Samsung Electronics

005930 · KRX · KRW

276.000,00 ₩Variación respecto al cierre anterior: 0,00 %

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+10,88 %
2025 frente a 2024
Crecimiento del beneficio neto
+31,65 %
2025 frente a 2024
Margen neto
13,3 %
2024: 11,2 %

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 total759.480.516633.339.604566.942.110523.659.586504.875.185516.376.748514.531.948491.307.317485.757.698470.899.812455.905.980454.466.447
Activo corriente379.711.982306.220.075247.684.612228.904.796212.160.671222.685.717227.062.266219.235.111217.858.103208.544.280195.936.557206.438.600
Efectivo y equivalentes92.916.38273.306.75157.856.37853.399.48347.120.02553.161.00453.705.57943.131.35949.844.40561.906.09769.080.89375.144.284
Inversiones a corto plazo97.036.64674.048.08567.965.02155.044.17353.580.55451.943.03758.909.33460.616.59850.921.35035.458.59723.299.20517.927.266
Cuentas por cobrar104.595.28788.942.28458.608.96958.277.13550.356.24554.008.03853.246.04752.413.69651.390.44748.566.72143.280.64149.775.407
Existencias71.389.11858.278.37352.636.82850.332.39251.037.41353.220.26751.754.86553.356.75955.566.61353.347.70051.625.87455.255.957
Inmovilizado material neto224.371.952217.814.922215.304.784204.861.077205.025.638207.385.768205.945.209195.028.773194.449.826191.155.560187.256.262180.805.963
Fondo de comercio——11.105.233———7.168.541———6.457.619—
Otros activos intangibles29.386.50229.643.71718.375.33226.469.12825.997.74626.695.08616.570.02523.077.45723.623.28023.246.60316.284.24323.137.000
Inversiones a largo plazo53.795.27937.566.41631.347.62729.404.36825.108.00424.119.60024.348.79823.062.15422.738.85021.502.19620.680.13521.995.354
Pasivo corriente134.189.617120.603.778106.411.34887.222.09884.402.64590.279.71293.326.29987.031.88984.354.93581.770.35575.719.45273.625.180
Proveedores17.204.68137.063.64413.039.38014.417.36112.675.84414.496.19512.370.17712.861.78713.113.26712.419.09411.319.82413.157.077
Deuda a largo plazo3.613.5023.613.5812.813.1482.015.8812.019.48420.75821.06726.36620.573560.590537.618602.079
Deuda total22.408.72128.138.79425.239.13916.672.28014.029.673———————
Pasivo total180.170.840146.703.628130.621.773110.158.092105.313.218109.762.479112.339.878105.025.954102.231.02798.983.68892.228.11590.573.804
Patrimonio neto (incl. minoritarios)579.309.676486.635.976436.320.337413.501.494399.561.967406.614.269402.192.070386.281.363383.526.671371.916.124363.677.865363.892.643
Reservas509.097.564445.609.819402.135.600385.279.270375.605.244373.062.171370.513.188365.359.495358.035.802350.847.854346.652.238342.125.419
Intereses minoritarios14.244.93612.671.17512.007.08211.500.35010.867.85010.753.17510.504.46710.129.1659.857.1099.601.05510.444.09010.212.457