Kiswire Co Ltd
KRX:002240
Balance Sheet
Balance Sheet Decomposition
Kiswire Co Ltd
Kiswire Co Ltd
Balance Sheet
Kiswire 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 |
5 637
|
9 164
|
23 260
|
26 100
|
23 491
|
40 227
|
37 718
|
84 305
|
71 541
|
44 542
|
51 575
|
44 881
|
51 443
|
191 196
|
169 790
|
118 299
|
117 302
|
150 396
|
122 346
|
156 938
|
159 305
|
203 384
|
184 205
|
155 118
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
3 030
|
4 550
|
7 639
|
11 773
|
795
|
52
|
127
|
47
|
62
|
191
|
100
|
38
|
|
| Cash Equivalents |
5 637
|
9 164
|
23 260
|
26 100
|
23 491
|
40 227
|
37 718
|
84 305
|
71 541
|
44 542
|
51 575
|
44 881
|
48 413
|
186 646
|
162 151
|
106 526
|
116 507
|
150 344
|
122 219
|
156 891
|
159 243
|
203 193
|
184 105
|
155 080
|
|
| Short-Term Investments |
40 017
|
54 507
|
87 724
|
96 035
|
74 011
|
46 188
|
35 354
|
39 057
|
71 075
|
24 136
|
29 561
|
32 469
|
26 530
|
27 295
|
20 624
|
30 774
|
43 076
|
22 661
|
4 389
|
523
|
12 445
|
20 496
|
15 136
|
17 484
|
|
| Total Receivables |
79 571
|
81 926
|
83 251
|
97 141
|
127 151
|
155 904
|
139 158
|
271 033
|
244 804
|
257 731
|
289 845
|
264 467
|
280 045
|
427 459
|
390 369
|
453 532
|
443 323
|
414 554
|
417 513
|
394 676
|
489 747
|
497 111
|
464 635
|
463 089
|
|
| Accounts Receivables |
75 045
|
76 434
|
76 644
|
86 724
|
116 899
|
145 978
|
116 424
|
219 410
|
232 449
|
248 573
|
279 172
|
253 387
|
269 141
|
411 187
|
375 009
|
433 223
|
422 586
|
404 144
|
403 769
|
372 510
|
478 363
|
489 138
|
456 561
|
456 338
|
|
| Other Receivables |
4 526
|
5 492
|
6 607
|
10 417
|
10 252
|
9 926
|
22 734
|
51 623
|
12 355
|
9 158
|
10 673
|
11 080
|
10 904
|
16 272
|
15 360
|
20 309
|
20 737
|
10 410
|
13 744
|
22 166
|
11 384
|
7 973
|
8 074
|
6 751
|
|
| Inventory |
49 760
|
45 899
|
53 538
|
68 838
|
96 440
|
98 486
|
113 577
|
195 119
|
162 134
|
197 689
|
239 223
|
207 566
|
200 735
|
361 671
|
296 213
|
270 543
|
272 182
|
322 701
|
331 585
|
266 119
|
374 689
|
387 467
|
363 453
|
423 664
|
|
| Other Current Assets |
15 489
|
10 549
|
8 769
|
18 136
|
31 990
|
5 242
|
4 421
|
7 478
|
6 157
|
6 747
|
7 370
|
7 607
|
8 274
|
54 292
|
22 832
|
31 092
|
37 863
|
39 056
|
40 350
|
39 569
|
41 584
|
44 618
|
48 121
|
110 878
|
|
| Total Current Assets |
190 474
|
202 046
|
256 542
|
306 249
|
353 083
|
346 047
|
330 229
|
596 992
|
555 710
|
530 845
|
617 573
|
556 989
|
567 026
|
1 061 913
|
899 829
|
904 240
|
913 745
|
949 368
|
916 182
|
857 826
|
1 077 771
|
1 153 075
|
1 075 550
|
1 170 234
|
|
| PP&E Net |
245 621
|
256 958
|
253 144
|
302 927
|
339 310
|
366 725
|
415 388
|
547 313
|
562 348
|
541 981
|
593 182
|
659 169
|
656 358
|
1 040 942
|
1 091 844
|
1 074 047
|
1 017 617
|
982 225
|
995 459
|
914 507
|
866 338
|
823 059
|
783 470
|
829 686
|
|
| PP&E Gross |
245 621
|
256 958
|
253 144
|
302 927
|
339 310
|
366 725
|
415 388
|
547 313
|
562 348
|
541 981
|
593 182
|
659 169
|
656 358
|
1 040 942
|
1 091 844
|
1 074 047
|
1 017 617
|
982 225
|
995 459
|
914 507
|
866 338
|
823 059
|
783 470
|
829 686
|
|
| Accumulated Depreciation |
89 530
|
106 519
|
125 583
|
134 990
|
203 749
|
231 741
|
270 433
|
359 345
|
402 835
|
341 045
|
392 301
|
447 321
|
497 201
|
1 370 626
|
1 371 360
|
1 392 811
|
1 429 697
|
1 505 317
|
1 625 873
|
1 674 440
|
1 766 652
|
1 831 820
|
1 877 664
|
2 086 373
|
|
| Intangible Assets |
39
|
443
|
347
|
469
|
1 257
|
3 850
|
68
|
42
|
2 825
|
8 312
|
8 573
|
6 328
|
6 564
|
12 779
|
16 253
|
22 741
|
18 698
|
16 569
|
16 120
|
15 011
|
15 719
|
15 596
|
15 510
|
15 650
|
|
| Goodwill |
555
|
278
|
0
|
41
|
40
|
40
|
43
|
54
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Note Receivable |
48 106
|
49 039
|
66 751
|
51 870
|
21 912
|
133
|
79
|
107
|
69
|
31
|
32
|
64
|
38
|
721
|
693
|
0
|
0
|
0
|
829
|
3 433
|
3 004
|
2 605
|
2 486
|
2 319
|
|
| Long-Term Investments |
192 899
|
202 364
|
224 258
|
218 105
|
202 812
|
213 424
|
236 196
|
246 915
|
286 379
|
525 188
|
549 228
|
534 104
|
541 906
|
334 723
|
338 696
|
375 288
|
377 849
|
365 879
|
405 151
|
436 692
|
499 794
|
495 321
|
535 368
|
551 115
|
|
| Other Long-Term Assets |
12 047
|
12 082
|
12 815
|
9 513
|
14 963
|
10 942
|
12 726
|
15 406
|
9 385
|
52 649
|
54 674
|
57 324
|
52 072
|
73 361
|
79 983
|
76 776
|
72 649
|
73 424
|
12 897
|
18 259
|
11 646
|
43 112
|
38 897
|
39 974
|
|
| Other Assets |
555
|
278
|
0
|
41
|
40
|
40
|
43
|
54
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Assets |
689 741
N/A
|
723 209
+5%
|
813 857
+13%
|
889 174
+9%
|
933 378
+5%
|
941 160
+1%
|
994 728
+6%
|
1 406 830
+41%
|
1 416 717
+1%
|
1 659 006
+17%
|
1 823 262
+10%
|
1 813 978
-1%
|
1 823 963
+1%
|
2 524 438
+38%
|
2 427 298
-4%
|
2 453 092
+1%
|
2 400 558
-2%
|
2 387 466
-1%
|
2 346 638
-2%
|
2 245 729
-4%
|
2 474 272
+10%
|
2 532 768
+2%
|
2 451 281
-3%
|
2 608 978
+6%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
37 668
|
28 670
|
27 799
|
61 219
|
43 934
|
77 073
|
39 280
|
162 896
|
118 220
|
103 947
|
120 846
|
104 111
|
110 448
|
155 295
|
134 686
|
150 269
|
151 362
|
161 236
|
138 479
|
146 420
|
200 183
|
153 125
|
140 993
|
159 177
|
|
| Accrued Liabilities |
10 885
|
4 503
|
5 827
|
10 670
|
9 957
|
11 085
|
11 519
|
21 187
|
12 636
|
25 019
|
18 801
|
21 660
|
21 537
|
35 101
|
43 736
|
28 657
|
38 731
|
49 719
|
36 024
|
32 432
|
38 097
|
33 248
|
39 224
|
40 164
|
|
| Short-Term Debt |
30 468
|
38 948
|
61 558
|
68 579
|
64 008
|
78 645
|
106 208
|
163 178
|
90 267
|
135 148
|
160 884
|
183 215
|
178 843
|
580 414
|
465 816
|
418 717
|
385 081
|
379 372
|
359 444
|
290 499
|
259 960
|
266 427
|
146 514
|
141 524
|
|
| Current Portion of Long-Term Debt |
505
|
3 700
|
2 391
|
506
|
2 495
|
5 966
|
3 283
|
2 739
|
0
|
17 944
|
21 855
|
19 401
|
20 829
|
14 512
|
17 290
|
68 668
|
72 471
|
28 928
|
26 741
|
43 620
|
10 668
|
34 426
|
38 804
|
46 525
|
|
| Other Current Liabilities |
75 778
|
85 850
|
103 261
|
84 593
|
93 261
|
37 158
|
39 868
|
59 537
|
77 318
|
43 466
|
57 295
|
37 648
|
29 135
|
43 564
|
47 441
|
67 565
|
66 834
|
70 812
|
79 771
|
74 366
|
92 318
|
74 258
|
80 633
|
81 756
|
|
| Total Current Liabilities |
155 304
|
161 670
|
200 836
|
225 567
|
213 656
|
209 929
|
200 159
|
409 538
|
298 440
|
325 523
|
379 682
|
366 036
|
360 793
|
828 885
|
708 969
|
733 876
|
714 479
|
690 067
|
640 459
|
587 337
|
601 226
|
561 484
|
446 167
|
469 146
|
|
| Long-Term Debt |
22 766
|
17 568
|
15 259
|
37 572
|
46 279
|
39 809
|
35 997
|
78 719
|
68 419
|
52 072
|
32 894
|
36 744
|
41 840
|
45 042
|
94 091
|
90 983
|
68 566
|
82 636
|
77 607
|
42 447
|
69 880
|
67 702
|
49 134
|
32 956
|
|
| Deferred Income Tax |
37 768
|
45 137
|
47 560
|
48 784
|
46 057
|
73 799
|
86 876
|
85 143
|
103 942
|
117 343
|
126 210
|
139 673
|
138 129
|
151 115
|
143 310
|
132 825
|
142 103
|
137 004
|
136 917
|
134 760
|
147 242
|
155 253
|
144 210
|
156 494
|
|
| Minority Interest |
25 098
|
23 851
|
31 089
|
28 779
|
59 031
|
62 790
|
67 224
|
88 906
|
110 886
|
90 711
|
119 601
|
116 031
|
114 873
|
104 369
|
99 979
|
97 381
|
92 650
|
93 073
|
114 433
|
105 963
|
110 359
|
127 487
|
118 013
|
145 301
|
|
| Other Liabilities |
21 816
|
16 058
|
15 577
|
16 704
|
9 500
|
4 438
|
3 770
|
5 435
|
7 951
|
8 532
|
12 695
|
12 486
|
12 336
|
10 915
|
11 133
|
13 075
|
17 111
|
20 682
|
20 804
|
18 247
|
17 815
|
20 807
|
16 559
|
23 273
|
|
| Total Liabilities |
262 751
N/A
|
264 284
+1%
|
310 321
+17%
|
357 406
+15%
|
374 523
+5%
|
390 765
+4%
|
394 026
+1%
|
667 742
+69%
|
589 639
-12%
|
594 181
+1%
|
671 082
+13%
|
670 969
0%
|
667 970
0%
|
1 140 327
+71%
|
1 057 482
-7%
|
1 068 140
+1%
|
1 034 909
-3%
|
1 023 461
-1%
|
990 221
-3%
|
888 754
-10%
|
946 522
+6%
|
932 734
-1%
|
774 083
-17%
|
827 171
+7%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
6 526
|
6 526
|
7 500
|
10 000
|
10 000
|
10 000
|
10 000
|
10 000
|
13 000
|
13 000
|
13 000
|
15 000
|
15 000
|
15 000
|
18 000
|
18 000
|
18 000
|
20 000
|
20 000
|
20 000
|
23 000
|
23 000
|
25 000
|
25 000
|
|
| Retained Earnings |
243 505
|
270 978
|
303 139
|
343 640
|
373 201
|
381 447
|
418 414
|
523 771
|
599 932
|
916 272
|
1 001 214
|
1 036 700
|
943 840
|
1 237 549
|
1 358 548
|
1 377 569
|
1 397 299
|
1 393 330
|
1 229 350
|
1 232 868
|
1 378 792
|
1 566 861
|
1 626 762
|
1 651 242
|
|
| Additional Paid In Capital |
170 214
|
170 214
|
169 240
|
166 397
|
162 945
|
123 074
|
123 074
|
123 078
|
121 879
|
2 728
|
2 728
|
2 510
|
2 408
|
8 681
|
8 681
|
11 678
|
11 629
|
12 055
|
9 889
|
9 351
|
8 278
|
4 655
|
4 730
|
4 739
|
|
| Unrealized Security Profit/Loss |
15 877
|
8 239
|
18 443
|
16 275
|
17 984
|
50 626
|
49 559
|
54 555
|
73 881
|
115 863
|
117 697
|
87 061
|
216 155
|
134 468
|
14 644
|
15 899
|
6 754
|
59
|
137 123
|
141 613
|
132 181
|
22 037
|
20 026
|
21 141
|
|
| Treasury Stock |
10 227
|
0
|
15
|
20
|
20
|
20
|
20
|
20
|
35
|
35
|
35
|
70
|
70
|
70
|
101
|
101
|
101
|
155
|
155
|
155
|
189
|
189
|
274
|
274
|
|
| Other Equity |
1 096
|
2 968
|
5 229
|
4 524
|
5 254
|
14 730
|
324
|
27 705
|
18 421
|
16 998
|
17 577
|
1 807
|
21 341
|
11 517
|
29 957
|
38 092
|
67 932
|
61 284
|
39 791
|
46 702
|
14 311
|
16 329
|
954
|
79 959
|
|
| Total Equity |
426 991
N/A
|
458 925
+7%
|
503 536
+10%
|
531 768
+6%
|
558 855
+5%
|
550 396
-2%
|
600 702
+9%
|
739 088
+23%
|
827 078
+12%
|
1 064 825
+29%
|
1 152 181
+8%
|
1 143 008
-1%
|
1 155 993
+1%
|
1 384 111
+20%
|
1 369 815
-1%
|
1 384 953
+1%
|
1 365 649
-1%
|
1 364 006
0%
|
1 356 417
-1%
|
1 356 975
+0%
|
1 527 751
+13%
|
1 600 035
+5%
|
1 677 198
+5%
|
1 781 807
+6%
|
|
| Total Liabilities & Equity |
689 741
N/A
|
723 209
+5%
|
813 857
+13%
|
889 174
+9%
|
933 378
+5%
|
941 160
+1%
|
994 728
+6%
|
1 406 830
+41%
|
1 416 717
+1%
|
1 659 006
+17%
|
1 823 262
+10%
|
1 813 978
-1%
|
1 823 963
+1%
|
2 524 438
+38%
|
2 427 298
-4%
|
2 453 092
+1%
|
2 400 558
-2%
|
2 387 466
-1%
|
2 346 638
-2%
|
2 245 729
-4%
|
2 474 272
+10%
|
2 532 768
+2%
|
2 451 281
-3%
|
2 608 978
+6%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
25
|
24
|
27
|
27
|
27
|
27
|
27
|
27
|
27
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