T

TYM Corp
KRX:002900

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TYM Corp
KRX:002900
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Price: 7 160 KRW 0.7% Market Closed
Market Cap: ₩296.4B

Balance Sheet

Balance Sheet Decomposition
TYM Corp

Balance Sheet
TYM Corp

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Balance Sheet
Currency: KRW
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
5 905
1 304
9 972
11 914
12 015
14 009
20 417
16 516
20 657
23 934
19 602
24 365
28 530
29 772
29 668
21 600
21 686
22 126
50 526
76 841
17 051
20 073
41 318
56 183
Cash
0
0
0
0
0
0
0
0
0
0
0
0
21
12
14
12
11
12
15
15
9
4
7
5
Cash Equivalents
5 905
1 304
9 972
11 914
12 015
14 009
20 417
16 516
20 657
23 934
19 602
24 365
28 509
29 760
29 654
21 588
21 675
22 114
50 511
76 826
17 042
20 069
41 311
56 178
Short-Term Investments
2 641
5 023
7 202
4 973
3 185
7 700
4 255
3 185
4 965
5 906
4 196
5 939
1 500
240
1 410
608
600
1 800
761
4 694
965
308
360
0
Total Receivables
66 333
68 139
61 754
58 586
56 262
65 721
65 543
82 376
89 353
65 567
75 779
85 379
95 082
101 683
98 082
98 356
102 551
130 542
118 132
119 945
116 374
144 223
129 286
88 788
Accounts Receivables
57 605
67 083
60 608
56 785
54 262
62 536
62 228
80 667
88 161
64 499
74 682
83 229
91 281
96 072
95 344
96 952
98 495
127 524
113 354
101 265
102 204
131 867
113 877
69 856
Other Receivables
8 728
1 056
1 146
1 801
2 000
3 185
3 315
1 709
1 192
1 068
1 097
2 150
3 801
5 611
2 738
1 404
4 056
3 018
4 778
18 680
14 170
12 356
15 409
18 932
Inventory
39 060
32 357
29 849
47 652
63 544
70 808
72 067
84 818
91 485
88 910
87 312
85 320
73 845
79 497
78 307
77 605
82 580
170 073
195 317
178 200
253 100
287 945
322 609
303 395
Other Current Assets
1 304
1 961
1 926
1 974
3 765
4 731
6 143
6 281
7 254
4 077
3 790
3 635
8 550
7 410
6 834
10 399
5 813
36 056
29 545
26 972
22 618
20 665
23 223
24 883
Total Current Assets
115 243
108 783
110 703
125 098
138 771
162 968
168 425
193 176
213 714
188 394
190 680
204 637
207 506
218 602
214 300
208 568
213 229
360 599
394 281
406 652
410 108
473 215
516 796
473 249
PP&E Net
86 499
84 216
66 235
58 581
66 779
67 011
69 100
92 793
93 918
114 430
107 802
107 742
103 426
100 642
98 576
99 732
98 451
195 983
200 758
212 707
252 156
256 670
266 974
291 184
PP&E Gross
86 499
84 216
66 235
58 581
66 779
67 011
69 100
92 793
93 918
114 430
107 802
107 742
103 426
100 642
98 576
99 732
98 451
195 983
200 758
212 707
252 156
256 670
266 974
291 184
Accumulated Depreciation
30 343
30 558
29 914
26 714
28 276
32 731
34 135
44 721
46 030
32 221
40 523
40 188
42 790
34 099
41 217
49 379
57 165
192 361
212 593
195 679
205 771
217 357
175 081
184 088
Intangible Assets
266
235
2 513
4 541
4 959
5 267
4 792
4 015
4 463
3 159
5 077
6 088
5 814
6 691
6 117
4 794
3 178
3 778
3 946
5 553
8 874
10 554
18 374
24 915
Goodwill
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
7 433
7 433
7 433
7 433
7 433
7 433
Note Receivable
0
0
0
0
0
0
0
0
0
1 946
1 882
1 885
1 939
1 846
881
861
522
160
25
55
227
232
207
164
Long-Term Investments
10 019
12 237
12 211
16 482
15 257
15 548
13 597
8 737
9 257
11 728
15 074
12 102
10 881
10 283
9 467
28 172
26 441
5 249
6 849
11 933
17 019
17 148
18 275
16 470
Other Long-Term Assets
3 068
5 691
5 523
4 655
4 654
3 766
4 285
5 734
8 530
6 762
6 124
6 460
7 245
11 527
12 475
13 332
11 843
15 780
15 325
12 526
11 611
16 878
21 052
23 153
Other Assets
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
7 433
7 433
7 433
7 433
7 433
7 433
Total Assets
215 095
N/A
211 163
-2%
197 185
-7%
209 357
+6%
230 420
+10%
254 559
+10%
260 199
+2%
304 454
+17%
329 882
+8%
326 419
-1%
326 639
+0%
338 915
+4%
336 812
-1%
349 592
+4%
341 817
-2%
355 460
+4%
353 664
-1%
581 549
+64%
628 616
+8%
656 859
+4%
707 428
+8%
782 128
+11%
849 111
+9%
836 568
-1%
Liabilities
Accounts Payable
18 353
24 513
26 364
37 036
40 236
37 533
24 576
45 898
53 365
39 020
35 199
45 479
37 206
45 337
41 103
39 614
51 784
101 399
93 038
100 414
146 217
123 322
82 009
68 366
Accrued Liabilities
2 692
1 879
3 759
3 972
5 003
5 788
5 834
11 070
11 940
6 291
5 889
6 734
9 208
5 618
8 497
6 364
3 477
11 017
9 415
16 066
16 099
9 989
11 518
14 566
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
41 267
50 745
52 835
65 134
0
0
0
91 942
140 878
168 776
239 625
196 432
Current Portion of Long-Term Debt
56 394
60 598
23 716
21 339
43 112
28 909
54 836
64 571
50 875
76 681
84 498
68 179
17 802
42 293
25 703
26 797
104 741
140 056
194 498
60 825
15 282
37 159
2 140
2 804
Other Current Liabilities
7 573
8 927
5 127
9 504
11 145
12 509
16 658
17 049
27 972
16 225
11 033
12 479
9 280
8 160
10 481
11 173
9 100
71 066
97 109
117 064
62 474
61 188
59 987
61 151
Total Current Liabilities
85 012
95 918
58 966
71 850
99 496
84 739
101 904
138 589
144 151
138 217
136 620
132 872
114 764
152 153
138 619
149 082
169 102
323 539
394 061
386 312
380 951
400 434
395 279
343 319
Long-Term Debt
17 931
4 880
28 093
21 630
7 538
40 830
21 415
25 007
39 117
24 325
28 443
42 007
59 497
42 500
51 237
50 604
27 667
43 298
26 069
48 410
40 581
4 780
24 367
44 777
Deferred Income Tax
0
0
0
0
0
0
0
0
0
0
840
0
1 483
1 296
1 452
1 334
0
8 340
7 131
9 104
16
0
8 400
15 393
Minority Interest
0
0
0
1 236
1 922
2 266
2 499
3 851
3 807
0
0
0
0
0
0
0
0
86 675
35 999
44 753
1 058
1 030
1 027
1 143
Other Liabilities
6 207
6 780
5 329
6 553
7 088
8 143
8 310
9 596
12 274
13 048
17 781
21 203
20 924
24 790
20 346
21 791
24 237
53 199
54 245
42 301
36 679
42 452
38 398
26 245
Total Liabilities
109 150
N/A
107 578
-1%
92 388
-14%
101 270
+10%
116 044
+15%
135 977
+17%
134 128
-1%
177 042
+32%
199 349
+13%
175 590
-12%
183 683
+5%
196 082
+7%
196 668
+0%
220 739
+12%
211 654
-4%
222 811
+5%
221 006
-1%
515 051
+133%
517 506
+0%
530 879
+3%
457 169
-14%
446 636
-2%
465 417
+4%
428 591
-8%
Equity
Common Stock
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
32 694
63 002
67 477
75 765
76 177
112 627
112 627
Retained Earnings
16 207
15 329
17 398
19 764
23 354
26 148
35 084
37 017
41 583
107 661
100 059
95 842
93 018
81 887
82 450
85 075
85 095
45 310
48 973
53 277
81 262
166 847
219 606
236 806
Additional Paid In Capital
60 276
60 276
59 039
58 829
58 828
58 828
15 037
15 006
15 006
14 819
14 819
14 819
14 819
14 819
14 819
14 819
14 819
14 819
28 858
35 151
58 056
59 254
22 779
22 779
Unrealized Security Profit/Loss
3 560
4 878
4 496
2 632
0
0
43 256
42 694
41 226
4 483
5 236
114
89
96
206
194
249
16 312
15 550
17 471
23 158
22 990
22 708
22 662
Treasury Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2 990
3 987
6 981
10 372
15 335
15 335
Other Equity
327
164
162
568
500
912
0
0
24
138
620
635
477
643
7
134
199
42 637
42 284
43 409
19 000
20 597
21 309
28 438
Total Equity
105 945
N/A
103 586
-2%
104 797
+1%
108 088
+3%
114 376
+6%
118 582
+4%
126 071
+6%
127 412
+1%
130 534
+2%
150 829
+16%
142 956
-5%
142 834
0%
140 144
-2%
128 853
-8%
130 163
+1%
132 649
+2%
132 659
+0%
66 499
-50%
111 110
+67%
125 981
+13%
250 259
+99%
335 493
+34%
383 694
+14%
407 977
+6%
Total Liabilities & Equity
215 095
N/A
211 163
-2%
197 185
-7%
209 357
+6%
230 420
+10%
254 559
+10%
260 199
+2%
304 454
+17%
329 882
+8%
326 419
-1%
326 639
+0%
338 915
+4%
336 812
-1%
349 592
+4%
341 817
-2%
355 460
+4%
353 664
-1%
581 549
+64%
628 616
+8%
656 859
+4%
707 428
+8%
782 128
+11%
849 111
+9%
836 568
-1%
Shares Outstanding
Common Shares Outstanding
79
79
79
79
79
79
79
79
79
79
79
79
79
79
79
79
79
79
123
39
44
44
43
43
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