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LG Chem, Ltd. (051910.KS)

KSE - KSE Precio retrasado. Moneda en KRW.
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345,500.00+1,500.00 (+0.44%)
Al cierre: 03:30PM KST
Anual

Balance

Todos los números en miles
Desglose
31/12/2023
31/12/2022
31/12/2021
31/12/2020
31/12/2019
Activos
Activos corrientes
Efectivo
Caja y equivalentes de caja
2,096,074,000
8,497,882,000
3,760,834,000
3,274,250,000
-
Otras inversiones a corto plazo
-
14,448,000
69,189,000
608,039,000
32,515,000
Caja total
2,096,074,000
8,512,330,000
3,830,023,000
3,882,289,000
-
Cuentas pendientes netas
3,209,503,000
7,450,395,000
6,386,979,000
5,298,365,000
-
Inventario
2,893,935,000
11,880,631,000
8,283,474,000
5,349,688,000
-
Otros activos circulantes
16,263,000
264,823,000
82,353,000
214,849,000
-
Activos corrientes totales
8,651,075,000
29,674,369,000
20,413,820,000
16,319,700,000
-
Activos no corrientes
Propiedad, planta y equipo
Propiedad bruta, planta y equipo
23,778,647,000
49,285,409,000
41,387,330,000
35,260,869,000
-
Depreciación acumulada
-11,375,968,000
-19,622,666,000
-17,009,071,000
-14,693,394,000
-
Propiedad neta, planta y equipo
12,402,679,000
29,662,743,000
24,378,259,000
20,567,475,000
-
Valor llave
590,486,000
786,378,000
803,924,000
887,037,000
-
Activos intangibles
1,041,071,000
1,903,825,000
1,640,379,000
1,392,880,000
-
Otros activos a largo plazo
-
138,000
-287,042,000
87,345,000
123,448,000
Total de activos no corrientes
25,442,509,000
38,299,454,000
30,721,482,000
25,069,194,000
-
Activos totales
34,093,584,000
67,973,823,000
51,135,302,000
41,388,894,000
-
Patrimonio neto y accionistas
Obligaciones
Pasivos circulantes
Deuda corriente
3,276,079,000
3,709,288,000
3,405,215,000
1,493,426,000
-
Cuentas a pagar
1,312,945,000
4,756,246,000
3,742,132,000
3,458,526,000
-
Otros pasivos circulantes
-
8,712,000
79,000
4,875,000
25,157,000
Pasivos circulantes totales
6,602,908,000
16,459,563,000
15,062,096,000
12,624,219,000
-
Obligaciones no corrientes
Deuda a largo plazo
6,474,153,000
11,865,593,000
11,041,274,000
8,508,066,000
-
Obligaciones de impuestos diferidas
460,576,000
838,725,000
713,862,000
689,817,000
-
Ingresos diferidos
6,873,000
339,163,000
115,998,000
83,887,000
-
Total de obligaciones no corrientes
7,085,464,000
14,033,133,000
12,863,218,000
9,974,235,000
-
Pasivos totales
13,688,372,000
30,492,696,000
27,925,314,000
22,598,454,000
-
Patrimonio neto
Acción ordinaria
391,406,000
391,406,000
391,406,000
391,406,000
-
Ganancias retenidas
17,249,265,000
19,142,263,000
18,091,949,000
15,175,304,000
-
Total de patrimonio neto de los accionistas
20,405,212,000
31,450,572,000
21,693,784,000
18,039,121,000
-
Total de obligaciones y capital de los accionistas
34,093,584,000
67,973,823,000
51,135,302,000
41,388,894,000
-