Kolon Corp
KRX:002020
Balance Sheet
Balance Sheet Decomposition
Kolon Corp
Kolon Corp
Balance Sheet
Kolon 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 |
65 946
|
99 005
|
73 008
|
107 736
|
44 200
|
78 808
|
45 420
|
207 468
|
66 839
|
12 048
|
156 288
|
151 138
|
148 115
|
62 203
|
111 973
|
100 869
|
137 622
|
138 335
|
174 709
|
156 630
|
679
|
680
|
341 870
|
350 613
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
3 861
|
1 322
|
2 571
|
1 005
|
2 749
|
1 146
|
1 011
|
1 343
|
400
|
679
|
680
|
341 870
|
350 613
|
|
| Cash Equivalents |
65 946
|
99 005
|
73 008
|
107 736
|
44 200
|
78 808
|
45 420
|
207 468
|
66 839
|
12 048
|
156 288
|
147 277
|
146 793
|
59 632
|
110 968
|
98 120
|
136 476
|
137 324
|
173 366
|
156 230
|
0
|
0
|
0
|
0
|
|
| Short-Term Investments |
40 263
|
66 910
|
57 174
|
60 266
|
27 185
|
50 007
|
24 010
|
55 264
|
68 379
|
6 394
|
72 735
|
86 842
|
59 119
|
37 866
|
17 467
|
15 971
|
23 292
|
41 014
|
49 596
|
32 366
|
61 447
|
155 602
|
17 776
|
165 459
|
|
| Total Receivables |
418 076
|
573 592
|
485 840
|
319 649
|
318 055
|
452 858
|
501 345
|
636 197
|
177 972
|
40 428
|
1 544 549
|
1 638 384
|
1 228 203
|
1 106 401
|
888 207
|
800 992
|
919 095
|
813 620
|
783 476
|
864 590
|
898 005
|
875 917
|
1 190 894
|
1 213 615
|
|
| Accounts Receivables |
290 345
|
417 714
|
372 816
|
263 138
|
270 009
|
425 359
|
467 145
|
617 148
|
166 242
|
35 485
|
827 867
|
749 893
|
690 898
|
655 664
|
573 455
|
490 409
|
562 287
|
512 148
|
508 088
|
551 087
|
467 496
|
563 374
|
603 041
|
643 170
|
|
| Other Receivables |
127 731
|
155 878
|
113 024
|
56 511
|
48 046
|
27 499
|
34 200
|
19 049
|
11 730
|
4 943
|
716 682
|
888 491
|
537 305
|
450 737
|
314 752
|
310 583
|
356 808
|
301 472
|
275 388
|
313 503
|
430 509
|
312 543
|
587 853
|
570 445
|
|
| Inventory |
212 922
|
267 556
|
341 965
|
369 638
|
380 617
|
483 128
|
388 267
|
677 174
|
69 129
|
5 466
|
305 379
|
221 713
|
194 701
|
200 873
|
153 364
|
214 481
|
239 433
|
177 234
|
233 114
|
215 756
|
182 370
|
216 371
|
291 529
|
396 045
|
|
| Other Current Assets |
23 671
|
43 926
|
30 521
|
17 512
|
56 969
|
51 499
|
19 124
|
80 545
|
11 847
|
8 334
|
176 173
|
147 403
|
149 966
|
139 864
|
130 160
|
144 434
|
114 478
|
85 332
|
79 455
|
82 629
|
96 668
|
125 925
|
183 561
|
216 849
|
|
| Total Current Assets |
760 877
|
1 050 990
|
988 509
|
874 802
|
827 026
|
1 116 300
|
978 165
|
1 656 648
|
394 166
|
72 671
|
2 255 124
|
2 245 480
|
1 780 104
|
1 547 206
|
1 301 171
|
1 276 747
|
1 433 920
|
1 255 534
|
1 320 349
|
1 351 971
|
1 422 825
|
1 684 981
|
2 025 632
|
2 342 581
|
|
| PP&E Net |
1 316 604
|
1 581 667
|
1 675 227
|
1 674 093
|
1 525 337
|
1 578 010
|
1 499 118
|
1 583 728
|
172 066
|
58 107
|
285 352
|
331 148
|
608 097
|
611 853
|
463 472
|
455 887
|
498 155
|
491 748
|
729 644
|
692 552
|
660 975
|
774 498
|
864 109
|
1 077 729
|
|
| PP&E Gross |
1 316 604
|
1 581 667
|
1 675 227
|
1 674 093
|
1 525 337
|
1 578 010
|
1 499 118
|
1 583 728
|
172 066
|
0
|
0
|
331 148
|
608 097
|
611 853
|
463 472
|
455 887
|
498 155
|
0
|
729 644
|
692 552
|
660 975
|
774 498
|
864 109
|
1 077 729
|
|
| Accumulated Depreciation |
465 306
|
604 501
|
740 965
|
884 212
|
981 747
|
1 189 675
|
1 260 726
|
1 145 187
|
56 181
|
0
|
0
|
141 968
|
156 464
|
144 510
|
81 797
|
87 743
|
112 085
|
0
|
169 001
|
180 300
|
191 995
|
212 922
|
212 651
|
270 019
|
|
| Intangible Assets |
4 119
|
5 609
|
12 584
|
9 351
|
13 753
|
18 395
|
20 040
|
28 801
|
31 932
|
38 671
|
129 405
|
144 098
|
156 649
|
139 378
|
139 501
|
117 359
|
112 559
|
100 752
|
93 762
|
90 831
|
84 951
|
80 912
|
78 935
|
875 934
|
|
| Goodwill |
1 293
|
5 715
|
8 887
|
19 026
|
12 396
|
8 099
|
2 911
|
40 443
|
22 231
|
33 848
|
48 818
|
52 867
|
57 578
|
59 142
|
58 826
|
38 752
|
36 742
|
32 643
|
32 643
|
28 986
|
28 986
|
40 382
|
90 542
|
267 110
|
|
| Note Receivable |
2 212
|
5 166
|
1 694
|
496
|
6 683
|
737
|
2 899
|
3 538
|
7
|
76
|
55 031
|
58 532
|
61 610
|
56 041
|
58 964
|
90 280
|
82 234
|
76 177
|
50 373
|
57 918
|
113 381
|
140 109
|
99 476
|
131 206
|
|
| Long-Term Investments |
296 674
|
342 870
|
308 004
|
210 721
|
263 003
|
222 538
|
229 542
|
295 215
|
245 690
|
788 155
|
949 224
|
950 828
|
968 980
|
984 280
|
1 069 089
|
1 165 364
|
1 326 225
|
1 320 306
|
1 206 817
|
1 301 922
|
1 452 951
|
1 715 662
|
1 899 152
|
2 014 776
|
|
| Other Long-Term Assets |
48 408
|
112 039
|
127 062
|
106 994
|
69 981
|
85 782
|
52 130
|
108 308
|
27 155
|
4 400
|
85 711
|
134 298
|
142 546
|
180 535
|
200 798
|
189 234
|
198 534
|
196 746
|
184 986
|
183 954
|
202 214
|
222 496
|
173 574
|
331 150
|
|
| Other Assets |
1 293
|
5 715
|
8 887
|
19 026
|
12 396
|
8 099
|
2 911
|
40 443
|
22 231
|
33 848
|
48 818
|
52 867
|
57 578
|
59 142
|
58 826
|
38 752
|
36 742
|
32 643
|
32 643
|
28 986
|
28 986
|
40 382
|
90 542
|
267 110
|
|
| Total Assets |
2 430 187
N/A
|
3 104 057
+28%
|
3 121 966
+1%
|
2 895 483
-7%
|
2 718 177
-6%
|
3 029 860
+11%
|
2 778 983
-8%
|
3 716 681
+34%
|
893 248
-76%
|
995 928
+11%
|
3 808 665
+282%
|
3 917 250
+3%
|
3 775 563
-4%
|
3 578 435
-5%
|
3 291 820
-8%
|
3 333 624
+1%
|
3 688 369
+11%
|
3 473 907
-6%
|
3 618 575
+4%
|
3 708 134
+2%
|
3 966 283
+7%
|
4 659 039
+17%
|
5 231 419
+12%
|
7 040 485
+35%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
253 139
|
289 431
|
381 022
|
386 976
|
366 030
|
450 737
|
528 255
|
551 854
|
124 988
|
17 418
|
804 222
|
802 738
|
725 602
|
575 819
|
559 993
|
632 921
|
697 531
|
518 359
|
423 428
|
558 589
|
475 002
|
533 788
|
714 165
|
487 537
|
|
| Accrued Liabilities |
25 115
|
30 118
|
27 840
|
19 728
|
17 920
|
35 679
|
37 205
|
73 137
|
6 867
|
2 830
|
41 807
|
49 900
|
37 737
|
43 709
|
39 783
|
50 485
|
52 417
|
43 896
|
33 819
|
56 555
|
66 779
|
62 722
|
70 078
|
107 644
|
|
| Short-Term Debt |
183 709
|
366 026
|
177 800
|
334 315
|
350 223
|
271 367
|
375 672
|
804 002
|
104 920
|
122 263
|
835 117
|
0
|
0
|
0
|
0
|
580 816
|
755 498
|
772 709
|
762 816
|
728 743
|
582 660
|
728 798
|
855 080
|
1 057 418
|
|
| Current Portion of Long-Term Debt |
342 996
|
268 068
|
411 983
|
336 947
|
370 353
|
409 248
|
273 723
|
538 509
|
32 000
|
47 145
|
351 740
|
1 106 838
|
925 139
|
1 048 163
|
773 714
|
317 138
|
388 045
|
313 251
|
387 593
|
334 523
|
297 087
|
400 289
|
449 252
|
566 938
|
|
| Other Current Liabilities |
138 382
|
197 079
|
155 706
|
193 660
|
132 391
|
183 828
|
99 425
|
235 840
|
37 522
|
18 218
|
320 085
|
357 802
|
383 965
|
312 268
|
395 861
|
336 325
|
363 355
|
283 618
|
483 600
|
531 671
|
625 263
|
615 489
|
542 182
|
841 637
|
|
| Total Current Liabilities |
943 340
|
1 150 721
|
1 154 351
|
1 271 626
|
1 236 917
|
1 350 859
|
1 314 281
|
2 203 343
|
306 298
|
207 874
|
2 352 970
|
2 317 278
|
2 072 443
|
1 979 958
|
1 769 351
|
1 917 685
|
2 256 847
|
1 931 832
|
2 091 256
|
2 210 081
|
2 046 790
|
2 341 086
|
2 630 757
|
3 061 174
|
|
| Long-Term Debt |
468 398
|
702 314
|
816 788
|
748 311
|
588 720
|
750 798
|
532 833
|
427 657
|
47 000
|
56 202
|
306 280
|
442 287
|
639 720
|
363 113
|
463 963
|
336 803
|
269 350
|
445 084
|
584 986
|
421 757
|
649 534
|
690 880
|
973 727
|
1 042 644
|
|
| Deferred Income Tax |
7 415
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
4 699
|
13 470
|
0
|
18 888
|
24 007
|
19 792
|
26 066
|
26 877
|
29 374
|
27 074
|
19 908
|
15 708
|
23 917
|
152 492
|
164 850
|
404 481
|
|
| Minority Interest |
122 638
|
248 323
|
196 900
|
144 573
|
151 888
|
268 309
|
173 711
|
258 687
|
112 609
|
31 071
|
234 110
|
195 231
|
176 217
|
281 751
|
234 552
|
231 029
|
148 255
|
121 455
|
130 699
|
138 129
|
172 224
|
208 654
|
237 669
|
694 171
|
|
| Other Liabilities |
111 334
|
181 745
|
244 651
|
205 921
|
238 522
|
184 440
|
205 922
|
233 347
|
24 521
|
24 440
|
154 731
|
227 835
|
211 947
|
294 784
|
226 943
|
220 965
|
229 857
|
240 711
|
200 522
|
201 554
|
194 658
|
174 252
|
151 551
|
184 341
|
|
| Total Liabilities |
1 653 125
N/A
|
2 283 104
+38%
|
2 412 690
+6%
|
2 370 431
-2%
|
2 216 047
-7%
|
2 554 406
+15%
|
2 226 748
-13%
|
3 123 036
+40%
|
495 126
-84%
|
333 057
-33%
|
3 048 091
+815%
|
3 201 519
+5%
|
3 124 335
-2%
|
2 939 398
-6%
|
2 720 876
-7%
|
2 733 358
+0%
|
2 933 682
+7%
|
2 766 156
-6%
|
3 027 370
+9%
|
2 987 229
-1%
|
3 087 123
+3%
|
3 567 363
+16%
|
4 158 554
+17%
|
5 386 811
+30%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
102 709
|
102 709
|
102 709
|
102 709
|
102 709
|
102 709
|
106 744
|
106 744
|
37 903
|
63 517
|
65 684
|
65 688
|
65 688
|
65 688
|
65 688
|
65 688
|
65 688
|
68 514
|
68 514
|
68 514
|
68 514
|
68 514
|
68 514
|
68 514
|
|
| Retained Earnings |
213 240
|
226 028
|
110 649
|
24 003
|
17 184
|
4 653
|
38 691
|
129 096
|
231 666
|
357 359
|
427 382
|
420 072
|
371 715
|
363 778
|
176 438
|
180 479
|
256 535
|
221 976
|
186 926
|
321 736
|
455 073
|
682 054
|
677 051
|
818 846
|
|
| Additional Paid In Capital |
506 705
|
529 733
|
517 818
|
482 152
|
369 334
|
368 967
|
395 196
|
396 868
|
157 082
|
276 607
|
295 179
|
296 282
|
297 535
|
295 408
|
121 832
|
121 101
|
119 725
|
141 913
|
142 322
|
143 673
|
137 454
|
132 093
|
117 506
|
110 943
|
|
| Unrealized Security Profit/Loss |
5 935
|
8 293
|
7 878
|
3 986
|
25 734
|
21 970
|
37 727
|
21 554
|
258 844
|
261 732
|
268 376
|
242 472
|
225 352
|
222 554
|
220 546
|
227 102
|
306 727
|
274 167
|
192 544
|
189 183
|
218 952
|
216 214
|
218 568
|
662 815
|
|
| Treasury Stock |
24 806
|
22 129
|
24 008
|
23 318
|
29 766
|
30 617
|
31 587
|
25 964
|
33 942
|
399
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Equity |
14 852
|
7 094
|
5 770
|
8 503
|
16 934
|
17 079
|
5 464
|
34 652
|
253 431
|
295 945
|
296 048
|
308 783
|
309 061
|
308 391
|
13 559
|
5 895
|
6 012
|
1 180
|
898
|
2 201
|
833
|
7 199
|
8 775
|
7 445
|
|
| Total Equity |
777 062
N/A
|
820 953
+6%
|
709 276
-14%
|
525 052
-26%
|
502 130
-4%
|
475 454
-5%
|
552 236
+16%
|
593 646
+7%
|
398 122
-33%
|
662 871
+66%
|
760 574
+15%
|
715 731
-6%
|
651 228
-9%
|
639 037
-2%
|
570 945
-11%
|
600 265
+5%
|
754 687
+26%
|
707 751
-6%
|
591 204
-16%
|
720 906
+22%
|
879 160
+22%
|
1 091 676
+24%
|
1 072 864
-2%
|
1 653 673
+54%
|
|
| Total Liabilities & Equity |
2 430 187
N/A
|
3 104 057
+28%
|
3 121 966
+1%
|
2 895 483
-7%
|
2 718 177
-6%
|
3 029 860
+11%
|
2 778 983
-8%
|
3 716 681
+34%
|
893 248
-76%
|
995 928
+11%
|
3 808 665
+282%
|
3 917 250
+3%
|
3 775 563
-4%
|
3 578 435
-5%
|
3 291 820
-8%
|
3 333 624
+1%
|
3 688 369
+11%
|
3 473 907
-6%
|
3 618 575
+4%
|
3 708 134
+2%
|
3 966 283
+7%
|
4 659 039
+17%
|
5 231 419
+12%
|
7 040 485
+35%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
5
|
6
|
6
|
5
|
5
|
5
|
5
|
5
|
6
|
13
|
13
|
13
|
13
|
13
|
13
|
13
|
13
|
14
|
14
|
14
|
14
|
14
|
14
|
14
|
|