SG&G Corp
KOSDAQ:040610
Balance Sheet
Balance Sheet Decomposition
SG&G Corp
SG&G Corp
Balance Sheet
SG&G Corp
| 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 |
4 385
|
1 247
|
20 787
|
369
|
4 721
|
2 251
|
726
|
878
|
932
|
32 973
|
30 403
|
22 084
|
32 952
|
23 123
|
29 809
|
44 514
|
41 879
|
51 234
|
90 383
|
2 770
|
5 760
|
1 046
|
2 864
|
4 587
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
21 733
|
15 305
|
20 881
|
31 770
|
31 022
|
32 527
|
68 711
|
2 019
|
4 672
|
775
|
1 898
|
3 510
|
|
| Cash Equivalents |
4 385
|
1 247
|
20 787
|
369
|
4 721
|
2 251
|
726
|
878
|
932
|
32 973
|
30 403
|
22 084
|
11 219
|
7 818
|
8 928
|
12 744
|
10 857
|
18 707
|
21 672
|
751
|
1 088
|
271
|
966
|
1 077
|
|
| Short-Term Investments |
13 099
|
15 492
|
4 673
|
1 100
|
1 230
|
1 180
|
217
|
45
|
567
|
31 025
|
14 642
|
17 987
|
9 608
|
22 453
|
7 585
|
8 193
|
12 744
|
3 364
|
37 072
|
3
|
583
|
2 610
|
0
|
500
|
|
| Total Receivables |
5 804
|
5 246
|
52 736
|
5 246
|
4 610
|
3 212
|
4 129
|
2 672
|
3 109
|
166 954
|
221 439
|
268 981
|
291 581
|
268 951
|
249 919
|
343 221
|
283 028
|
285 551
|
209 717
|
5 075
|
5 163
|
6 987
|
7 510
|
7 526
|
|
| Accounts Receivables |
5 553
|
3 745
|
43 743
|
3 444
|
1 854
|
2 113
|
3 296
|
2 196
|
2 282
|
150 510
|
203 893
|
225 918
|
225 832
|
223 404
|
198 511
|
303 839
|
215 458
|
205 026
|
150 325
|
4 398
|
4 060
|
6 604
|
7 376
|
7 428
|
|
| Other Receivables |
251
|
1 501
|
8 993
|
1 802
|
2 756
|
1 099
|
833
|
476
|
827
|
16 444
|
17 546
|
43 063
|
65 749
|
45 547
|
51 408
|
39 382
|
67 570
|
80 525
|
59 392
|
677
|
1 103
|
383
|
134
|
98
|
|
| Inventory |
486
|
163
|
16 328
|
101
|
62
|
347
|
193
|
0
|
72
|
89 510
|
118 114
|
149 990
|
162 332
|
123 298
|
122 465
|
120 525
|
122 437
|
126 847
|
101 069
|
2 767
|
2 167
|
1 673
|
2 971
|
3 085
|
|
| Other Current Assets |
1 014
|
1 466
|
1 421
|
307
|
9
|
17
|
33
|
58
|
249
|
17 566
|
14 079
|
5 691
|
5 618
|
7 389
|
9 735
|
13 572
|
16 711
|
198 773
|
26 853
|
43
|
21 975
|
22 183
|
22 513
|
22 483
|
|
| Total Current Assets |
24 789
|
23 613
|
95 946
|
7 124
|
10 631
|
7 006
|
5 297
|
3 652
|
4 930
|
338 028
|
398 677
|
464 733
|
502 091
|
445 214
|
419 512
|
530 026
|
476 799
|
665 769
|
465 094
|
10 658
|
35 648
|
34 500
|
35 859
|
38 180
|
|
| PP&E Net |
4 699
|
10 801
|
73 100
|
9 808
|
8 321
|
7 103
|
6 201
|
3 907
|
4 115
|
143 363
|
185 556
|
184 092
|
191 949
|
199 319
|
291 751
|
286 360
|
291 392
|
209 527
|
215 365
|
30 297
|
27 887
|
34 495
|
32 830
|
31 251
|
|
| PP&E Gross |
4 699
|
10 801
|
73 100
|
9 808
|
8 321
|
7 103
|
6 201
|
3 907
|
4 115
|
143 363
|
185 556
|
184 092
|
191 949
|
199 319
|
291 751
|
286 360
|
291 392
|
209 527
|
215 365
|
30 297
|
27 887
|
34 495
|
32 830
|
31 251
|
|
| Accumulated Depreciation |
2 938
|
3 770
|
41 543
|
3 736
|
3 864
|
5 181
|
4 749
|
986
|
1 173
|
110 424
|
116 879
|
122 773
|
135 855
|
155 354
|
169 304
|
190 100
|
195 178
|
173 165
|
166 972
|
6 138
|
9 248
|
9 822
|
10 378
|
10 402
|
|
| Intangible Assets |
676
|
1 381
|
1 040
|
892
|
582
|
323
|
258
|
151
|
127
|
5 858
|
6 325
|
5 877
|
6 021
|
4 319
|
3 813
|
3 851
|
5 291
|
4 827
|
4 397
|
541
|
899
|
1 059
|
1 154
|
1 769
|
|
| Goodwill |
0
|
2 386
|
33 851
|
0
|
2 929
|
2 631
|
3 850
|
3 249
|
2 649
|
17
|
17
|
17
|
17
|
12 572
|
15 149
|
11 872
|
10 869
|
9 193
|
11 077
|
0
|
0
|
0
|
0
|
0
|
|
| Note Receivable |
308
|
292
|
369
|
202
|
183
|
181
|
176
|
163
|
163
|
902
|
925
|
677
|
1 197
|
814
|
1 069
|
71 523
|
79 671
|
26 442
|
20 231
|
57
|
97
|
64
|
48
|
31
|
|
| Long-Term Investments |
17 307
|
8 773
|
5 991
|
36 063
|
63 546
|
63 884
|
76 959
|
71 756
|
88 476
|
319 649
|
322 303
|
285 054
|
289 368
|
345 868
|
351 113
|
365 990
|
362 754
|
300 574
|
400 962
|
288 315
|
294 717
|
307 326
|
340 213
|
381 420
|
|
| Other Long-Term Assets |
1 136
|
1 719
|
3 045
|
3 089
|
1 560
|
1 338
|
1 557
|
1 999
|
3 278
|
4 520
|
4 511
|
3 050
|
2 755
|
4 729
|
3 732
|
18 423
|
7 520
|
7 574
|
4 397
|
1 251
|
664
|
769
|
699
|
774
|
|
| Other Assets |
0
|
2 386
|
33 851
|
0
|
2 929
|
2 631
|
3 850
|
3 249
|
2 649
|
17
|
17
|
17
|
17
|
12 572
|
15 149
|
11 872
|
10 869
|
9 193
|
11 077
|
0
|
0
|
0
|
0
|
0
|
|
| Total Assets |
48 914
N/A
|
48 966
+0%
|
145 639
+197%
|
57 177
-61%
|
87 752
+53%
|
82 466
-6%
|
94 298
+14%
|
84 877
-10%
|
103 738
+22%
|
812 337
+683%
|
918 314
+13%
|
943 500
+3%
|
993 397
+5%
|
1 012 835
+2%
|
1 086 139
+7%
|
1 288 046
+19%
|
1 234 295
-4%
|
1 223 906
-1%
|
1 121 522
-8%
|
331 120
-70%
|
359 911
+9%
|
378 213
+5%
|
410 802
+9%
|
453 424
+10%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
573
|
535
|
31 968
|
791
|
487
|
399
|
1 712
|
429
|
2 085
|
88 091
|
103 965
|
104 230
|
94 984
|
97 764
|
91 070
|
169 394
|
132 179
|
100 387
|
93 324
|
2 905
|
2 755
|
3 633
|
3 551
|
3 749
|
|
| Accrued Liabilities |
33
|
78
|
297
|
30
|
11
|
9
|
12
|
39
|
0
|
1 690
|
1 337
|
1 695
|
1 607
|
1 736
|
2 988
|
5 630
|
4 203
|
3 935
|
4 315
|
113
|
92
|
185
|
188
|
83
|
|
| Short-Term Debt |
0
|
0
|
28 765
|
250
|
0
|
0
|
1 500
|
5 700
|
3 800
|
171 830
|
208 785
|
161 229
|
157 565
|
216 896
|
245 311
|
292 004
|
242 446
|
233 925
|
138 352
|
16 015
|
16 015
|
14 015
|
14 015
|
39 015
|
|
| Current Portion of Long-Term Debt |
282
|
1 604
|
14 825
|
747
|
974
|
885
|
4 851
|
0
|
0
|
162
|
176
|
287
|
70 236
|
428
|
20 315
|
25 391
|
18 040
|
17 764
|
81 447
|
11 779
|
20 798
|
23 480
|
23 486
|
1 641
|
|
| Other Current Liabilities |
1 409
|
2 393
|
8 432
|
1 624
|
2 081
|
1 148
|
2 112
|
2 772
|
3 135
|
41 090
|
53 712
|
50 005
|
56 204
|
52 910
|
73 508
|
95 421
|
108 582
|
118 639
|
53 071
|
2 024
|
5 974
|
2 644
|
2 471
|
4 801
|
|
| Total Current Liabilities |
2 297
|
4 609
|
84 287
|
3 441
|
3 553
|
2 441
|
10 186
|
8 940
|
9 020
|
302 863
|
367 975
|
317 447
|
380 596
|
369 734
|
433 191
|
587 840
|
505 450
|
474 649
|
370 510
|
32 836
|
45 634
|
43 958
|
43 710
|
49 290
|
|
| Long-Term Debt |
13 660
|
13 617
|
10 485
|
3 178
|
5 770
|
4 769
|
0
|
0
|
0
|
5 121
|
16 075
|
79 948
|
34 579
|
37 996
|
9 344
|
9 139
|
54 893
|
77 066
|
76 568
|
12 374
|
1 780
|
5 803
|
4 601
|
5 237
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
43 396
|
42 658
|
42 776
|
42 523
|
41 806
|
57 453
|
52 338
|
50 722
|
30 342
|
16 510
|
8 090
|
41 188
|
14 280
|
16 071
|
18 090
|
|
| Minority Interest |
0
|
2 403
|
8 031
|
0
|
7 063
|
11 185
|
13 441
|
11 987
|
15 811
|
298 582
|
306 982
|
308 906
|
320 200
|
327 270
|
337 791
|
342 852
|
346 298
|
364 281
|
385 114
|
16
|
16
|
16
|
8
|
8
|
|
| Other Liabilities |
689
|
718
|
14 877
|
397
|
463
|
486
|
596
|
482
|
505
|
13 625
|
16 194
|
15 550
|
13 133
|
13 793
|
10 671
|
36 103
|
25 686
|
30 561
|
33 627
|
1 395
|
834
|
602
|
647
|
268
|
|
| Total Liabilities |
16 646
N/A
|
21 348
+28%
|
117 679
+451%
|
7 017
-94%
|
16 849
+140%
|
18 881
+12%
|
24 223
+28%
|
21 408
-12%
|
25 336
+18%
|
663 588
+2 519%
|
749 884
+13%
|
764 628
+2%
|
791 031
+3%
|
790 598
0%
|
848 449
+7%
|
1 028 273
+21%
|
983 048
-4%
|
976 899
-1%
|
882 329
-10%
|
54 679
-94%
|
89 420
+64%
|
64 626
-28%
|
65 021
+1%
|
72 878
+12%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
5 369
|
5 625
|
5 625
|
13 732
|
14 361
|
14 361
|
14 870
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
17 044
|
|
| Retained Earnings |
3 108
|
1 703
|
1 343
|
10 472
|
27 260
|
24 388
|
19 246
|
11 287
|
22 838
|
116 302
|
134 582
|
146 941
|
171 212
|
190 729
|
199 875
|
216 983
|
217 099
|
211 895
|
211 067
|
237 729
|
222 656
|
274 287
|
293 287
|
314 041
|
|
| Additional Paid In Capital |
24 663
|
24 663
|
24 663
|
25 802
|
26 230
|
26 230
|
27 856
|
29 917
|
29 917
|
29 917
|
31 227
|
31 227
|
31 227
|
31 227
|
34 729
|
34 818
|
32 329
|
31 985
|
25 717
|
25 717
|
25 717
|
25 717
|
25 717
|
25 717
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
178
|
123
|
4 447
|
2 058
|
1 768
|
967
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
149
|
17
|
1 098
|
895
|
117
|
1 987
|
4 474
|
|
| Treasury Stock |
1 129
|
0
|
0
|
0
|
0
|
0
|
0
|
1 712
|
1 712
|
16 570
|
16 570
|
16 570
|
16 570
|
16 570
|
15 841
|
9 661
|
8 988
|
8 710
|
9 313
|
858
|
858
|
858
|
858
|
858
|
|
| Other Equity |
257
|
968
|
986
|
24
|
3 175
|
3 054
|
10 161
|
8 702
|
11 284
|
2 057
|
2 147
|
230
|
547
|
193
|
1 883
|
590
|
6 236
|
5 355
|
5 337
|
2 092
|
5 037
|
2 486
|
8 604
|
20 129
|
|
| Total Equity |
32 268
N/A
|
27 618
-14%
|
27 960
+1%
|
50 160
+79%
|
70 903
+41%
|
63 586
-10%
|
70 074
+10%
|
63 469
-9%
|
78 402
+24%
|
148 750
+90%
|
168 430
+13%
|
178 872
+6%
|
202 365
+13%
|
222 237
+10%
|
237 690
+7%
|
259 773
+9%
|
251 247
-3%
|
247 007
-2%
|
239 193
-3%
|
276 441
+16%
|
270 491
-2%
|
313 587
+16%
|
345 781
+10%
|
380 547
+10%
|
|
| Total Liabilities & Equity |
48 914
N/A
|
48 966
+0%
|
145 639
+197%
|
57 177
-61%
|
87 752
+53%
|
82 466
-6%
|
94 298
+14%
|
84 877
-10%
|
103 738
+22%
|
812 337
+683%
|
918 314
+13%
|
943 500
+3%
|
993 397
+5%
|
1 012 835
+2%
|
1 086 139
+7%
|
1 288 046
+19%
|
1 234 295
-4%
|
1 223 906
-1%
|
1 121 522
-8%
|
331 120
-70%
|
359 911
+9%
|
378 213
+5%
|
410 802
+9%
|
453 424
+10%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
12
|
12
|
12
|
27
|
29
|
29
|
29
|
33
|
33
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
|