Samsung C&T

028260 · KRX · KRW

346.000,00 ₩Variación respecto al cierre anterior: −0,29 %Variación absoluta: −1000,00 ₩

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
−3,23 %
2025 frente a 2024
Crecimiento del beneficio neto
+9,36 %
2025 frente a 2024
Margen neto
6,0 %
2024: 5,3 %

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 total163.768.451105.087.41186.532.74674.309.70164.766.29362.457.98161.990.42762.356.76068.291.22569.330.32866.127.02962.484.018
Activo corriente24.006.42123.121.25921.356.40520.124.31018.957.92219.554.35420.180.97618.708.39319.156.43019.601.88718.977.56119.068.647
Efectivo y equivalentes4.856.4344.635.7703.458.2184.079.2993.677.3403.263.8863.622.3723.462.8034.123.4613.540.5123.119.5163.104.570
Inversiones a corto plazo2.702.3871.821.7751.997.8781.650.8551.402.963981.5021.397.671839.767968.1651.453.5012.058.2711.892.657
Cuentas por cobrar7.872.0588.441.2358.311.1267.174.8166.877.7988.114.6928.132.2647.741.9537.178.8547.872.5107.110.3027.318.692
Existencias6.306.7706.063.3265.642.1255.460.4125.215.3415.215.6035.125.8974.972.9814.898.4984.760.4214.470.0894.410.095
Inmovilizado material neto11.042.94911.027.66810.249.68410.014.45810.043.62910.111.2469.704.6178.772.8808.389.5878.327.3707.850.5487.634.082
Fondo de comercio1.848.7971.828.7171.828.4731.828.3411.828.2441.828.7021.828.7341.828.3771.828.4641.828.4361.828.3401.828.504
Otros activos intangibles352.000361.095357.614346.558358.784362.259366.670365.637368.900354.883357.244337.640
Inversiones a largo plazo120.589.62462.679.16146.519.71235.673.79927.324.10424.135.77623.381.16326.125.01431.929.82932.463.68230.394.09527.088.333
Pasivo corriente16.002.53215.341.13413.871.98013.223.00112.529.99814.045.56414.747.26114.201.70514.879.41215.712.58214.759.07215.141.085
Proveedores3.099.5282.748.8512.474.4892.535.9552.481.7452.523.2252.437.6742.652.9732.904.4462.840.6592.707.7783.615.321
Deuda a largo plazo815.5201.564.3901.611.3231.605.1972.093.1251.785.1431.741.9901.034.944951.5821.492.2511.635.3281.442.229
Deuda total3.923.4934.821.6473.953.7303.961.8394.079.001———————
Pasivo total50.059.81034.971.58929.035.79626.043.06123.676.43124.124.12224.731.88723.942.80826.034.48327.461.53426.229.92025.539.836
Patrimonio neto (incl. minoritarios)113.708.64170.115.82257.496.94948.266.64041.089.86238.333.85937.258.54038.413.95242.256.74241.868.79439.897.10936.944.182
Reservas15.845.09015.249.92015.509.90914.578.24914.011.77213.659.08614.014.37913.514.08313.056.55312.972.31012.661.66412.312.602
Intereses minoritarios8.155.4547.830.0617.585.0576.884.1276.566.5376.393.3126.189.8756.020.3945.907.7275.751.4795.659.0005.486.676