Samsung SDI

006400 · KRX · KRW

529.000,00 ₩Variación respecto al cierre anterior: +2,32 %Variación absoluta: +12.000,00 ₩

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
−20,04 %
2025 frente a 2024
Margen neto
-4,9 %
2024: 3,6 %

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 total47.621.89144.506.27442.255.33942.174.54841.436.90340.710.06740.597.34538.144.87737.782.72635.450.63334.038.86033.546.759
Activo corriente9.701.3868.995.6258.739.9299.894.08710.020.8089.252.3019.703.4409.331.7809.968.55810.044.6419.187.0299.879.255
Efectivo y equivalentes1.505.5001.737.7221.803.9942.148.5922.154.3611.352.8301.885.0691.621.7801.709.0062.354.7131.524.4611.407.433
Inversiones a corto plazo102.610101.949196.680796.642701.808101.891159.596175.352233.687354.993602.0391.168.879
Cuentas por cobrar3.317.2512.478.6642.405.1963.181.3413.091.2943.478.4723.325.7913.289.6553.617.1263.527.8393.145.4573.463.942
Existencias3.675.5373.330.0872.936.3322.669.0632.583.1412.764.8062.879.4423.223.7903.638.0863.348.7833.297.3693.341.386
Inmovilizado material neto20.285.83920.022.80119.240.61918.561.72118.047.88318.238.72517.706.53015.736.46915.446.59113.350.94611.893.34811.084.794
Fondo de comercio288.352287.983287.349398.387394.110393.941388.991387.192621.062618.291616.153615.758
Otros activos intangibles267.950280.827296.811280.244281.979294.688278.994235.331236.964231.896242.776221.887
Inversiones a largo plazo15.992.06613.916.90512.704.47712.275.80911.456.52011.278.56611.092.29510.868.55610.635.27910.384.48411.303.95211.071.988
Pasivo corriente12.649.76510.305.0459.794.8539.518.9879.602.13410.095.55010.855.69410.552.27510.609.2049.831.9868.518.9339.091.773
Proveedores1.344.1531.279.3581.070.8951.014.992926.3091.038.250905.5521.082.6201.560.2781.933.1692.118.6582.477.177
Deuda a largo plazo4.443.2105.739.5565.493.3415.999.2516.291.0386.153.6745.063.7443.607.4303.310.7212.394.4292.849.5252.485.167
Deuda total12.283.01911.833.01511.071.59511.641.15411.629.976———————
Pasivo total20.785.67119.596.35218.685.22518.701.67118.758.30819.173.11919.030.10717.009.66716.593.15314.845.54714.131.61014.322.743
Patrimonio neto (incl. minoritarios)26.836.22024.909.92223.570.11323.472.87722.678.59521.536.94721.567.23721.135.21021.189.57220.605.08619.907.25019.224.015
Reservas12.395.18212.056.78812.088.78612.384.02112.337.35012.491.12712.779.91813.094.56212.864.85012.541.86012.335.66511.912.596
Intereses minoritarios2.537.3872.331.3752.127.2391.945.2041.923.7631.929.4321.800.8421.666.0321.732.9901.708.0041.395.877953.501