Doosan Enerbility

034020 · KRX · KRW

81.100,00 ₩Variación respecto al cierre anterior: −1,22 %Variación absoluta: −1000,00 ₩

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+5,08 %
2025 frente a 2024
Crecimiento del beneficio neto
−23,89 %
2025 frente a 2024
Margen neto
0,5 %
2024: 0,7 %

Datos financieros

Importes en millones de KRW; valores por acción en KRW; acciones en millones.

Balance · Trimestral
PartidaT2 2026T1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024T1 2024T4 2023T3 2023
Activo total29.947.74228.695.05527.513.22327.027.90326.305.19626.896.99326.314.83525.264.59726.114.10525.657.12124.640.83424.939.919
Activo corriente12.466.92011.529.89210.771.71110.245.4569.989.81410.507.12710.047.5169.673.60410.353.71210.311.1329.597.3849.536.360
Efectivo y equivalentes2.541.8883.090.5303.080.9972.404.2012.274.3052.609.6602.898.2982.287.6072.585.7752.920.1002.620.1872.270.177
Inversiones a corto plazo351.260108.861107.870111.532120.126151.970143.577100.781101.226215.691118.272102.386
Cuentas por cobrar5.319.9904.431.8504.058.4444.013.1754.008.3213.828.1323.432.8333.470.1533.656.3663.506.9893.398.1423.436.143
Existencias3.144.6252.828.1942.544.0252.771.0602.719.7453.037.8192.733.9333.071.0983.049.8892.790.5052.539.0042.691.408
Inmovilizado material neto5.916.9405.822.4545.776.6255.658.1715.681.8225.716.9365.703.0495.376.2065.359.6275.262.4285.225.1495.106.594
Fondo de comercio5.566.3505.481.0105.301.5645.188.7275.039.8135.198.8205.119.3895.017.8035.143.8675.028.2164.914.3025.161.906
Otros activos intangibles2.129.8952.111.9082.039.3222.017.0041.965.1731.980.5641.959.9911.785.6671.836.9841.786.3411.732.8371.767.707
Inversiones a largo plazo419.445860.968844.2911.011.078958.154828.299809.378783.703785.765392.051564.084640.777
Pasivo corriente12.072.03211.132.06910.107.0679.569.9328.833.1889.510.6468.945.8208.903.0889.510.9999.619.4259.596.7509.197.879
Proveedores3.408.5222.957.2493.183.1062.407.5122.563.7322.443.8022.220.9351.594.3542.281.9122.296.5622.434.0482.287.342
Deuda a largo plazo2.438.0162.550.2742.895.6563.248.3543.543.2703.342.8263.360.6842.818.7662.651.8132.556.4042.004.4282.337.648
Deuda total7.397.5237.032.3616.234.5227.154.3856.631.536———————
Pasivo total17.281.25916.251.43915.503.85315.161.71314.676.91115.153.86414.653.74313.894.71214.456.37614.404.72613.799.32513.778.618
Patrimonio neto (incl. minoritarios)12.666.48312.443.61612.009.37011.866.19011.628.28511.743.12911.661.09211.369.88511.657.72811.252.39410.841.50911.161.300
Reservas1.874.1301.713.6071.696.3271.634.9801.682.6871.548.6181.394.4481.577.0691.623.0391.479.8591.184.5321.407.212
Intereses minoritarios4.506.8504.410.6354.223.6274.161.2944.047.3014.139.4104.164.5303.941.0864.067.9413.900.6533.724.1383.686.502