F&F Co., Ltd

KRX:383220.KS

63400 (KRW) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2024 Q22024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q2
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 220,611.309334,706.626219,989.971105,875.337194,207.272222,038.513101,981.07963,480.56690,167.69107,914.84814,565.38819,122.023152,102.99
Kortetermijnbeleggingen 013,647.01621,076.90215,874.86116,357.86812,238.34416,394.97610,420.95410,441.1259,348.9846,621.54313,739.67934,214.415
Liquide middelen en kortetermijnbeleggingen 220,611.309348,353.642241,066.873121,750.197210,565.14234,276.856118,376.05473,901.52100,608.815117,263.83221,186.93132,861.702186,317.404
Nettovorderingen 82,564.593103,052.777141,657.897201,234.979123,920.22144,838.711184,109.425168,006.544305,962.819308,482.62319,703.244119,468.48678,678.225
Voorraad 292,899.314323,836.074341,072.036393,195.297284,186.475305,671.106297,477.943328,814.196236,289.363255,558.653242,296.85258,984.137186,514.95
Overige vlottende activa 26,996.83724,371.47921,817.282883.4051,048.635916.9251,241.471539.453871.029687.134823.456645.962835.39
Totaal vlottende activa 623,072.053799,613.972745,614.087717,063.879619,720.47685,703.598601,204.893571,261.714643,732.026681,992.239584,010.481411,960.286452,345.97
Niet-vlottende activa:
Materiële vaste activa, netto 402,642.836354,459.339360,558.062176,173.875168,480.201164,917.37138,848.162144,066.16125,350.898126,192.525129,537.909131,695.573128,024.52
Goodwill 20,811.43220,608.48520,333.74120,598.91220,445.74520,402.66720,227.9630,360.4317,167.39417,167.394000
Immateriële activa 191,926.58166,416.88157,357.917152,200.063119,169.336115,295.227112,648.06394,777.39923,416.25521,790.75216,983.1415,288.67813,992.176
Goodwill en immateriële activa 191,926.58187,025.365177,691.658172,798.975139,615.081135,697.894132,876.023125,137.82940,583.64938,958.14616,983.1415,288.67813,992.176
Langetermijnbeleggingen 651,691.365652,109.795654,862.981639,414.445636,820.497631,707.67628,295.637563,852.59366,272.777374,554.548369,018.197558,105.538-10,694.7
Belastingvorderingen 29,812.39534,982.3537,267.44434,779.46623,434.87426,643.9329,636.18137,922.4532,116.88635,310.16226,105.42724,389.39715,396.437
Overige niet-vlottende activa 27,231.75429,178.71529,103.76744,455.40243,594.39636,709.61539,318.12930,087.11426,868.28228,564.77520,839.55628,027.63746,752.866
Totaal niet-vlottende activa 1,303,304.9311,257,755.5631,259,483.9121,067,622.1631,011,945.05995,676.478968,974.133901,066.142591,192.492603,580.156562,484.228757,506.823193,471.299
Totaal activa 1,926,376.9842,057,369.5362,005,097.9991,784,686.0421,631,665.521,681,380.0761,570,179.0251,472,327.8561,234,924.5181,285,572.3951,146,494.7091,169,467.109645,817.27
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 62,955.9875,895.84694,156.335124,442.22666,593.12388,819.94599,738.471134,519.89569,225.86127,832.299105,196.25590,925.48483,384.83
Kortlopende schulden 55,525.142126,706.65986,356.874134,575.9191,955.041239,317.469233,741.492317,874.352279,127.364255,051.916241,358.257421,393.85654,851.737
Belastingschulden 42,808.053121,090.70389,990.29683,532.76555,802.75988,318.47595,523.45362,241.55163,377.01275,953.16878,591.62752,125.79318,158.969
Uitgestelde opbrengsten 84,384.44449,625.07960,175.827215,680.266204,144.04543,389.24752,924.15437,605.88854,717.671,035.793215,964.121190,111.574110,537.755
Overige kortlopende verplichtingen 121,972.913265,227.366246,161.115864.271,362.713230,597.357189,521.45158,474.118141,936.51196,671.4271,145.878659.3191,191.957
Totaal kortlopende verplichtingen 324,838.479517,454.95486,850.151475,562.661464,054.922602,124.018575,925.567648,474.253545,007.334650,591.435563,664.512703,090.233249,966.278
Langlopende verplichtingen:
Langetermijnschulden 52052029558,408.46653,335.353,112.65726,976.0430,372.21720,851.55524,496.09729,590.98433,801.67535,006.723
Uitgestelde opbrengsten niet-vlottend 160,757.939163,946.4995,659.6795,709.4644,246.2424,422.7154,134.9834,531.8913,698.2794,710.244,619.224,537.0714,353.294
Uitgestelde belastingverplichtingen niet-vlottend 14,866.0314,721.35317,775.46516,460.88515,440.26316,700.67619,048.54500004,408.5260
Overige niet-vlottende verplichtingen 13,259.43111,005.726176,776.2917,499.4636,149.0883,797.939921.6013,892.2573,345.4191,629.2511,197.027-03,835.943
Totaal niet-vlottende verplichtingen 189,403.401190,193.578200,506.43588,078.27779,170.89478,033.98751,081.1738,796.36427,895.25330,835.58835,407.23142,747.27243,195.96
Totaal passiva 514,241.881707,648.528687,356.585563,640.938543,225.816680,158.006627,006.737687,270.617572,902.586681,427.023599,071.743745,837.505293,162.238
Eigen vermogen:
Preferente aandelen 00001,622.1081,898.8150000000
Gewone aandelen 3,830.7083,830.7083,830.7083,830.7083,830.7083,830.7083,830.7083,830.7083,830.7083,830.7083,830.7083,830.7083,830.708
Ingehouden winsten 1,092,724.6871,018,879.23440,860.166886,872.793767,241.805682,284.133625,362.435465,963.398355,818.934286,819.464232,177.808103,036.7231,729.719
Overige gereserveerde algehele resultaten 4,288.927994.172547,394.88587.852-1,622.108-1,898.815219,457.3029,327.7281,817.3091,508.3771,190.8711,194.454391.637
Overige totale aandeelhoudersvermogen 280,094.442295,032.273298,429.853298,175.971293,123.261292,846.55372,830.015294,745.369294,745.369305,850.162310,223.58315,567.723316,702.967
Totaal eigen vermogen van aandeelhouders 1,380,938.7631,318,736.3821,290,515.6121,188,967.3241,064,195.773978,961.394921,480.459773,867.202656,212.319598,008.711547,422.967423,629.605352,655.031
Totaal eigen vermogen 1,412,135.1031,349,721.0081,317,741.4141,221,045.1041,088,439.7041,001,222.07943,172.289785,057.239662,021.932604,145.372547,422.967423,629.605352,655.031
Totaal passiva en aandeelhoudersvermogen 1,926,376.9842,057,369.5362,005,097.9991,784,686.0421,631,665.521,681,380.0761,570,179.0251,472,327.8561,234,924.5181,285,572.3951,146,494.7091,169,467.109645,817.27