Samchully Co Ltd
KRX:004690
Balance Sheet
Balance Sheet Decomposition
Samchully Co Ltd
Samchully Co Ltd
Balance Sheet
Samchully 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 |
13 063
|
2 115
|
49 918
|
4 905
|
22 600
|
154 765
|
14 096
|
61 444
|
130 202
|
161 426
|
150 043
|
257 409
|
239 129
|
99 700
|
47 646
|
124 240
|
161 598
|
148 174
|
315 699
|
493 304
|
393 207
|
438 334
|
307 257
|
376 561
|
|
| Cash Equivalents |
13 063
|
2 115
|
49 918
|
4 905
|
22 600
|
154 765
|
14 096
|
61 444
|
130 202
|
161 426
|
150 043
|
257 409
|
239 129
|
99 700
|
47 646
|
124 240
|
161 598
|
148 174
|
315 699
|
493 304
|
393 207
|
438 334
|
307 257
|
376 561
|
|
| Short-Term Investments |
102 722
|
134 179
|
92 110
|
188 604
|
221 093
|
141 453
|
97 223
|
80 178
|
167 365
|
98 509
|
249 869
|
193 319
|
128 678
|
292 082
|
429 947
|
551 264
|
420 747
|
407 867
|
391 990
|
259 329
|
467 744
|
665 249
|
626 693
|
573 577
|
|
| Total Receivables |
190 351
|
232 278
|
247 192
|
270 919
|
336 155
|
354 027
|
349 633
|
347 501
|
419 144
|
449 771
|
515 089
|
623 257
|
596 108
|
738 402
|
510 316
|
465 796
|
545 659
|
518 386
|
501 155
|
455 778
|
618 902
|
1 036 796
|
724 625
|
708 272
|
|
| Accounts Receivables |
173 358
|
222 368
|
235 650
|
265 831
|
331 001
|
350 303
|
337 264
|
338 100
|
405 161
|
430 210
|
504 396
|
609 361
|
581 722
|
696 731
|
501 134
|
457 661
|
509 683
|
504 201
|
476 451
|
430 384
|
588 445
|
993 344
|
684 578
|
677 086
|
|
| Other Receivables |
16 993
|
9 910
|
11 542
|
5 088
|
5 154
|
3 724
|
12 369
|
9 401
|
13 983
|
19 561
|
10 693
|
13 896
|
14 386
|
41 671
|
9 182
|
8 135
|
35 976
|
14 185
|
24 704
|
25 394
|
30 457
|
43 453
|
40 047
|
31 186
|
|
| Inventory |
23 702
|
2 746
|
2 514
|
1 848
|
1 792
|
2 256
|
3 120
|
3 364
|
3 201
|
5 366
|
4 282
|
4 680
|
4 485
|
4 789
|
5 370
|
33 393
|
16 083
|
67 792
|
28 771
|
19 883
|
16 128
|
65 871
|
38 896
|
50 407
|
|
| Other Current Assets |
2 179
|
2 512
|
1 568
|
2 284
|
1 437
|
2 620
|
3 052
|
10 164
|
4 459
|
3 628
|
8 059
|
3 360
|
11 289
|
41 289
|
31 067
|
28 066
|
41 414
|
32 543
|
78 110
|
25 296
|
55 709
|
66 916
|
42 012
|
67 593
|
|
| Total Current Assets |
332 017
|
373 830
|
393 302
|
468 561
|
583 077
|
655 122
|
467 123
|
502 651
|
724 371
|
718 701
|
927 342
|
1 082 024
|
979 688
|
1 176 261
|
1 024 346
|
1 202 758
|
1 185 501
|
1 174 762
|
1 315 727
|
1 253 590
|
1 551 689
|
2 273 165
|
1 739 484
|
1 776 410
|
|
| PP&E Net |
388 392
|
403 402
|
431 240
|
455 981
|
466 352
|
470 221
|
507 277
|
610 804
|
655 745
|
1 187 401
|
1 263 704
|
1 333 284
|
1 357 250
|
2 220 388
|
2 254 982
|
2 219 471
|
2 226 889
|
2 261 960
|
2 327 467
|
2 308 722
|
2 348 543
|
2 401 310
|
2 382 566
|
2 424 804
|
|
| PP&E Gross |
388 392
|
403 402
|
431 240
|
455 981
|
466 352
|
470 221
|
507 277
|
610 804
|
655 745
|
1 187 401
|
1 263 704
|
0
|
1 357 250
|
0
|
2 254 982
|
2 219 471
|
2 226 889
|
2 261 960
|
2 327 467
|
2 308 722
|
2 348 543
|
2 401 310
|
2 382 566
|
2 424 804
|
|
| Accumulated Depreciation |
300 766
|
344 076
|
390 224
|
420 166
|
461 464
|
515 104
|
571 617
|
629 342
|
692 806
|
68 843
|
76 746
|
0
|
2 173 975
|
0
|
2 336 480
|
2 445 688
|
2 551 248
|
2 650 556
|
2 775 312
|
2 916 662
|
3 024 193
|
3 142 771
|
3 227 581
|
3 361 871
|
|
| Intangible Assets |
1 282
|
1 184
|
2 461
|
3 860
|
4 067
|
4 077
|
3 959
|
3 859
|
3 449
|
23 425
|
56 533
|
72 112
|
62 623
|
57 835
|
25 702
|
24 645
|
24 134
|
22 788
|
23 150
|
25 805
|
24 733
|
22 926
|
20 971
|
24 819
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
5 071
|
3 169
|
1 581
|
0
|
0
|
0
|
0
|
0
|
0
|
2 964
|
3 130
|
3 130
|
2 964
|
2 964
|
2 964
|
2 964
|
2 964
|
2 964
|
|
| Note Receivable |
949
|
983
|
2 561
|
1 173
|
3 076
|
3 805
|
7 410
|
15 499
|
14 367
|
7 560
|
6 720
|
7 345
|
8 686
|
10 206
|
6 756
|
5 599
|
4 831
|
5 114
|
7 114
|
9 610
|
9 870
|
11 004
|
13 190
|
12 634
|
|
| Long-Term Investments |
15 401
|
25 082
|
8 055
|
61 981
|
89 914
|
95 758
|
91 602
|
124 844
|
115 538
|
165 528
|
183 120
|
278 149
|
324 591
|
179 455
|
187 792
|
190 781
|
204 860
|
191 214
|
190 157
|
214 015
|
252 689
|
242 526
|
207 980
|
214 243
|
|
| Other Long-Term Assets |
17 213
|
18 252
|
4 453
|
11 086
|
6 966
|
7 755
|
9 899
|
14 074
|
15 684
|
7 113
|
8 342
|
2 374
|
14 819
|
15 678
|
43 948
|
43 949
|
54 914
|
40 443
|
45 783
|
45 241
|
54 821
|
68 057
|
65 610
|
62 324
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
5 071
|
3 169
|
1 581
|
0
|
0
|
0
|
0
|
0
|
0
|
2 964
|
3 130
|
3 130
|
2 964
|
2 964
|
2 964
|
2 964
|
2 964
|
2 964
|
|
| Total Assets |
755 254
N/A
|
822 732
+9%
|
842 072
+2%
|
1 002 642
+19%
|
1 153 452
+15%
|
1 236 738
+7%
|
1 092 341
-12%
|
1 274 900
+17%
|
1 530 735
+20%
|
2 109 727
+38%
|
2 445 761
+16%
|
2 775 290
+13%
|
2 747 656
-1%
|
3 659 823
+33%
|
3 543 527
-3%
|
3 690 167
+4%
|
3 704 259
+0%
|
3 699 411
0%
|
3 912 362
+6%
|
3 859 948
-1%
|
4 245 309
+10%
|
5 021 952
+18%
|
4 432 766
-12%
|
4 518 198
+2%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
282 193
|
288 689
|
283 140
|
336 902
|
416 238
|
432 735
|
260 147
|
424 027
|
467 959
|
455 184
|
585 171
|
890 459
|
559 970
|
608 387
|
424 809
|
548 747
|
519 130
|
540 448
|
558 872
|
393 957
|
687 500
|
1 281 871
|
721 122
|
697 144
|
|
| Accrued Liabilities |
696
|
624
|
631
|
706
|
867
|
1 118
|
970
|
1 422
|
1 600
|
4 448
|
6 587
|
5 039
|
9 122
|
11 011
|
7 907
|
6 273
|
8 986
|
13 103
|
16 339
|
16 315
|
17 446
|
20 949
|
30 094
|
27 016
|
|
| Short-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
36 895
|
45 476
|
0
|
0
|
23 247
|
8 857
|
25 366
|
40 154
|
31 973
|
82 564
|
94 030
|
118 596
|
|
| Current Portion of Long-Term Debt |
29 868
|
2 674
|
31 455
|
21 885
|
3 645
|
34 350
|
35 030
|
5 934
|
9 347
|
17 558
|
90 679
|
35 322
|
5 949
|
16 841
|
179 938
|
68 336
|
136 582
|
36 155
|
165 653
|
130 026
|
23 850
|
474 526
|
158 240
|
336 350
|
|
| Other Current Liabilities |
42 373
|
58 716
|
32 065
|
41 396
|
54 279
|
51 079
|
37 857
|
58 151
|
66 170
|
70 638
|
63 277
|
70 270
|
80 720
|
176 620
|
160 576
|
172 958
|
220 792
|
159 914
|
207 097
|
150 072
|
152 754
|
152 372
|
184 273
|
213 833
|
|
| Total Current Liabilities |
355 129
|
350 704
|
347 292
|
400 890
|
475 030
|
519 282
|
334 005
|
489 533
|
545 076
|
547 828
|
745 714
|
1 001 090
|
692 657
|
858 335
|
773 231
|
796 316
|
908 737
|
758 477
|
973 327
|
730 524
|
913 522
|
2 012 282
|
1 187 759
|
1 392 939
|
|
| Long-Term Debt |
60 096
|
80 923
|
51 750
|
62 128
|
97 080
|
70 730
|
54 243
|
66 143
|
136 353
|
145 132
|
244 562
|
283 677
|
522 036
|
1 121 126
|
1 054 714
|
1 129 272
|
986 974
|
1 071 110
|
977 726
|
1 132 158
|
1 240 238
|
804 115
|
905 394
|
702 292
|
|
| Deferred Income Tax |
0
|
0
|
0
|
13 133
|
14 387
|
18 541
|
15 414
|
17 474
|
0
|
91 637
|
103 010
|
93 136
|
99 241
|
93 556
|
77 248
|
75 844
|
81 828
|
77 978
|
91 099
|
93 617
|
88 641
|
93 829
|
82 724
|
71 089
|
|
| Minority Interest |
0
|
0
|
0
|
0
|
0
|
14 547
|
24 719
|
24 831
|
23 095
|
22 736
|
21 474
|
17 172
|
13 061
|
139 373
|
138 695
|
124 181
|
116 169
|
110 615
|
108 657
|
103 830
|
115 392
|
133 048
|
158 000
|
181 066
|
|
| Other Liabilities |
7 233
|
2 727
|
1 844
|
430
|
226
|
5 451
|
3 485
|
7 704
|
9 376
|
198 460
|
210 418
|
233 607
|
238 493
|
268 622
|
289 283
|
325 746
|
370 905
|
423 526
|
477 261
|
512 843
|
542 780
|
572 447
|
581 860
|
591 334
|
|
| Total Liabilities |
422 458
N/A
|
434 354
+3%
|
400 886
-8%
|
476 581
+19%
|
586 723
+23%
|
628 551
+7%
|
431 867
-31%
|
605 685
+40%
|
713 900
+18%
|
1 005 792
+41%
|
1 325 178
+32%
|
1 628 683
+23%
|
1 565 487
-4%
|
2 481 012
+58%
|
2 333 171
-6%
|
2 451 358
+5%
|
2 464 612
+1%
|
2 441 706
-1%
|
2 628 070
+8%
|
2 572 971
-2%
|
2 900 573
+13%
|
3 615 722
+25%
|
2 915 737
-19%
|
2 938 720
+1%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
20 000
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
20 275
|
|
| Retained Earnings |
109 634
|
164 500
|
217 480
|
293 133
|
333 513
|
381 908
|
424 021
|
467 814
|
584 955
|
1 109 206
|
1 131 033
|
1 157 810
|
1 193 435
|
1 190 511
|
1 217 068
|
1 245 428
|
1 061 345
|
1 077 774
|
1 103 185
|
1 309 461
|
1 361 884
|
1 418 995
|
1 528 537
|
1 614 011
|
|
| Additional Paid In Capital |
206 560
|
206 779
|
206 779
|
206 779
|
207 688
|
209 302
|
209 302
|
209 302
|
209 302
|
21 585
|
21 658
|
21 061
|
21 061
|
20 400
|
20 097
|
20 006
|
20 006
|
20 006
|
20 006
|
19 964
|
19 964
|
19 964
|
19 964
|
13 045
|
|
| Unrealized Security Profit/Loss |
0
|
1 929
|
1 757
|
10 980
|
9 972
|
6 896
|
17 069
|
2 262
|
30 282
|
873
|
5 140
|
2 681
|
2 398
|
4 912
|
916
|
2 105
|
187 255
|
187 424
|
187 425
|
11
|
9
|
27
|
25
|
9
|
|
| Treasury Stock |
3 674
|
5 105
|
5 105
|
5 105
|
4 719
|
10 194
|
10 194
|
30 438
|
30 450
|
48 602
|
50 241
|
50 241
|
50 241
|
50 241
|
50 241
|
50 241
|
50 241
|
50 241
|
50 241
|
60 223
|
60 223
|
60 223
|
60 223
|
60 223
|
|
| Other Equity |
275
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
2 470
|
2 344
|
2 997
|
384
|
38
|
2 778
|
4 073
|
5 446
|
1 006
|
2 467
|
3 641
|
2 490
|
2 825
|
7 192
|
8 450
|
18 451
|
|
| Total Equity |
332 796
N/A
|
388 378
+17%
|
441 186
+14%
|
526 062
+19%
|
566 729
+8%
|
608 188
+7%
|
660 474
+9%
|
669 216
+1%
|
816 835
+22%
|
1 103 935
+35%
|
1 120 582
+2%
|
1 146 607
+2%
|
1 182 169
+3%
|
1 178 812
0%
|
1 210 356
+3%
|
1 238 809
+2%
|
1 239 647
+0%
|
1 257 705
+1%
|
1 284 292
+2%
|
1 286 977
+0%
|
1 344 736
+4%
|
1 406 230
+5%
|
1 517 029
+8%
|
1 579 478
+4%
|
|
| Total Liabilities & Equity |
755 254
N/A
|
822 732
+9%
|
842 072
+2%
|
1 002 642
+19%
|
1 153 452
+15%
|
1 236 738
+7%
|
1 092 341
-12%
|
1 274 900
+17%
|
1 530 735
+20%
|
2 109 727
+38%
|
2 445 761
+16%
|
2 775 290
+13%
|
2 747 656
-1%
|
3 659 823
+33%
|
3 543 527
-3%
|
3 690 167
+4%
|
3 704 259
+0%
|
3 699 411
0%
|
3 912 362
+6%
|
3 859 948
-1%
|
4 245 309
+10%
|
5 021 952
+18%
|
4 432 766
-12%
|
4 518 198
+2%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
3
|
3
|
3
|
3
|
3
|
|