Hanjin Heavy Ind & Const Holdings Co Ltd
KRX:003480
Balance Sheet
Balance Sheet Decomposition
Hanjin Heavy Ind & Const Holdings Co Ltd
Hanjin Heavy Ind & Const Holdings Co Ltd
Balance Sheet
Hanjin Heavy Ind & Const Holdings Co Ltd
| 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 | Dec-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
114 879
|
484 460
|
390 263
|
410 984
|
714 979
|
767 238
|
588 061
|
1 396 130
|
114 574
|
108 238
|
132 672
|
66 045
|
80 499
|
128 839
|
119 635
|
109 101
|
51 091
|
27 349
|
24 285
|
123 175
|
142 913
|
115 940
|
108 411
|
131 145
|
|
| Cash Equivalents |
114 879
|
484 460
|
390 263
|
410 984
|
714 979
|
767 238
|
588 061
|
1 396 130
|
114 574
|
108 238
|
132 672
|
66 045
|
80 499
|
128 839
|
119 635
|
109 101
|
51 091
|
27 349
|
24 285
|
123 175
|
142 913
|
115 940
|
108 411
|
131 145
|
|
| Short-Term Investments |
138 840
|
455 553
|
352 599
|
242 072
|
199 741
|
147 532
|
72 381
|
64 977
|
60 199
|
40 376
|
44 875
|
47 562
|
39 195
|
22 603
|
11 442
|
4
|
106 398
|
11 033
|
31 004
|
48 989
|
69 716
|
60 043
|
62 113
|
54 369
|
|
| Total Receivables |
533 884
|
688 954
|
529 907
|
625 362
|
836 521
|
973 227
|
1 352 410
|
1 357 121
|
227 587
|
252 899
|
288 672
|
289 701
|
317 361
|
254 666
|
264 085
|
207 627
|
185 125
|
182 936
|
166 435
|
202 967
|
339 711
|
263 107
|
265 651
|
251 209
|
|
| Accounts Receivables |
422 959
|
555 099
|
420 968
|
526 054
|
749 129
|
760 901
|
1 258 289
|
1 249 443
|
214 433
|
236 932
|
263 003
|
265 219
|
307 886
|
243 313
|
237 870
|
192 323
|
173 391
|
175 863
|
158 058
|
192 200
|
320 979
|
248 229
|
249 111
|
238 167
|
|
| Other Receivables |
110 925
|
133 855
|
108 939
|
99 308
|
87 392
|
212 326
|
94 121
|
107 678
|
13 154
|
15 967
|
25 669
|
24 482
|
9 475
|
11 353
|
26 215
|
15 304
|
11 734
|
7 073
|
8 377
|
10 767
|
18 732
|
14 878
|
16 540
|
13 042
|
|
| Inventory |
148 092
|
212 263
|
215 137
|
162 615
|
244 442
|
707 347
|
892 376
|
518 910
|
1 332
|
1 800
|
2 091
|
1 785
|
3 161
|
4 017
|
3 926
|
4 277
|
2 637
|
691
|
904
|
1 222
|
978
|
893
|
1 205
|
1 379
|
|
| Other Current Assets |
97 039
|
224 924
|
367 920
|
466 473
|
520 009
|
463 700
|
604 903
|
502 565
|
7 262
|
12 485
|
34 389
|
13 805
|
16 655
|
43 608
|
59 562
|
6 748
|
12 416
|
131 493
|
110 972
|
3 106
|
2 521
|
3 939
|
6 854
|
5 730
|
|
| Total Current Assets |
1 032 735
|
2 066 154
|
1 855 826
|
1 907 506
|
2 515 692
|
3 059 044
|
3 510 131
|
3 839 703
|
410 954
|
415 798
|
502 699
|
418 898
|
456 871
|
453 733
|
458 650
|
327 757
|
357 667
|
353 502
|
333 600
|
379 459
|
555 839
|
443 922
|
444 234
|
443 832
|
|
| PP&E Net |
1 364 974
|
1 340 560
|
1 381 332
|
1 484 099
|
1 889 471
|
3 495 361
|
4 931 776
|
4 669 523
|
578 740
|
758 356
|
1 064 385
|
1 440 711
|
1 638 255
|
1 621 279
|
1 591 984
|
1 521 520
|
1 469 407
|
1 461 805
|
1 420 846
|
1 408 957
|
1 390 573
|
1 369 907
|
1 346 821
|
1 306 775
|
|
| PP&E Gross |
1 364 974
|
1 340 560
|
1 381 332
|
1 484 099
|
1 889 471
|
3 495 361
|
4 931 776
|
4 669 523
|
578 740
|
758 356
|
1 064 385
|
1 440 711
|
1 638 255
|
0
|
1 591 984
|
1 521 520
|
1 469 407
|
1 461 805
|
1 420 846
|
1 408 957
|
1 390 573
|
1 369 907
|
1 346 821
|
1 306 775
|
|
| Accumulated Depreciation |
234 272
|
253 390
|
266 227
|
303 405
|
407 967
|
462 365
|
591 554
|
735 888
|
55 800
|
70 975
|
85 868
|
106 268
|
152 088
|
0
|
256 871
|
298 844
|
336 537
|
390 225
|
455 094
|
519 125
|
586 385
|
652 127
|
722 312
|
790 239
|
|
| Intangible Assets |
1 868
|
1 460
|
1 057
|
651
|
1 029
|
981
|
1 052
|
1 043
|
1 376
|
1 657
|
1 477
|
1 383
|
1 477
|
19 765
|
1 239
|
1 056
|
2 494
|
2 090
|
1 904
|
2 585
|
1 205
|
824
|
1 176
|
1 545
|
|
| Goodwill |
0
|
0
|
0
|
0
|
39 552
|
50 193
|
44 485
|
46 765
|
16 380
|
16 380
|
16 380
|
16 380
|
18 148
|
0
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
10 656
|
59 603
|
75 447
|
71 836
|
0
|
600
|
425
|
125
|
0
|
0
|
0
|
0
|
2 194
|
0
|
3 078
|
27
|
20
|
3 078
|
500
|
3 578
|
|
| Long-Term Investments |
360 452
|
207 535
|
216 889
|
227 488
|
164 246
|
202 461
|
167 772
|
210 365
|
799 757
|
780 911
|
722 443
|
647 332
|
604 854
|
488 652
|
204 633
|
46 129
|
21 408
|
21 190
|
21 134
|
26 914
|
21 705
|
24 752
|
15 863
|
16 333
|
|
| Other Long-Term Assets |
63 331
|
50 807
|
42 322
|
24 192
|
34 715
|
29 796
|
79 329
|
67 626
|
7 959
|
7 033
|
7 480
|
6 689
|
2 598
|
2 327
|
2 865
|
4 038
|
2 285
|
3 928
|
38 475
|
1 711
|
8 498
|
5 090
|
22 925
|
26 968
|
|
| Other Assets |
0
|
0
|
0
|
0
|
39 552
|
50 193
|
44 485
|
46 765
|
16 380
|
16 380
|
16 380
|
16 380
|
18 148
|
0
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
18 148
|
|
| Total Assets |
2 823 360
N/A
|
3 666 516
+30%
|
3 497 426
-5%
|
3 643 936
+4%
|
4 655 361
+28%
|
6 797 053
+46%
|
8 721 022
+28%
|
8 813 331
+1%
|
1 815 166
-79%
|
1 980 735
+9%
|
2 315 289
+17%
|
2 531 518
+9%
|
2 722 203
+8%
|
2 585 756
-5%
|
2 277 519
-12%
|
1 918 648
-16%
|
1 873 603
-2%
|
1 860 663
-1%
|
1 837 185
-1%
|
1 837 801
+0%
|
1 995 988
+9%
|
1 865 721
-7%
|
1 849 667
-1%
|
1 817 179
-2%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
229 853
|
87 832
|
189 620
|
260 727
|
330 834
|
580 790
|
821 435
|
540 024
|
208 553
|
219 976
|
266 126
|
212 541
|
250 636
|
213 437
|
189 330
|
194 732
|
183 936
|
183 420
|
153 916
|
206 070
|
353 366
|
260 271
|
247 623
|
228 056
|
|
| Accrued Liabilities |
20 928
|
15 919
|
40 197
|
40 201
|
58 550
|
41 986
|
82 874
|
68 660
|
981
|
1 742
|
2 631
|
3 888
|
5 610
|
8 035
|
11 023
|
16 481
|
5 391
|
6 119
|
7 532
|
7 404
|
7 551
|
7 163
|
8 269
|
7 820
|
|
| Short-Term Debt |
71 328
|
185 619
|
26 560
|
56 798
|
210 458
|
210 326
|
513 922
|
727 525
|
0
|
20 600
|
19 865
|
0
|
104 648
|
168 793
|
144 885
|
74 203
|
33 734
|
75 000
|
59 943
|
70 000
|
90 000
|
122 491
|
141 200
|
135 400
|
|
| Current Portion of Long-Term Debt |
278 642
|
207 753
|
374 870
|
17 040
|
203 617
|
349 581
|
411 068
|
1 107 568
|
12 976
|
24 730
|
6 816
|
97 811
|
3 352
|
61 653
|
73 051
|
161 513
|
106 150
|
213 681
|
208 046
|
147 961
|
192 589
|
100 825
|
175 233
|
63 003
|
|
| Other Current Liabilities |
194 633
|
573 190
|
830 775
|
856 295
|
899 599
|
1 050 091
|
1 519 116
|
1 308 796
|
212 421
|
165 341
|
167 099
|
190 650
|
205 700
|
191 869
|
221 307
|
161 468
|
157 596
|
147 042
|
120 749
|
126 710
|
132 029
|
134 500
|
141 647
|
154 965
|
|
| Total Current Liabilities |
795 384
|
1 070 313
|
1 462 022
|
1 231 061
|
1 703 058
|
2 232 774
|
3 348 415
|
3 752 573
|
434 931
|
432 389
|
462 537
|
504 890
|
569 946
|
643 787
|
639 596
|
608 397
|
486 807
|
625 262
|
550 186
|
558 145
|
775 535
|
625 250
|
713 972
|
589 244
|
|
| Long-Term Debt |
637 462
|
393 356
|
89 506
|
619 717
|
1 400 821
|
1 649 177
|
2 303 322
|
2 319 046
|
20 530
|
79 344
|
440 764
|
708 287
|
884 803
|
828 931
|
810 381
|
688 655
|
791 224
|
631 949
|
671 646
|
628 920
|
530 483
|
540 219
|
383 427
|
430 252
|
|
| Deferred Income Tax |
0
|
0
|
0
|
369
|
10 268
|
371 541
|
280 947
|
264 024
|
38 565
|
37 414
|
37 205
|
33 605
|
33 482
|
31 306
|
14 202
|
23 232
|
34 960
|
34 038
|
32 774
|
32 682
|
31 499
|
29 512
|
27 734
|
20 617
|
|
| Minority Interest |
2 843
|
1 565
|
1 842
|
2 169
|
2 376
|
1 176 920
|
1 350 871
|
1 273 429
|
37 570
|
142 672
|
175 629
|
178 369
|
208 823
|
180 588
|
155 641
|
97 695
|
26 764
|
26 836
|
27 046
|
26 053
|
27 074
|
27 387
|
31 654
|
35 126
|
|
| Other Liabilities |
323 132
|
1 152 815
|
904 715
|
732 726
|
423 132
|
458 279
|
390 943
|
185 059
|
96 621
|
130 313
|
89 327
|
95 494
|
126 664
|
144 652
|
158 347
|
169 387
|
193 566
|
208 939
|
225 994
|
269 454
|
291 692
|
302 941
|
304 011
|
297 243
|
|
| Total Liabilities |
1 758 821
N/A
|
2 618 049
+49%
|
2 458 085
-6%
|
2 586 042
+5%
|
3 539 655
+37%
|
5 888 691
+66%
|
7 674 498
+30%
|
7 794 131
+2%
|
628 217
-92%
|
822 132
+31%
|
1 205 462
+47%
|
1 520 645
+26%
|
1 823 718
+20%
|
1 829 264
+0%
|
1 778 167
-3%
|
1 587 366
-11%
|
1 533 321
-3%
|
1 527 024
0%
|
1 507 646
-1%
|
1 515 254
+1%
|
1 656 283
+9%
|
1 525 309
-8%
|
1 460 798
-4%
|
1 372 482
-6%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
331 728
|
331 728
|
331 728
|
331 728
|
331 728
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
155 149
|
|
| Retained Earnings |
217 847
|
220 135
|
237 657
|
245 720
|
320 159
|
387 899
|
97 030
|
88 612
|
262 934
|
239 563
|
222 153
|
139 256
|
5 237
|
155 602
|
369 163
|
506 192
|
502 103
|
473 371
|
477 362
|
39 002
|
55 953
|
57 179
|
106 255
|
162 060
|
|
| Additional Paid In Capital |
576 723
|
578 692
|
579 751
|
579 751
|
568 633
|
999 161
|
754 142
|
754 138
|
699 488
|
699 488
|
699 488
|
699 488
|
702 108
|
702 107
|
650 367
|
650 367
|
650 367
|
650 367
|
650 367
|
159 460
|
159 460
|
159 460
|
159 460
|
159 460
|
|
| Unrealized Security Profit/Loss |
15 866
|
6 766
|
5 958
|
3 386
|
3 956
|
7 548
|
2 709
|
4 939
|
58 789
|
63 070
|
34 594
|
19 192
|
37 629
|
54 785
|
61 476
|
35 061
|
35 374
|
0
|
0
|
0
|
0
|
2
|
2
|
2
|
|
| Treasury Stock |
12 232
|
43 372
|
51 764
|
51 764
|
51 764
|
24 342
|
24 342
|
24 422
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
24 341
|
|
| Other Equity |
33 661
|
31 950
|
52 073
|
50 927
|
57 006
|
617 053
|
67 254
|
40 784
|
34 930
|
25 674
|
22 784
|
22 129
|
22 703
|
24 394
|
25 864
|
21 238
|
25 836
|
25 835
|
25 726
|
6 723
|
6 516
|
7 033
|
7 652
|
7 629
|
|
| Total Equity |
1 064 539
N/A
|
1 048 467
-2%
|
1 039 341
-1%
|
1 057 894
+2%
|
1 115 706
+5%
|
908 362
-19%
|
1 046 524
+15%
|
1 019 200
-3%
|
1 186 949
+16%
|
1 158 603
-2%
|
1 109 827
-4%
|
1 010 873
-9%
|
898 485
-11%
|
756 492
-16%
|
499 352
-34%
|
331 282
-34%
|
340 282
+3%
|
333 639
-2%
|
329 539
-1%
|
322 547
-2%
|
339 705
+5%
|
340 412
+0%
|
388 869
+14%
|
444 697
+14%
|
|
| Total Liabilities & Equity |
2 823 360
N/A
|
3 666 516
+30%
|
3 497 426
-5%
|
3 643 936
+4%
|
4 655 361
+28%
|
6 797 053
+46%
|
8 721 022
+28%
|
8 813 331
+1%
|
1 815 166
-79%
|
1 980 735
+9%
|
2 315 289
+17%
|
2 531 518
+9%
|
2 722 203
+8%
|
2 585 756
-5%
|
2 277 519
-12%
|
1 918 648
-16%
|
1 873 603
-2%
|
1 860 663
-1%
|
1 837 185
-1%
|
1 837 801
+0%
|
1 995 988
+9%
|
1 865 721
-7%
|
1 849 667
-1%
|
1 817 179
-2%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
64
|
56
|
53
|
53
|
53
|
26
|
26
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