Seohee Construction Co Ltd
KOSDAQ:035890
Balance Sheet
Balance Sheet Decomposition
Seohee Construction Co Ltd
Seohee Construction Co Ltd
Balance Sheet
Seohee Construction Co Ltd
| Dec-2001 | Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
3 018
|
1 324
|
1 230
|
779
|
7 948
|
14 568
|
17 185
|
51 818
|
41 199
|
82 733
|
58 453
|
53 075
|
55 375
|
54 299
|
86 412
|
143 293
|
73 058
|
172 353
|
167 020
|
169 620
|
177 797
|
267 669
|
220 256
|
188 131
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
55 009
|
657
|
375
|
336
|
288
|
236
|
123
|
205
|
1 169
|
1 015
|
207
|
960
|
|
| Cash Equivalents |
3 018
|
1 324
|
1 230
|
779
|
7 948
|
14 568
|
17 185
|
51 818
|
41 199
|
82 733
|
58 453
|
53 075
|
366
|
53 642
|
86 037
|
142 957
|
72 770
|
172 117
|
166 897
|
169 415
|
176 628
|
266 654
|
220 049
|
187 171
|
|
| Short-Term Investments |
5 315
|
1 245
|
195
|
238
|
1 305
|
3 887
|
5 588
|
13 455
|
12 201
|
23 744
|
8 716
|
14 287
|
21 233
|
16 431
|
18
|
1 657
|
73 306
|
38 879
|
52 172
|
153 578
|
176 849
|
71 189
|
150 858
|
352 688
|
|
| Total Receivables |
16 243
|
27 845
|
15 830
|
30 425
|
47 189
|
101 911
|
159 049
|
267 609
|
341 622
|
365 162
|
408 680
|
366 632
|
295 913
|
306 834
|
281 082
|
265 462
|
289 590
|
266 068
|
346 455
|
359 206
|
379 497
|
492 599
|
438 288
|
306 843
|
|
| Accounts Receivables |
14 480
|
26 841
|
12 594
|
21 645
|
39 412
|
91 729
|
134 876
|
228 625
|
282 618
|
300 866
|
302 239
|
287 609
|
238 445
|
249 624
|
255 974
|
224 971
|
201 848
|
231 494
|
295 943
|
274 086
|
210 296
|
310 310
|
323 302
|
212 251
|
|
| Other Receivables |
1 763
|
1 004
|
3 236
|
8 780
|
7 777
|
10 182
|
24 173
|
38 984
|
59 004
|
64 296
|
106 441
|
79 023
|
57 468
|
57 210
|
25 108
|
40 491
|
87 742
|
34 574
|
50 512
|
85 120
|
169 201
|
182 289
|
114 986
|
94 592
|
|
| Inventory |
6 193
|
2 132
|
4 948
|
6 824
|
9 035
|
14 119
|
39 836
|
49 067
|
66 003
|
109 477
|
21 221
|
15 899
|
13 208
|
12 236
|
9 555
|
9 563
|
8 541
|
4 208
|
4 145
|
2 592
|
5 949
|
6 285
|
7 584
|
5 949
|
|
| Other Current Assets |
1 132
|
9 314
|
14 403
|
28 435
|
24 121
|
31 840
|
61 830
|
73 224
|
83 251
|
81 230
|
71 755
|
61 697
|
41 081
|
32 690
|
52 563
|
48 529
|
74 206
|
72 307
|
81 592
|
123 143
|
178 097
|
189 292
|
171 701
|
121 791
|
|
| Total Current Assets |
31 900
|
41 861
|
36 607
|
66 700
|
89 598
|
166 325
|
283 488
|
455 173
|
544 276
|
662 345
|
568 825
|
511 590
|
426 810
|
422 490
|
429 630
|
468 504
|
518 700
|
553 815
|
651 384
|
808 140
|
918 188
|
1 027 034
|
988 687
|
975 403
|
|
| PP&E Net |
15 958
|
18 209
|
29 250
|
38 598
|
38 215
|
46 175
|
37 014
|
76 012
|
77 359
|
39 667
|
27 141
|
48 211
|
7 599
|
7 321
|
6 670
|
2 868
|
2 290
|
2 606
|
17 037
|
30 969
|
76 616
|
120 901
|
92 716
|
91 094
|
|
| PP&E Gross |
15 958
|
18 209
|
29 250
|
38 598
|
38 215
|
46 175
|
37 014
|
76 012
|
77 359
|
39 667
|
27 141
|
48 211
|
7 599
|
7 321
|
6 670
|
2 868
|
2 290
|
2 606
|
17 037
|
30 969
|
76 616
|
120 901
|
92 716
|
91 094
|
|
| Accumulated Depreciation |
1 921
|
2 307
|
3 238
|
4 722
|
6 144
|
7 631
|
9 284
|
10 870
|
12 745
|
12 690
|
14 653
|
16 680
|
10 362
|
11 752
|
12 248
|
9 052
|
9 647
|
9 531
|
18 824
|
34 357
|
56 980
|
62 250
|
56 374
|
35 908
|
|
| Intangible Assets |
0
|
0
|
342
|
269
|
196
|
123
|
50
|
0
|
0
|
3 167
|
3 268
|
2 890
|
142 583
|
133 477
|
134 979
|
119 629
|
103 656
|
88 024
|
78 180
|
84 689
|
59 496
|
48 897
|
20 665
|
11 320
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
5 449
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 861
|
3 957
|
3 976
|
3 976
|
3 809
|
|
| Note Receivable |
46
|
0
|
0
|
0
|
1 330
|
5 165
|
7 056
|
2 825
|
20 108
|
62 068
|
60 388
|
55 702
|
45 710
|
26 442
|
22 376
|
22 134
|
13 535
|
32 985
|
25 043
|
16 339
|
22 409
|
29 918
|
34 883
|
12 992
|
|
| Long-Term Investments |
3 914
|
3 242
|
6 381
|
13 544
|
16 812
|
28 819
|
57 789
|
57 048
|
59 404
|
93 990
|
99 051
|
105 108
|
100 021
|
113 478
|
100 220
|
112 691
|
109 661
|
127 940
|
160 541
|
209 066
|
339 004
|
334 582
|
309 925
|
330 264
|
|
| Other Long-Term Assets |
390
|
262
|
1 997
|
2 700
|
19 480
|
18 359
|
22 457
|
47 065
|
54 264
|
76 782
|
27 454
|
66 389
|
25 155
|
31 220
|
28 057
|
40 625
|
59 165
|
46 733
|
43 959
|
104 354
|
100 993
|
50 735
|
87 989
|
115 709
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
5 449
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 861
|
3 957
|
3 976
|
3 976
|
3 809
|
|
| Total Assets |
52 209
N/A
|
63 575
+22%
|
74 577
+17%
|
121 811
+63%
|
165 630
+36%
|
264 966
+60%
|
407 854
+54%
|
638 123
+56%
|
755 411
+18%
|
943 468
+25%
|
786 126
-17%
|
789 890
+0%
|
747 879
-5%
|
734 426
-2%
|
721 933
-2%
|
766 450
+6%
|
807 007
+5%
|
852 103
+6%
|
976 143
+15%
|
1 255 419
+29%
|
1 520 662
+21%
|
1 616 044
+6%
|
1 538 841
-5%
|
1 540 590
+0%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
2 408
|
3 021
|
1 091
|
770
|
10 158
|
20 871
|
39 883
|
60 445
|
113 728
|
184 703
|
181 296
|
145 150
|
104 789
|
123 331
|
138 731
|
127 432
|
82 076
|
97 237
|
104 468
|
134 542
|
136 352
|
151 634
|
158 930
|
139 636
|
|
| Accrued Liabilities |
298
|
362
|
208
|
1 845
|
2 312
|
2 005
|
2 573
|
6 168
|
15 182
|
11 348
|
3 224
|
6 721
|
15 243
|
8 018
|
10 123
|
7 366
|
7 888
|
9 077
|
5 483
|
3 522
|
4 528
|
6 749
|
3 769
|
4 236
|
|
| Short-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
25 908
|
19 700
|
48 048
|
38 783
|
41 295
|
120 131
|
121 475
|
63 078
|
59 306
|
55 459
|
|
| Current Portion of Long-Term Debt |
0
|
0
|
1 855
|
6 253
|
11 883
|
44 816
|
77 549
|
133 567
|
142 812
|
156 925
|
108 281
|
119 698
|
122 421
|
94 271
|
34 853
|
53 959
|
51 054
|
69 206
|
48 307
|
28 000
|
33 798
|
26 228
|
35 910
|
30 389
|
|
| Other Current Liabilities |
12 685
|
18 838
|
11 493
|
22 768
|
38 554
|
68 528
|
83 101
|
169 622
|
179 291
|
211 893
|
182 441
|
158 106
|
161 684
|
159 346
|
156 995
|
185 535
|
215 299
|
218 496
|
263 282
|
292 726
|
407 849
|
463 914
|
332 148
|
231 036
|
|
| Total Current Liabilities |
15 390
|
22 221
|
14 648
|
31 636
|
62 907
|
136 220
|
203 106
|
369 802
|
451 013
|
564 869
|
475 241
|
429 676
|
404 137
|
384 966
|
366 610
|
393 992
|
404 366
|
432 799
|
462 835
|
578 921
|
704 001
|
711 604
|
590 063
|
460 757
|
|
| Long-Term Debt |
712
|
2 972
|
12 780
|
30 975
|
29 277
|
27 563
|
41 281
|
47 127
|
57 796
|
164 270
|
57 989
|
97 569
|
99 977
|
99 639
|
96 350
|
92 630
|
77 455
|
71 457
|
62 657
|
70 852
|
81 073
|
73 175
|
27 946
|
26 932
|
|
| Deferred Income Tax |
1 766
|
1 953
|
1 853
|
1 570
|
630
|
447
|
0
|
7 169
|
7 899
|
534
|
0
|
0
|
0
|
0
|
560
|
2 663
|
1 017
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Minority Interest |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
580
|
1 023
|
4 644
|
6 442
|
3 881
|
4 077
|
3 183
|
8 789
|
10 470
|
15 566
|
16 935
|
16 202
|
20 528
|
14 022
|
15 738
|
167
|
918
|
|
| Other Liabilities |
5 510
|
4 639
|
4 913
|
5 113
|
5 180
|
7 313
|
14 745
|
18 092
|
17 012
|
15 680
|
21 145
|
17 323
|
63 818
|
64 071
|
57 138
|
47 773
|
54 541
|
50 478
|
56 228
|
65 784
|
68 619
|
75 412
|
77 160
|
79 113
|
|
| Total Liabilities |
23 378
N/A
|
31 785
+36%
|
34 193
+8%
|
69 293
+103%
|
97 994
+41%
|
171 543
+75%
|
259 132
+51%
|
441 609
+70%
|
532 697
+21%
|
749 996
+41%
|
560 818
-25%
|
548 449
-2%
|
572 010
+4%
|
551 860
-4%
|
529 447
-4%
|
547 528
+3%
|
552 945
+1%
|
571 670
+3%
|
597 922
+5%
|
736 085
+23%
|
867 715
+18%
|
875 929
+1%
|
695 002
-21%
|
565 885
-19%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
9 100
|
9 100
|
11 250
|
15 000
|
20 000
|
25 000
|
35 429
|
35 429
|
44 610
|
41 441
|
53 878
|
79 968
|
79 968
|
79 969
|
79 969
|
79 969
|
86 734
|
86 734
|
103 541
|
114 904
|
114 904
|
114 904
|
114 904
|
114 904
|
|
| Retained Earnings |
12 630
|
15 935
|
21 808
|
30 706
|
38 575
|
52 784
|
69 183
|
88 041
|
89 067
|
103 123
|
117 196
|
97 971
|
32 811
|
39 510
|
51 617
|
77 935
|
106 700
|
135 870
|
192 658
|
309 957
|
443 452
|
530 384
|
660 580
|
809 073
|
|
| Additional Paid In Capital |
8 893
|
8 893
|
8 854
|
8 814
|
11 063
|
17 716
|
46 026
|
46 024
|
62 209
|
51 732
|
56 270
|
65 153
|
65 176
|
65 177
|
65 177
|
65 177
|
66 791
|
66 791
|
97 942
|
115 572
|
115 572
|
115 957
|
115 957
|
115 880
|
|
| Unrealized Security Profit/Loss |
522
|
797
|
136
|
220
|
220
|
296
|
285
|
1 100
|
29 029
|
918
|
84
|
675
|
679
|
639
|
412
|
511
|
4 487
|
6 357
|
6 979
|
7 178
|
7 060
|
7 210
|
5 881
|
5 986
|
|
| Treasury Stock |
1 270
|
1 342
|
1 392
|
1 781
|
1 781
|
1 781
|
1 630
|
2 199
|
2 199
|
2 220
|
2 435
|
2 566
|
2 633
|
2 633
|
4 568
|
4 568
|
3 249
|
4 178
|
10 512
|
15 494
|
15 494
|
15 494
|
43 295
|
60 738
|
|
| Other Equity |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
28 120
|
0
|
315
|
315
|
240
|
134
|
95
|
120
|
101
|
1 573
|
1 573
|
1 573
|
1 573
|
1 573
|
1 573
|
1 573
|
1 573
|
|
| Total Equity |
28 831
N/A
|
31 790
+10%
|
40 384
+27%
|
52 518
+30%
|
67 636
+29%
|
93 423
+38%
|
148 722
+59%
|
196 514
+32%
|
222 714
+13%
|
193 472
-13%
|
225 309
+16%
|
241 441
+7%
|
175 869
-27%
|
182 567
+4%
|
192 486
+5%
|
218 923
+14%
|
254 062
+16%
|
280 433
+10%
|
378 222
+35%
|
519 334
+37%
|
652 947
+26%
|
740 114
+13%
|
843 839
+14%
|
974 706
+16%
|
|
| Total Liabilities & Equity |
52 209
N/A
|
63 575
+22%
|
74 577
+17%
|
121 812
+63%
|
165 630
+36%
|
264 966
+60%
|
407 854
+54%
|
638 123
+56%
|
755 411
+18%
|
943 468
+25%
|
786 126
-17%
|
789 890
+0%
|
747 879
-5%
|
734 426
-2%
|
721 933
-2%
|
766 450
+6%
|
807 007
+5%
|
852 103
+6%
|
976 143
+15%
|
1 255 419
+29%
|
1 520 662
+21%
|
1 616 044
+6%
|
1 538 841
-5%
|
1 540 590
+0%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
31
|
31
|
38
|
44
|
58
|
58
|
73
|
84
|
91
|
91
|
112
|
157
|
157
|
157
|
154
|
154
|
170
|
169
|
203
|
220
|
220
|
220
|
200
|
188
|
|
| Preferred Shares Outstanding |
0
|
0
|
0
|
0
|
0
|
0
|
6
|
6
|
5
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|