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POSCO Holdings Inc. (PKX)

NYSE - NYSE Precio retrasado. Divisa en USD.
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71.55-2.58 (-3.48%)
Al cierre: 04:00PM EDT
71.31 -0.24 (-0.34%)
Fuera de horario: 06:07PM EDT
Anual

Balance

Divisa en KRW.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
6,670,879,000
8,053,108,000
4,775,166,000
4,754,644,000
Otras inversiones a corto plazo
11,236,293,000
10,686,149,000
13,381,159,000
11,609,885,000
Caja total
17,907,172,000
18,739,257,000
18,156,325,000
16,364,529,000
Cuentas pendientes netas
11,015,303,000
8,695,788,000
9,266,729,000
7,468,622,000
Inventario
13,825,514,000
16,133,403,000
16,096,371,000
9,636,183,000
Otros activos circulantes
17,306,000
20,290,000
65,817,000
62,379,000
Activos corrientes totales
46,212,299,000
48,243,041,000
47,419,860,000
36,404,828,000
Activos no corrientes
Propiedad, planta y equipo
Propiedad bruta, planta y equipo
85,458,547,000
79,362,848,000
74,499,974,000
72,206,472,000
Depreciación acumulada
-50,088,853,000
-47,480,661,000
-44,841,319,000
-42,749,191,000
Propiedad neta, planta y equipo
35,369,694,000
31,882,187,000
29,658,655,000
29,457,281,000
Acciones y otras inversiones
7,594,320,000
7,192,865,000
6,451,783,000
5,419,505,000
Valor llave
403,172,000
442,487,000
735,969,000
903,893,000
Activos intangibles
4,137,931,000
4,216,003,000
3,368,383,000
3,488,399,000
Total de activos no corrientes
54,733,095,000
50,778,709,000
44,879,030,000
43,278,848,000
Activos totales
100,945,394,000
99,021,750,000
92,298,890,000
79,683,676,000
Patrimonio neto y accionistas
Obligaciones
Pasivos circulantes
Deuda corriente
9,969,129,000
9,613,402,000
7,837,913,000
7,610,191,000
Cuentas a pagar
6,956,922,000
6,944,209,000
6,502,998,000
4,555,952,000
Impuestos que se deben pagar
319,096,000
502,685,000
2,139,718,000
366,476,000
Obligaciones devengadas
1,046,891,000
981,609,000
835,226,000
697,087,000
Ingresos diferidos
693,694,000
849,507,000
952,226,000
975,954,000
Otros pasivos circulantes
347,581,000
138,473,000
138,526,000
185,726,000
Pasivos circulantes totales
21,861,518,000
23,434,705,000
21,271,371,000
17,211,463,000
Obligaciones no corrientes
Deuda a largo plazo
15,011,163,000
12,389,668,000
12,911,149,000
11,820,078,000
Obligaciones de impuestos diferidas
2,760,234,000
2,924,552,000
1,271,775,000
1,320,726,000
Ingresos diferidos
8,889,000
456,161,000
758,413,000
329,230,000
Otras obligaciones a largo plazo
178,074,000
136,741,000
34,279,000
23,150,000
Total de obligaciones no corrientes
19,419,979,000
17,395,148,000
16,313,553,000
14,868,690,000
Pasivos totales
41,281,497,000
40,829,853,000
37,584,924,000
32,080,153,000
Patrimonio neto
Acción ordinaria
482,403,000
482,403,000
482,403,000
482,403,000
Ganancias retenidas
53,857,514,000
52,921,137,000
51,475,396,000
46,064,477,000
Otro ingreso integral acumulado
67,256,000
-443,990,000
-666,985,000
-1,380,918,000
Total de patrimonio neto de los accionistas
54,180,849,000
52,477,530,000
50,379,320,000
44,293,826,000
Total de obligaciones y capital de los accionistas
100,945,394,000
99,021,750,000
92,298,890,000
79,683,676,000