KRW 41900.0
(0.24%)
Breakdown | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 |
---|---|---|---|---|---|---|
Total Assets | 2832.64 Billion | 1779.54 Billion | 1773.9 Billion | 880.65 Billion | 735.6 Billion | 606.39 Billion |
Total Current Assets | 1352.94 Billion | 1011.6 Billion | 1072.91 Billion | 547.15 Billion | 426.67 Billion | 386.7 Billion |
Cash And Short Term Investments | 221.72 Billion | 201.56 Billion | 277.79 Billion | 101.64 Billion | 92.46 Billion | 56.1 Billion |
Cash and Cash Equivalents | 207.12 Billion | 191.61 Billion | 261.8 Billion | 91.77 Billion | 83.89 Billion | 40.08 Billion |
Short Term Investments | 14.6 Billion | 9.94 Billion | 15.98 Billion | 9.86 Billion | 8.56 Billion | 16.02 Billion |
Net Receivables | 518.81 Billion | 428.2 Billion | 444.27 Billion | 241.06 Billion | 215.27 Billion | 182.53 Billion |
Inventory | 582.19 Billion | 381.83 Billion | 350.89 Billion | 204.45 Billion | 118.94 Billion | 148.05 Billion |
Other Current Assets | 30.21 Billion | 300.00 | -50.21 Million | -90.00 | -170.00 | -20.00 |
Total Non-Current Assets | 1479.7 Billion | 767.93 Billion | 700.98 Billion | 333.5 Billion | 308.92 Billion | 219.68 Billion |
Net PPE | 1076.75 Billion | 579.9 Billion | 548.55 Billion | 289.18 Billion | 265.89 Billion | 176.02 Billion |
Good Will And Intangible Assets | 261.01 Billion | 120.89 Billion | 127.41 Billion | 20.96 Billion | 22.15 Billion | 22.42 Billion |
Good Will | 217.07 Billion | 63.77 Billion | 63.42 Billion | 13.88 Billion | 13.88 Billion | 13.88 Billion |
Intangible Assets | 43.93 Billion | 57.12 Billion | 63.99 Billion | 7.08 Billion | 8.27 Billion | 8.53 Billion |
Long-Term Investments | 51.08 Billion | 5.23 Billion | -9.27 Billion | 2.95 Billion | 4.66 Billion | -4.2 Billion |
Tax Assets | 20.5 Billion | 13.21 Billion | 17.38 Billion | 9.97 Billion | 7.19 Billion | 5.19 Billion |
Other Non Current Assets | 70.35 Billion | 48.68 Billion | 16.91 Billion | 10.42 Billion | 9.01 Billion | 20.24 Billion |
Other Assets | - | - | - | - | - | - |
Total Liabilities | 1888.22 Billion | 854.87 Billion | 827.08 Billion | 437.12 Billion | 365.77 Billion | 287.87 Billion |
Total Current Liabilities | 1417.05 Billion | 623.83 Billion | 572.66 Billion | 332.18 Billion | 276.32 Billion | 225.77 Billion |
Account Payables | 474.27 Billion | 272.22 Billion | 193.86 Billion | 146.29 Billion | 91.52 Billion | 59.05 Billion |
Tax Payables | 8.49 Billion | 8.74 Billion | 14.12 Billion | 20.63 Billion | 5.39 Billion | 67.36 Million |
Short Term Debt | 523.62 Billion | 269.67 Billion | 209.05 Billion | 147.75 Billion | 145.45 Billion | 121.03 Billion |
Deferred Revenue | 194.01 Billion | 16.2 Billion | 169.31 Billion | 38.03 Billion | 37.48 Billion | 67.36 Million |
Other Current Liabilities | 225.14 Billion | 65.73 Billion | 431.46 Million | 107.6 Million | 1.85 Billion | 45.62 Billion |
Total Non Current Liabilities | 471.16 Billion | 231.03 Billion | 254.42 Billion | 104.94 Billion | 89.45 Billion | 62.09 Billion |
Long-Term Debt | 303.24 Billion | 207.85 Billion | 234.19 Billion | 93.99 Billion | 82.56 Billion | 56.7 Billion |
Deferred Revenue Non Current | 936.47 Million | 968.23 Million | 2.79 Billion | 4.53 Billion | 5.03 Billion | 3.19 Billion |
Deferred Tax Liabilities Non Current | - | - | - | - | - | - |
Other Non Current Liabilities | 153.21 Billion | 6.61 Billion | 1.33 Billion | 1.02 Billion | 1.12 Billion | 1.75 Billion |
Other Liabilities | - | -420.00 | - | - | - | - |
Total Equity | 944.41 Billion | 924.66 Billion | 946.81 Billion | 443.52 Billion | 369.83 Billion | 318.51 Billion |
Stock Holders Equity | 896.8 Billion | 876.56 Billion | 894.19 Billion | 413.12 Billion | 340.97 Billion | 302.08 Billion |
Common Stock | 21.08 Billion | 21.08 Billion | 21.08 Billion | 8.64 Billion | 8.64 Billion | 8.64 Billion |
Retained Earnings | 228.61 Billion | 239.17 Billion | 267.85 Billion | 218.55 Billion | 191.43 Billion | 165.74 Billion |
Accumulated other comprehensive income | 78.5 Billion | 59.48 Billion | 15.33 Billion | -18.27 Billion | 12.23 Billion | 543.49 Million |
Common Stock Equity | 896.8 Billion | 876.56 Billion | 894.19 Billion | 413.12 Billion | 340.97 Billion | 302.08 Billion |
Capital Lease Obligation | 128.39 Billion | 36.79 Billion | 30.06 Billion | 14.75 Billion | 29.02 Billion | - |
Total Investments | 65.68 Billion | 15.18 Billion | 6.7 Billion | 12.82 Billion | 13.23 Billion | 11.81 Billion |
Total Debt | 955.26 Billion | 477.52 Billion | 443.25 Billion | 241.74 Billion | 228.02 Billion | 177.73 Billion |
Net Debt | 748.14 Billion | 285.9 Billion | 181.44 Billion | 149.96 Billion | 144.13 Billion | 137.64 Billion |
Breakdown | 2024 Q2 | 2024 Q1 | 2023 FY | 2023 Q4 | 2023 Q3 | 2023 Q2 |
---|---|---|---|---|---|---|
Total Assets | 3181.71 Billion | 3015 Billion | 2832.64 Billion | 2832.64 Billion | 1994.85 Billion | 1970.78 Billion |
Total Current Assets | 1552.42 Billion | 1435.44 Billion | 1352.94 Billion | 1352.94 Billion | 1027.48 Billion | 1049.88 Billion |
Cash And Short Term Investments | 226.54 Billion | 180.2 Billion | 221.72 Billion | 221.72 Billion | 239.95 Billion | 193.73 Billion |
Cash and Cash Equivalents | 192.26 Billion | 155.35 Billion | 207.12 Billion | 207.12 Billion | 223.32 Billion | 180.98 Billion |
Short Term Investments | 34.27 Billion | 24.84 Billion | 14.6 Billion | 14.6 Billion | 16.63 Billion | 12.75 Billion |
Net Receivables | 736.12 Billion | 673.62 Billion | 518.81 Billion | 518.81 Billion | 313.28 Billion | 392.56 Billion |
Inventory | 504.1 Billion | 505.63 Billion | 582.19 Billion | 582.19 Billion | 372.58 Billion | 378.79 Billion |
Other Current Assets | 85.65 Billion | 75.97 Billion | 30.21 Billion | 30.21 Billion | 101.66 Billion | 84.78 Billion |
Total Non-Current Assets | 1629.29 Billion | 1579.55 Billion | 1479.7 Billion | 1479.7 Billion | 967.36 Billion | 920.9 Billion |
Net PPE | 1229.22 Billion | 1162.5 Billion | 1076.75 Billion | 1076.75 Billion | 710.77 Billion | 686.65 Billion |
Good Will And Intangible Assets | 226.38 Billion | 221.21 Billion | 261.01 Billion | 261.01 Billion | 114.98 Billion | 117.26 Billion |
Good Will | 226.38 Billion | 221.21 Billion | 217.07 Billion | 217.07 Billion | 65.98 Billion | 65.75 Billion |
Intangible Assets | 41.76 Billion | 44.22 Billion | 43.93 Billion | 43.93 Billion | 48.99 Billion | 51.51 Billion |
Long-Term Investments | 60.42 Billion | 60.58 Billion | 51.08 Billion | 51.08 Billion | 4.18 Billion | 5.96 Billion |
Tax Assets | 18.93 Billion | 19.42 Billion | 20.5 Billion | 20.5 Billion | 14.39 Billion | 13.97 Billion |
Other Non Current Assets | 94.33 Billion | 115.82 Billion | 70.35 Billion | 70.35 Billion | 123.02 Billion | 97.04 Billion |
Other Assets | - | - | - | - | - | - |
Total Liabilities | 2145.46 Billion | 2107.2 Billion | 1888.22 Billion | 1888.22 Billion | 1001.21 Billion | 1006.21 Billion |
Total Current Liabilities | 1291.88 Billion | 1317.5 Billion | 1417.05 Billion | 1417.05 Billion | 729.32 Billion | 684.89 Billion |
Account Payables | 450.09 Billion | 407.69 Billion | 474.27 Billion | 474.27 Billion | 198.36 Billion | 246.11 Billion |
Tax Payables | 11.92 Billion | 12.38 Billion | 8.49 Billion | 8.49 Billion | 5.09 Billion | 2.96 Billion |
Short Term Debt | 477.7 Billion | 500.27 Billion | 523.62 Billion | 523.62 Billion | 424.04 Billion | 347.07 Billion |
Deferred Revenue | 137.5 Billion | 126.44 Billion | 194.01 Billion | 194.01 Billion | 76.46 Billion | 65.71 Billion |
Other Current Liabilities | 226.57 Billion | 283.09 Billion | 225.14 Billion | 225.14 Billion | 30.44 Billion | 25.99 Billion |
Total Non Current Liabilities | 853.58 Billion | 789.7 Billion | 471.16 Billion | 471.16 Billion | 271.89 Billion | 321.32 Billion |
Long-Term Debt | 640.11 Billion | 582.25 Billion | 303.24 Billion | 303.24 Billion | 243.03 Billion | 292.82 Billion |
Deferred Revenue Non Current | 152.2 Billion | 150.75 Billion | 936.47 Million | 936.47 Million | 9.87 Billion | 8.74 Billion |
Deferred Tax Liabilities Non Current | - | - | - | - | - | - |
Other Non Current Liabilities | 50.88 Billion | 44.17 Billion | 153.21 Billion | 153.21 Billion | 1.56 Billion | 1.85 Billion |
Other Liabilities | - | - | - | - | -1000.00 | 1000.00 |
Total Equity | 1036.25 Billion | 907.79 Billion | 944.41 Billion | 944.41 Billion | 993.63 Billion | 964.57 Billion |
Stock Holders Equity | 987.58 Billion | 860.62 Billion | 896.8 Billion | 896.8 Billion | 944.37 Billion | 914.48 Billion |
Common Stock | 21.08 Billion | 21.08 Billion | 21.08 Billion | 21.08 Billion | 21.08 Billion | 21.08 Billion |
Retained Earnings | 288.02 Billion | 181.77 Billion | 228.61 Billion | 228.61 Billion | 265.96 Billion | 246.93 Billion |
Accumulated other comprehensive income | 109.65 Billion | 89.15 Billion | 78.5 Billion | 78.5 Billion | 88.76 Billion | 79.5 Billion |
Common Stock Equity | 987.58 Billion | 860.62 Billion | 896.8 Billion | 896.8 Billion | 944.37 Billion | 914.48 Billion |
Capital Lease Obligation | 152.2 Billion | 150.75 Billion | 128.39 Billion | 128.39 Billion | 59.77 Billion | 59.89 Billion |
Total Investments | 94.69 Billion | 85.43 Billion | 65.68 Billion | 65.68 Billion | 20.82 Billion | 18.72 Billion |
Total Debt | 1270.03 Billion | 1233.28 Billion | 955.26 Billion | 955.26 Billion | 667.08 Billion | 639.9 Billion |
Net Debt | 1077.76 Billion | 1077.92 Billion | 748.14 Billion | 748.14 Billion | 443.75 Billion | 458.91 Billion |
NXH
TEBE
002469
002266
603666
TXMC