683102.483144.074191.80638.625
Goodwill en immateriële activa 015,833.07117,323.16417,690.8112,681.3462,022.5311,594.3032,060.4211,202.5751,704.0392,195.1022,159.3142,132.683102.483144.074191.80638.625
Langetermijnbeleggingen 089,558.52386,450.80478,789.547-26,395.25-45,660.998-2,090.758-137,347.313-154,918.85493,321.62785,963.872116,149.52161,698.82519,087.385-7,191.996-83,485.968-26,490.721
Belastingvorderingen 059,728.09676,905.39884,312.27823,665.72135,576.04334,800.34545,526.33848,147.71842,854.46143,117.00944,129.33636,998.35234,262.78919,910.51420,316.2466,716.376
Overige niet-vlottende activa 0210,145.078229,490.252194,731.96999,413.374105,130.17889,026.905200,552.562204,219.01875,083.27784,040.64153,003.04923,936.892168,418.442214,103.832122,727.6247,607.017
Totaal niet-vlottende activa 0394,878.262428,642.452393,777.058107,819.168100,387.853128,608.236112,705.111100,194.452214,566.497216,878.554216,951.4226,199.74312,062.226351,077.45183,068.52254,443.265
Totaal activa 01,746,816.8081,669,601.2071,498,377.65851,719.907796,093.447771,791.249739,445.68706,824.031654,226.264680,011.15598,387.597597,753.798723,424.089798,540.851734,944.77479,567.418
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0321,097.107344,603.156322,488.82222,276.404216,967.152179,339.571214,065.777195,044.172159,021.632230,671.742213,402.48180,177.064120,447.197125,871.303154,501.474168,465.505
Kortlopende schulden 081,665.14733,602.1585,181.3124,410.12831.52531.52531.525175,467.63610,556190,277.34410,556262,508.35710,655.88843.94361,311.78420,053.635
Belastingschulden 09,444.27427,890.21227,587.00517,109.715,983.7632,866.8310,923.76810,653.935000002,941.95711,246.0047,412.174
Uitgestelde opbrengsten 066,496.015170,741.044217,359.468130,883.274060,361.83663,133.72484,671.17682,042.28136,208.81724,833.99728,99202,941.95711,246.00448,194.131
Overige kortlopende verplichtingen 0129,651.448-0.001-0092,869.03600.00100-0.002-0-067,988.15130,148.23138,996.1390.001
Totaal kortlopende verplichtingen 0598,909.717548,946.357545,029.6357,569.807309,867.712239,732.933277,231.027455,182.985251,619.913457,157.901248,792.477471,677.421199,091.236159,005.434266,055.401236,713.272
Langlopende verplichtingen:
Langetermijnschulden 0129,048.272120,363.483107,272.4281,282.27191,078.117185,794.226185,814.96733.22171,135.6674,066.667242,328.7924,066.667341,321.938402,893.602242,084.38356,542.066
Uitgestelde opbrengsten niet-vlottend 01,038.611781772720455.5500000000000
Uitgestelde belastingverplichtingen niet-vlottend 0041,619.12243,451.38734,305.217125,465.0100000000000
Overige niet-vlottende verplichtingen 019,124.3890.001-0.001-0-98,393.95423,693.83218,035.14667,751.06489,079.117104,385.87166,422.60745,825.58366,921.46770,897.33167,944.00416,984.921
Totaal niet-vlottende verplichtingen 0149,211.272162,763.605151,495.81536,307.488118,604.723209,488.058203,850.10668,484.284260,214.784108,452.538308,751.39949,892.25408,243.405473,790.933310,028.38773,526.987
Totaal passiva 0748,120.989711,709.963696,525.414393,877.294428,472.435449,220.991481,081.133523,667.269511,834.697565,610.439557,543.876521,569.671607,334.641632,796.366576,083.788310,240.259
Eigen vermogen:
Preferente aandelen 06,272.66,272.66,272.6228.667000000000000
Gewone aandelen 0110,266.42110,266.42110,266.4275,898.8375,898.8375,898.8375,898.8375,898.8375,898.8375,898.8372,00072,00072,00072,00072,00072,000
Ingehouden winsten 0685,727.092644,636.216488,513.652345,488.026255,657.414207,117.577143,153.39768,042.4127,924.568-24,605.892-35,922.368-38,670.276-16,990.97732,002.28428,858.92142,593.632
Overige gereserveerde algehele resultaten 04,701.5743,184.7831,455.339-228.667000000000000
Overige totale aandeelhoudersvermogen 0191,728.133193,531.225195,344.22536,455.75636,064.76839,553.85139,312.31939,215.52238,568.16963,107.7734,766.08942,854.40361,080.42561,742.20158,002.06154,733.527
Totaal eigen vermogen van aandeelhouders 0998,695.819957,891.244801,852.236457,842.612367,621.012322,570.258258,364.546183,156.762142,391.567114,400.71140,843.72176,184.127116,089.448165,744.485158,860.982169,327.159
Totaal eigen vermogen 0998,695.819957,891.244801,852.236457,842.612367,621.012322,570.258258,364.546183,156.762142,391.567114,400.71140,843.72176,184.127116,089.448165,744.485158,860.982169,327.159
Totaal passiva en aandeelhoudersvermogen 01,746,816.8081,669,601.2071,498,377.65851,719.907796,093.447771,791.249739,445.68706,824.031654,226.264680,011.15598,387.597597,753.798723,424.089798,540.851734,944.77479,567.418