Samyoung Electronics Co Ltd
KRX:005680

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Samyoung Electronics Co Ltd
KRX:005680
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Price: 10 450 KRW -1.32% Market Closed
Market Cap: 209B KRW

Balance Sheet

Balance Sheet Decomposition
Samyoung Electronics Co Ltd

Current Assets 376.2B
Cash & Short-Term Investments 297.5B
Receivables 42.1B
Other Current Assets 36.6B
Non-Current Assets 182B
Long-Term Investments 45.2B
PP&E 128.9B
Intangibles 584.6m
Other Non-Current Assets 7.3B
Current Liabilities 20.9B
Accounts Payable 13.3B
Accrued Liabilities 639m
Other Current Liabilities 7B
Non-Current Liabilities 4.1B
Long-Term Debt 72.3m
Other Non-Current Liabilities 4B

Balance Sheet
Samyoung Electronics Co Ltd

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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
21 475
17 017
16 660
16 963
16 992
18 500
17 341
17 902
66 851
27 852
32 972
27 462
40 687
41 823
24 812
30 442
25 457
25 984
26 701
23 040
25 259
30 037
32 339
23 191
Cash Equivalents
21 475
17 017
16 660
16 963
16 992
18 500
17 341
17 902
66 851
27 852
32 972
27 462
40 687
41 823
24 812
30 442
25 457
25 984
26 701
23 040
25 259
30 037
32 339
23 191
Short-Term Investments
31 557
63 491
62 509
58 380
122 224
107 099
111 604
84 760
39 026
88 023
83 751
104 035
120 769
147 874
187 610
196 270
209 315
204 868
217 064
240 024
251 757
243 811
240 711
274 689
Total Receivables
43 851
55 493
55 058
48 458
47 760
43 850
52 472
56 008
67 743
63 484
59 521
54 311
53 117
49 767
45 540
46 931
47 652
45 639
36 946
39 949
46 861
47 829
38 393
43 628
Accounts Receivables
41 405
51 763
52 508
46 722
46 001
41 399
50 506
53 955
65 258
58 956
56 782
50 920
49 365
45 172
43 369
44 465
45 124
43 187
34 876
37 310
44 255
45 692
36 356
41 253
Other Receivables
2 446
3 730
2 550
1 736
1 759
2 451
1 966
2 053
2 485
4 528
2 739
3 391
3 752
4 595
2 171
2 466
2 528
2 452
2 070
2 639
2 606
2 138
2 038
2 375
Inventory
27 822
31 676
29 491
33 864
36 140
38 945
46 446
55 547
44 908
52 437
62 996
54 963
49 204
49 386
44 329
37 656
37 633
48 495
41 472
37 899
47 821
52 109
43 920
34 394
Other Current Assets
4 245
1 059
917
2 547
1 129
2 858
2 555
6 373
3 281
1 999
1 380
1 163
1 228
551
844
772
588
984
697
650
639
528
2 104
1 753
Total Current Assets
128 950
168 736
164 634
160 213
224 245
211 253
230 418
220 590
221 808
233 796
240 620
241 933
265 006
289 402
303 135
312 070
320 647
325 970
322 879
341 561
372 337
374 315
357 467
377 654
PP&E Net
285 858
267 023
251 703
236 888
172 962
177 106
176 617
200 415
199 953
181 483
201 988
189 760
175 074
163 715
156 714
154 235
149 884
154 163
152 623
146 978
143 140
136 348
134 826
130 802
PP&E Gross
285 858
267 023
251 703
236 888
172 962
177 106
176 617
200 415
199 953
181 483
201 988
189 760
175 074
163 715
156 714
154 235
149 884
154 163
152 623
146 978
143 140
136 348
134 826
130 802
Accumulated Depreciation
85 675
113 836
133 705
145 987
150 594
159 619
164 430
185 706
185 541
214 118
232 009
225 742
243 179
255 329
267 183
261 352
258 857
260 402
265 263
272 553
288 687
292 883
297 790
312 652
Intangible Assets
1 551
1 606
2 286
1 829
1 467
1 131
1 108
1 470
1 172
901
927
873
884
862
839
770
702
675
679
695
712
640
599
633
Note Receivable
0
0
0
0
0
0
0
0
0
800
710
355
175
0
0
0
0
0
0
0
0
0
0
0
Long-Term Investments
2 856
17 341
13 367
6 143
25 542
13 172
14 843
19 192
19 050
32 209
24 653
22 927
25 443
26 705
25 122
25 004
25 872
26 718
26 007
24 145
26 707
24 925
44 948
41 103
Other Long-Term Assets
206
221
181
278
192
253
70
70
80
260
434
393
413
833
952
495
495
495
495
495
745
3 109
6 203
7 105
Total Assets
419 421
N/A
454 927
+8%
432 171
-5%
405 350
-6%
424 408
+5%
402 915
-5%
423 056
+5%
441 737
+4%
442 063
+0%
449 448
+2%
469 333
+4%
456 241
-3%
466 995
+2%
481 517
+3%
486 762
+1%
492 574
+1%
497 601
+1%
508 021
+2%
502 683
-1%
513 874
+2%
543 641
+6%
539 337
-1%
544 043
+1%
557 296
+2%
Liabilities
Accounts Payable
7 294
6 539
5 162
4 680
3 206
3 465
4 412
6 338
13 002
29 720
32 735
22 002
20 243
19 283
17 645
20 329
12 199
23 219
15 526
9 927
14 681
5 279
4 783
14 828
Accrued Liabilities
3 345
481
458
472
1 334
379
332
669
495
124
68
0
0
0
0
0
0
0
0
0
0
0
648
1 250
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
592
107
256
125
278
160
33
360
201
0
0
0
Current Portion of Long-Term Debt
78 122
89 100
40 028
15 541
20 500
8 305
25 293
10 894
2 394
2 763
242
0
0
0
0
0
0
0
0
0
0
0
3
139
Other Current Liabilities
10 037
13 642
21 428
13 143
9 089
8 356
7 494
13 763
12 575
5 024
3 003
1 646
2 198
2 662
1 200
1 293
12 040
2 005
819
10 075
14 420
11 130
4 240
6 709
Total Current Liabilities
98 797
109 762
67 077
33 835
34 128
20 504
37 531
31 664
28 466
37 631
36 047
23 648
23 033
22 052
19 100
21 746
24 518
25 385
16 378
20 362
29 302
16 409
9 674
22 926
Long-Term Debt
1 318
1 299
1 275
1 245
1 151
1 614
696
941
316
116
0
0
0
0
0
0
0
0
0
0
0
0
11
105
Deferred Income Tax
1 086
1 961
3 642
5 686
8 227
7 075
7 551
10 886
7 755
3 425
3 363
2 851
2 948
3 129
1 712
55
630
929
553
254
1 002
392
3 920
1 936
Minority Interest
22 007
22 727
24 261
24 536
24 503
23 494
19 533
21 265
19 105
0
0
0
0
0
0
0
0
0
0
0
0
0
0
298
Other Liabilities
481
973
1 185
1 414
1 457
1 103
1 344
1 054
3 346
1 427
2 575
3 449
3 846
3 420
2 677
2 144
1 620
1 236
1 358
2 363
1 578
779
812
931
Total Liabilities
123 690
N/A
136 722
+11%
97 439
-29%
66 717
-32%
69 467
+4%
53 791
-23%
66 655
+24%
65 810
-1%
58 988
-10%
42 599
-28%
41 985
-1%
29 948
-29%
29 826
0%
28 600
-4%
23 489
-18%
23 944
+2%
26 768
+12%
27 550
+3%
18 290
-34%
22 979
+26%
31 882
+39%
17 580
-45%
14 417
-18%
26 196
+82%
Equity
Common Stock
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
10 000
Retained Earnings
167 136
179 213
196 488
213 724
223 011
219 024
219 132
226 658
236 276
243 374
259 715
263 628
273 088
286 634
295 721
303 385
308 904
319 854
330 709
336 725
348 578
361 601
370 723
375 918
Additional Paid In Capital
127 529
129 056
128 974
128 057
128 436
128 092
128 192
123 826
123 794
129 540
129 650
129 771
129 932
130 126
130 415
130 744
130 927
131 203
125 522
125 522
125 522
125 696
125 696
125 696
Unrealized Security Profit/Loss
0
806
0
0
0
0
0
0
0
3 257
2 907
0
0
0
0
0
0
0
0
0
0
0
0
0
Treasury Stock
12 066
6 907
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
9 240
Other Equity
3 132
6 038
731
13 147
6 506
7 991
922
15 442
13 005
20 678
25 077
22 894
24 149
26 157
27 138
24 501
21 002
19 414
18 162
18 647
27 659
24 461
23 207
28 725
Total Equity
295 731
N/A
318 205
+8%
334 732
+5%
338 633
+1%
354 941
+5%
349 124
-2%
356 402
+2%
375 927
+5%
383 075
+2%
406 850
+6%
427 348
+5%
426 294
0%
437 169
+3%
452 917
+4%
463 274
+2%
468 630
+1%
470 833
+0%
480 471
+2%
484 393
+1%
490 894
+1%
511 759
+4%
521 758
+2%
529 626
+2%
531 100
+0%
Total Liabilities & Equity
419 421
N/A
454 927
+8%
432 171
-5%
405 350
-6%
424 408
+5%
402 915
-5%
423 056
+5%
441 737
+4%
442 063
+0%
449 448
+2%
469 333
+4%
456 241
-3%
466 995
+2%
481 517
+3%
486 762
+1%
492 574
+1%
497 601
+1%
508 021
+2%
502 683
-1%
513 874
+2%
543 641
+6%
539 337
-1%
544 043
+1%
557 296
+2%
Shares Outstanding
Common Shares Outstanding
19
20
20
19
20
20
20
19
19
20
20
20
20
20
20
20
20
20
20
20
20
20
20
19