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Samsung Electronics Co., Ltd. (005930.KS)

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81,400.00+100.00 (+0.12%)
A partir del 10:05AM KST. Mercado abierto.
Anual

Balance

Todos los números en miles
Desglose
31/12/2023
31/12/2022
31/12/2021
31/12/2020
Activos
Activos corrientes
Efectivo
Caja y equivalentes de caja
69,080,893,000
49,680,710,000
39,031,415,000
29,382,578,000
Otras inversiones a corto plazo
23,326,317,000
65,546,576,000
85,118,777,000
95,270,265,000
Caja total
92,407,210,000
115,227,286,000
124,150,192,000
124,652,843,000
Cuentas pendientes netas
36,647,393,000
35,721,563,000
40,713,415,000
30,965,058,000
Inventario
51,625,874,000
52,187,866,000
41,384,404,000
32,043,145,000
Otros activos circulantes
5,038,838,000
6,316,834,000
5,081,665,000
3,754,462,000
Activos corrientes totales
195,936,557,000
218,470,581,000
218,163,185,000
198,215,579,000
Activos no corrientes
Propiedad, planta y equipo
Propiedad bruta, planta y equipo
473,188,388,000
427,595,058,000
377,471,994,000
328,606,313,000
Depreciación acumulada
-285,932,126,000
-259,549,670,000
-227,543,455,000
-199,653,421,000
Propiedad neta, planta y equipo
187,256,262,000
168,045,388,000
149,928,539,000
128,952,892,000
Valor llave
6,457,619,000
6,014,422,000
5,844,259,000
5,673,642,000
Activos intangibles
16,284,243,000
14,203,332,000
14,391,985,000
12,794,860,000
Otros activos a largo plazo
13,390,764,000
6,012,671,000
5,571,099,000
4,626,326,000
Total de activos no corrientes
259,969,423,000
229,953,926,000
208,457,973,000
180,020,139,000
Activos totales
455,905,980,000
448,424,507,000
426,621,158,000
378,235,718,000
Patrimonio neto y accionistas
Obligaciones
Pasivos circulantes
Deuda corriente
7,425,037,000
5,362,458,000
14,205,859,000
16,558,747,000
Cuentas a pagar
11,319,824,000
10,644,686,000
13,453,351,000
9,739,222,000
Otros pasivos circulantes
2,308,472,000
1,951,354,000
1,492,239,000
1,127,719,000
Pasivos circulantes totales
75,719,452,000
78,344,852,000
88,117,133,000
75,604,351,000
Obligaciones no corrientes
Deuda a largo plazo
537,618,000
569,939,000
509,732,000
948,137,000
Obligaciones de impuestos diferidas
620,549,000
5,111,332,000
23,198,205,000
18,810,845,000
Otras obligaciones a largo plazo
2,802,356,000
1,171,761,000
1,267,183,000
1,725,857,000
Total de obligaciones no corrientes
16,508,663,000
15,330,051,000
33,604,094,000
26,683,351,000
Pasivos totales
92,228,115,000
93,674,903,000
121,721,227,000
102,287,702,000
Patrimonio neto
Acción ordinaria
897,514,000
897,514,000
897,514,000
897,514,000
Ganancias retenidas
346,652,238,000
337,946,407,000
293,064,763,000
271,068,211,000
Total de patrimonio neto de los accionistas
353,233,775,000
345,186,142,000
296,237,697,000
267,670,331,000
Total de obligaciones y capital de los accionistas
455,905,980,000
448,424,507,000
426,621,158,000
378,235,718,000