CJ Freshway Corp
KOSDAQ:051500
Balance Sheet
Balance Sheet Decomposition
CJ Freshway Corp
CJ Freshway Corp
Balance Sheet
CJ Freshway 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 |
5 128
|
12 795
|
3 798
|
1 867
|
10 541
|
5 331
|
9 610
|
29 979
|
37 212
|
9 421
|
8 750
|
11 382
|
11 071
|
7 305
|
10 955
|
12 416
|
54 719
|
25 969
|
21 256
|
85 566
|
153 736
|
188 326
|
65 772
|
140 427
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 619
|
182
|
1 234
|
211
|
197
|
250
|
217
|
264
|
5
|
25
|
173
|
122
|
91
|
|
| Cash Equivalents |
5 128
|
12 795
|
3 798
|
1 867
|
10 541
|
5 331
|
9 610
|
29 979
|
37 212
|
9 421
|
8 750
|
9 763
|
10 889
|
6 071
|
10 744
|
12 219
|
54 469
|
25 752
|
20 992
|
85 561
|
153 711
|
188 153
|
65 650
|
140 336
|
|
| Short-Term Investments |
870
|
16
|
17
|
18
|
18
|
200
|
25 058
|
20 000
|
8 680
|
0
|
720
|
920
|
100
|
200
|
200
|
2 543
|
1 260
|
0
|
534
|
1 270
|
65
|
720
|
120
|
0
|
|
| Total Receivables |
35 103
|
50 830
|
69 929
|
81 130
|
80 213
|
62 144
|
64 738
|
61 511
|
74 825
|
132 537
|
142 686
|
178 426
|
254 321
|
207 649
|
226 300
|
257 786
|
278 614
|
216 014
|
267 797
|
213 401
|
225 535
|
288 477
|
317 406
|
323 516
|
|
| Accounts Receivables |
33 222
|
46 732
|
41 740
|
50 094
|
56 823
|
55 234
|
60 404
|
54 472
|
67 729
|
125 169
|
134 633
|
166 548
|
227 785
|
195 951
|
213 024
|
250 457
|
269 233
|
203 668
|
251 440
|
200 781
|
216 497
|
278 525
|
306 422
|
312 760
|
|
| Other Receivables |
1 881
|
4 098
|
28 189
|
31 036
|
23 390
|
6 910
|
4 334
|
7 039
|
7 096
|
7 368
|
8 053
|
11 878
|
26 536
|
11 698
|
13 276
|
7 329
|
9 381
|
12 346
|
16 357
|
12 620
|
9 038
|
9 952
|
10 984
|
10 756
|
|
| Inventory |
41 097
|
35 156
|
22 867
|
40 098
|
26 512
|
28 401
|
19 459
|
22 762
|
30 024
|
55 709
|
93 344
|
143 952
|
58 138
|
113 948
|
171 694
|
184 504
|
154 177
|
210 415
|
191 367
|
120 207
|
115 194
|
181 830
|
138 024
|
175 103
|
|
| Other Current Assets |
3 623
|
1 550
|
2 216
|
2 868
|
4 051
|
3 722
|
5 305
|
5 501
|
7 189
|
10 643
|
12 725
|
19 028
|
9 841
|
20 161
|
9 324
|
11 846
|
17 835
|
15 498
|
14 881
|
10 698
|
7 627
|
14 614
|
19 436
|
15 298
|
|
| Total Current Assets |
85 820
|
100 347
|
98 827
|
125 981
|
121 335
|
99 798
|
124 169
|
139 753
|
157 931
|
208 310
|
258 225
|
353 708
|
333 471
|
349 263
|
418 474
|
469 095
|
506 605
|
467 895
|
495 835
|
431 141
|
502 158
|
673 968
|
540 757
|
654 343
|
|
| PP&E Net |
61 008
|
53 610
|
45 741
|
41 908
|
48 673
|
45 235
|
39 469
|
44 055
|
66 963
|
54 001
|
76 808
|
91 829
|
70 169
|
225 226
|
225 408
|
241 941
|
254 345
|
301 058
|
439 390
|
460 801
|
486 964
|
526 155
|
540 063
|
614 962
|
|
| PP&E Gross |
61 008
|
53 610
|
45 741
|
41 908
|
48 673
|
45 235
|
39 469
|
44 055
|
66 963
|
54 001
|
76 808
|
91 829
|
70 169
|
225 226
|
225 408
|
241 941
|
254 345
|
301 058
|
439 390
|
460 801
|
486 964
|
526 155
|
540 063
|
614 962
|
|
| Accumulated Depreciation |
12 898
|
19 821
|
24 845
|
30 044
|
36 470
|
33 181
|
37 844
|
34 763
|
35 275
|
37 291
|
50 496
|
62 217
|
40 799
|
56 347
|
47 711
|
62 398
|
72 091
|
84 669
|
107 152
|
126 665
|
141 684
|
153 887
|
172 965
|
196 093
|
|
| Intangible Assets |
654
|
2 648
|
12 654
|
12 610
|
10 080
|
6 694
|
4 836
|
2 344
|
656
|
5 914
|
6 473
|
7 938
|
9 329
|
41 694
|
57 095
|
57 505
|
56 485
|
52 535
|
52 485
|
34 384
|
29 977
|
34 439
|
46 593
|
51 592
|
|
| Goodwill |
2 206
|
2 275
|
2 554
|
1 126
|
305
|
0
|
0
|
0
|
0
|
0
|
0
|
2 019
|
2 019
|
25 979
|
22 676
|
47 528
|
39 156
|
40 614
|
56 244
|
51 146
|
45 923
|
40 360
|
40 360
|
40 360
|
|
| Note Receivable |
4 699
|
2 358
|
577
|
3
|
0
|
0
|
0
|
0
|
1 600
|
0
|
1 001
|
6 810
|
1 560
|
2 784
|
2 773
|
2 773
|
2 967
|
1 473
|
704
|
368
|
380
|
392
|
403
|
8
|
|
| Long-Term Investments |
6 201
|
6 611
|
6 748
|
4 818
|
5 111
|
6 100
|
3 174
|
728
|
713
|
29 865
|
62 700
|
174 676
|
172 487
|
17 302
|
17 590
|
13 375
|
13 622
|
2 986
|
101 379
|
95 012
|
93 612
|
131 967
|
119 964
|
123 451
|
|
| Other Long-Term Assets |
8 621
|
13 505
|
18 200
|
15 777
|
13 828
|
24 557
|
24 365
|
26 818
|
25 179
|
24 770
|
22 726
|
13 540
|
7 929
|
10 853
|
14 786
|
18 319
|
29 463
|
50 783
|
35 626
|
49 926
|
57 469
|
77 447
|
86 603
|
79 647
|
|
| Other Assets |
2 206
|
2 275
|
2 554
|
1 126
|
305
|
0
|
0
|
0
|
0
|
0
|
0
|
2 019
|
2 019
|
25 979
|
22 676
|
47 528
|
39 156
|
40 614
|
56 244
|
51 146
|
45 923
|
40 360
|
40 360
|
40 360
|
|
| Total Assets |
169 209
N/A
|
181 356
+7%
|
185 302
+2%
|
202 223
+9%
|
199 332
-1%
|
182 386
-9%
|
196 013
+7%
|
213 697
+9%
|
253 042
+18%
|
322 860
+28%
|
427 933
+33%
|
650 519
+52%
|
596 964
-8%
|
673 102
+13%
|
758 802
+13%
|
850 536
+12%
|
902 642
+6%
|
917 345
+2%
|
1 181 663
+29%
|
1 122 779
-5%
|
1 216 484
+8%
|
1 484 727
+22%
|
1 374 744
-7%
|
1 564 362
+14%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
52 134
|
60 338
|
33 842
|
46 228
|
49 168
|
48 348
|
76 859
|
81 158
|
94 521
|
125 159
|
181 084
|
219 525
|
206 083
|
234 743
|
250 160
|
270 112
|
252 282
|
242 997
|
260 734
|
236 771
|
267 086
|
352 170
|
401 942
|
406 092
|
|
| Accrued Liabilities |
3 859
|
3 337
|
1 046
|
3 869
|
4 886
|
3 209
|
2 223
|
2 930
|
4 522
|
7 001
|
8 027
|
11 109
|
9 740
|
12 114
|
10 895
|
0
|
10 669
|
13 592
|
20 704
|
24 837
|
24 337
|
26 258
|
27 133
|
36 906
|
|
| Short-Term Debt |
6 427
|
4 436
|
43 360
|
38 779
|
414
|
16 000
|
0
|
0
|
0
|
2 500
|
14 400
|
105 883
|
50 167
|
50 455
|
138 026
|
86 153
|
122 175
|
148 199
|
114 841
|
78 979
|
90 905
|
148 714
|
54 864
|
71 423
|
|
| Current Portion of Long-Term Debt |
0
|
0
|
0
|
0
|
0
|
18 146
|
0
|
0
|
17 477
|
0
|
19 993
|
19 990
|
0
|
49 993
|
0
|
0
|
49 998
|
74 957
|
76 092
|
27 529
|
123 919
|
118 530
|
37 310
|
138 953
|
|
| Other Current Liabilities |
22 846
|
22 672
|
18 154
|
23 694
|
28 641
|
23 400
|
28 315
|
30 693
|
48 349
|
43 810
|
59 013
|
82 990
|
38 031
|
65 788
|
63 502
|
77 217
|
77 724
|
87 516
|
107 985
|
73 983
|
101 561
|
149 960
|
156 459
|
162 183
|
|
| Total Current Liabilities |
85 265
|
90 784
|
96 401
|
112 570
|
83 110
|
109 104
|
107 397
|
114 780
|
164 870
|
178 470
|
282 517
|
439 496
|
304 021
|
413 094
|
462 583
|
433 482
|
512 848
|
567 260
|
580 356
|
442 099
|
607 807
|
795 631
|
677 708
|
815 556
|
|
| Long-Term Debt |
783
|
852
|
926
|
1 006
|
21 093
|
1 186
|
13 758
|
18 764
|
0
|
46 887
|
29 965
|
49 851
|
89 922
|
40 033
|
69 865
|
145 492
|
124 555
|
52 610
|
268 567
|
349 905
|
236 922
|
252 708
|
280 472
|
259 127
|
|
| Deferred Income Tax |
204
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
2 419
|
4 644
|
5 111
|
4 952
|
212
|
1 506
|
2 779
|
2 888
|
1 735
|
2 450
|
9 667
|
3 818
|
8 806
|
|
| Minority Interest |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
72
|
25
|
3 406
|
823
|
51 846
|
55 249
|
57 033
|
87 705
|
98 198
|
96 719
|
96 241
|
79 884
|
0
|
|
| Other Liabilities |
1 629
|
2 537
|
3 292
|
4 342
|
4 756
|
4 782
|
4 606
|
4 988
|
6 953
|
8 768
|
13 049
|
17 787
|
15 312
|
19 548
|
15 897
|
29 306
|
28 256
|
41 826
|
40 719
|
42 804
|
26 670
|
22 666
|
43 246
|
65 491
|
|
| Total Liabilities |
87 880
N/A
|
94 173
+7%
|
100 619
+7%
|
117 919
+17%
|
108 958
-8%
|
115 072
+6%
|
125 762
+9%
|
138 532
+10%
|
171 822
+24%
|
234 125
+36%
|
325 531
+39%
|
509 626
+57%
|
413 924
-19%
|
481 190
+16%
|
552 473
+15%
|
660 337
+20%
|
722 414
+9%
|
721 510
0%
|
980 234
+36%
|
934 742
-5%
|
970 568
+4%
|
1 176 913
+21%
|
1 085 128
-8%
|
1 148 981
+6%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
9 300
|
9 379
|
9 379
|
9 379
|
9 379
|
9 411
|
10 755
|
10 766
|
10 776
|
10 776
|
10 799
|
10 831
|
10 849
|
10 864
|
11 872
|
11 872
|
11 872
|
11 872
|
11 872
|
11 872
|
11 872
|
11 872
|
11 872
|
11 872
|
|
| Retained Earnings |
17 833
|
26 716
|
24 081
|
25 222
|
31 664
|
7 518
|
8 072
|
11 963
|
17 982
|
32 640
|
46 173
|
53 269
|
35 471
|
44 491
|
49 476
|
38 003
|
34 101
|
38 510
|
37 128
|
5 953
|
19 055
|
64 496
|
102 675
|
119 716
|
|
| Additional Paid In Capital |
57 820
|
56 310
|
56 310
|
56 310
|
56 211
|
57 443
|
58 303
|
59 311
|
58 901
|
51 714
|
51 974
|
52 266
|
52 432
|
52 639
|
91 891
|
87 289
|
82 292
|
79 823
|
77 477
|
76 922
|
65 545
|
63 639
|
61 294
|
60 215
|
|
| Unrealized Security Profit/Loss |
1 230
|
706
|
752
|
864
|
1 034
|
1 222
|
521
|
512
|
45
|
0
|
0
|
15 049
|
15 049
|
14 624
|
21 394
|
21 394
|
21 394
|
35 226
|
44 258
|
44 260
|
88 277
|
107 095
|
109 378
|
159 174
|
|
| Treasury Stock |
6 192
|
6 665
|
6 665
|
6 665
|
6 665
|
6 665
|
6 665
|
6 665
|
6 665
|
6 665
|
6 623
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Equity |
1 337
|
737
|
827
|
923
|
819
|
828
|
307
|
301
|
270
|
269
|
79
|
9 479
|
69 239
|
69 293
|
31 696
|
31 642
|
30 570
|
30 405
|
30 694
|
60 937
|
61 168
|
60 713
|
4 398
|
64 405
|
|
| Total Equity |
81 328
N/A
|
87 183
+7%
|
84 683
-3%
|
84 304
0%
|
90 374
+7%
|
67 314
-26%
|
70 251
+4%
|
75 165
+7%
|
81 220
+8%
|
88 735
+9%
|
102 402
+15%
|
140 893
+38%
|
183 039
+30%
|
191 911
+5%
|
206 329
+8%
|
190 199
-8%
|
180 228
-5%
|
195 835
+9%
|
201 429
+3%
|
188 037
-7%
|
245 916
+31%
|
307 814
+25%
|
289 616
-6%
|
415 381
+43%
|
|
| Total Liabilities & Equity |
169 209
N/A
|
181 356
+7%
|
185 302
+2%
|
202 223
+9%
|
199 332
-1%
|
182 386
-9%
|
196 013
+7%
|
213 697
+9%
|
253 042
+18%
|
322 860
+28%
|
427 933
+33%
|
650 519
+52%
|
596 964
-8%
|
673 102
+13%
|
758 802
+13%
|
850 536
+12%
|
902 642
+6%
|
917 345
+2%
|
1 181 663
+29%
|
1 122 779
-5%
|
1 216 484
+8%
|
1 484 727
+22%
|
1 374 744
-7%
|
1 564 362
+14%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
9
|
9
|
9
|
9
|
9
|
9
|
10
|
10
|
10
|
10
|
10
|
11
|
11
|
11
|
12
|
12
|
12
|
12
|
12
|
12
|
12
|
12
|
12
|
12
|
|