DN Automotive Corp
KRX:007340
Balance Sheet
Balance Sheet Decomposition
DN Automotive Corp
DN Automotive Corp
Balance Sheet
DN Automotive Corp
| 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 |
21 781
|
21 375
|
54 384
|
25 524
|
18 032
|
17 800
|
21 431
|
57 932
|
26 606
|
56 737
|
69 661
|
75 567
|
74 529
|
90 706
|
77 603
|
117 452
|
88 514
|
32
|
23
|
35
|
571 605
|
509 344
|
442 142
|
364 060
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
318
|
263
|
108
|
205
|
26
|
19
|
32
|
23
|
35
|
32
|
88
|
211
|
228
|
|
| Cash Equivalents |
21 781
|
21 375
|
54 384
|
25 524
|
18 032
|
17 800
|
21 431
|
57 932
|
26 606
|
56 737
|
69 661
|
75 249
|
74 266
|
90 598
|
77 398
|
117 426
|
88 495
|
0
|
0
|
0
|
571 573
|
509 256
|
441 931
|
363 831
|
|
| Short-Term Investments |
32 928
|
47 462
|
48 028
|
32 494
|
61 493
|
57 332
|
37 345
|
42 993
|
132 413
|
131 032
|
80 545
|
5 699
|
3 600
|
19 348
|
26 274
|
13 817
|
251
|
152 036
|
123 153
|
167 994
|
10
|
144 948
|
186 531
|
170 177
|
|
| Total Receivables |
26 559
|
29 125
|
37 014
|
53 433
|
52 790
|
60 110
|
70 373
|
63 745
|
51 652
|
95 779
|
117 592
|
144 586
|
137 036
|
192 374
|
204 735
|
188 626
|
157 315
|
142 588
|
147 854
|
155 874
|
178 276
|
400 891
|
423 584
|
608 404
|
|
| Accounts Receivables |
25 918
|
27 887
|
33 806
|
48 449
|
49 110
|
56 947
|
68 706
|
61 450
|
49 865
|
92 238
|
109 230
|
134 082
|
128 814
|
185 886
|
192 632
|
183 183
|
151 420
|
134 695
|
139 046
|
149 085
|
161 051
|
385 340
|
414 353
|
584 877
|
|
| Other Receivables |
641
|
1 238
|
3 208
|
4 984
|
3 680
|
3 163
|
1 667
|
2 295
|
1 787
|
3 541
|
8 362
|
10 504
|
8 222
|
6 488
|
12 103
|
5 443
|
5 895
|
7 893
|
8 808
|
6 789
|
17 225
|
15 551
|
9 231
|
23 527
|
|
| Inventory |
24 718
|
23 693
|
23 705
|
38 238
|
47 751
|
49 552
|
53 914
|
75 508
|
52 179
|
74 736
|
110 740
|
104 370
|
139 417
|
131 144
|
129 236
|
131 620
|
119 221
|
133 819
|
136 948
|
131 915
|
184 423
|
659 977
|
626 774
|
732 397
|
|
| Other Current Assets |
213
|
243
|
337
|
2 366
|
4 244
|
2 812
|
934
|
16 108
|
2 937
|
13 877
|
3 418
|
13 541
|
10 598
|
17 018
|
27 536
|
23 105
|
22 521
|
26 207
|
23 903
|
20 314
|
142 759
|
60 490
|
61 282
|
89 763
|
|
| Total Current Assets |
106 200
|
121 898
|
163 468
|
152 055
|
184 309
|
187 606
|
183 997
|
256 287
|
265 787
|
372 160
|
381 956
|
343 764
|
365 180
|
450 589
|
465 384
|
474 620
|
387 822
|
454 682
|
431 882
|
476 132
|
1 077 073
|
1 775 650
|
1 740 313
|
1 964 801
|
|
| PP&E Net |
61 846
|
64 643
|
66 512
|
81 244
|
87 912
|
83 850
|
85 207
|
99 356
|
101 180
|
122 890
|
168 322
|
210 410
|
246 074
|
336 227
|
341 024
|
344 273
|
280 883
|
292 576
|
324 495
|
300 364
|
294 134
|
723 046
|
766 318
|
927 170
|
|
| PP&E Gross |
61 846
|
64 643
|
66 512
|
81 244
|
87 912
|
83 850
|
85 207
|
99 356
|
101 180
|
122 890
|
168 322
|
210 410
|
246 074
|
0
|
341 024
|
344 273
|
280 883
|
292 576
|
324 495
|
300 364
|
294 134
|
723 046
|
766 318
|
927 170
|
|
| Accumulated Depreciation |
34 064
|
38 961
|
43 159
|
33 728
|
31 073
|
37 154
|
42 479
|
54 301
|
64 371
|
71 390
|
84 599
|
100 723
|
120 553
|
0
|
269 300
|
285 417
|
223 813
|
244 725
|
261 244
|
291 584
|
302 344
|
477 495
|
531 648
|
679 946
|
|
| Intangible Assets |
601
|
601
|
818
|
849
|
849
|
849
|
0
|
0
|
0
|
3 435
|
3 435
|
6 107
|
8 563
|
14 634
|
15 673
|
16 127
|
16 919
|
15 673
|
14 740
|
17 773
|
14 421
|
307 418
|
292 065
|
281 719
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
4 160
|
4 886
|
4 940
|
4 816
|
4 830
|
12 118
|
11 486
|
10 416
|
6 367
|
6 366
|
6 157
|
6 351
|
6 370
|
1 676 803
|
1 676 803
|
1 676 803
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
3 767
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
3 818
|
1 873
|
2 743
|
|
| Long-Term Investments |
60 130
|
63 000
|
33 946
|
58 588
|
59 925
|
75 518
|
76 077
|
89 115
|
197 657
|
236 699
|
173 537
|
151 408
|
160 313
|
148 660
|
227 253
|
265 900
|
83 793
|
96 234
|
129 593
|
153 952
|
88 597
|
70 641
|
60 652
|
82 325
|
|
| Other Long-Term Assets |
1 490
|
1 774
|
2 248
|
2 463
|
3 347
|
3 769
|
5 939
|
7 322
|
7 659
|
3 646
|
7 873
|
14 084
|
13 336
|
9 332
|
3 687
|
4 203
|
2 842
|
5 229
|
4 879
|
7 183
|
4 367
|
34 214
|
29 363
|
70 471
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
4 160
|
4 886
|
4 940
|
4 816
|
4 830
|
12 118
|
11 486
|
10 416
|
6 367
|
6 366
|
6 157
|
6 351
|
6 370
|
1 676 803
|
1 676 803
|
1 676 803
|
|
| Total Assets |
230 266
N/A
|
251 914
+9%
|
266 993
+6%
|
295 199
+11%
|
336 341
+14%
|
351 592
+5%
|
351 219
0%
|
452 080
+29%
|
576 443
+28%
|
747 482
+30%
|
740 063
-1%
|
730 589
-1%
|
798 297
+9%
|
971 558
+22%
|
1 064 506
+10%
|
1 115 540
+5%
|
778 625
-30%
|
870 760
+12%
|
911 746
+5%
|
961 755
+5%
|
1 484 962
+54%
|
4 591 591
+209%
|
4 567 387
-1%
|
5 006 032
+10%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
9 445
|
9 067
|
9 596
|
12 051
|
9 467
|
11 839
|
15 313
|
20 103
|
21 387
|
47 931
|
38 546
|
56 763
|
59 175
|
92 715
|
101 491
|
106 173
|
121 632
|
112 820
|
100 672
|
107 090
|
100 819
|
340 103
|
318 353
|
313 108
|
|
| Accrued Liabilities |
3 174
|
3 285
|
4 445
|
6 388
|
4 582
|
5 025
|
5 274
|
4 877
|
5 318
|
4 435
|
7 575
|
8 080
|
11 526
|
11 878
|
18 648
|
21 148
|
17 522
|
11 792
|
12 860
|
12 925
|
15 342
|
122 800
|
122 173
|
122 864
|
|
| Short-Term Debt |
0
|
4 356
|
0
|
365
|
34 750
|
45 910
|
5 350
|
42 498
|
131 738
|
0
|
145 186
|
68 765
|
85 871
|
154 684
|
151 573
|
137 543
|
84 862
|
127 361
|
110 700
|
121 972
|
393 468
|
521 111
|
542 663
|
560 758
|
|
| Current Portion of Long-Term Debt |
506
|
6
|
7
|
8
|
10
|
11
|
12
|
13
|
15
|
172 529
|
0
|
0
|
0
|
0
|
2 689
|
2 114
|
3 318
|
4 139
|
5 673
|
8 487
|
7 440
|
170 517
|
187 772
|
60 173
|
|
| Other Current Liabilities |
9 678
|
7 159
|
4 677
|
9 344
|
8 381
|
5 614
|
17 558
|
31 716
|
23 541
|
52 221
|
20 676
|
20 192
|
18 009
|
21 815
|
36 086
|
36 868
|
19 983
|
28 159
|
38 469
|
40 412
|
40 997
|
203 929
|
233 956
|
277 288
|
|
| Total Current Liabilities |
22 803
|
23 872
|
18 725
|
28 157
|
57 190
|
68 399
|
43 507
|
99 206
|
181 999
|
277 116
|
211 983
|
153 800
|
174 581
|
281 092
|
310 487
|
303 845
|
247 318
|
284 271
|
268 373
|
290 886
|
558 066
|
1 358 459
|
1 404 917
|
1 334 191
|
|
| Long-Term Debt |
227
|
221
|
214
|
206
|
196
|
185
|
173
|
160
|
145
|
0
|
11 918
|
225
|
12 213
|
10 198
|
7 094
|
3 580
|
4 131
|
3 090
|
3 509
|
9 553
|
205 008
|
2 015 510
|
1 692 848
|
1 392 696
|
|
| Deferred Income Tax |
2 671
|
393
|
205
|
1 261
|
985
|
285
|
109
|
117
|
53
|
11 302
|
6 921
|
10 567
|
8 186
|
12 707
|
8 461
|
4 067
|
2 626
|
6 513
|
3 703
|
3 614
|
2 041
|
106 025
|
99 872
|
82 148
|
|
| Minority Interest |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
4 641
|
4 115
|
5 956
|
901
|
8 778
|
10 422
|
13 802
|
18 727
|
21 056
|
24 062
|
28 397
|
2 917
|
256 709
|
255 126
|
429 210
|
|
| Other Liabilities |
3 617
|
3 773
|
3 594
|
3 175
|
2 864
|
3 029
|
3 089
|
2 300
|
2 840
|
4 351
|
3 621
|
6 508
|
5 258
|
17 308
|
13 018
|
13 577
|
11 757
|
13 357
|
10 060
|
3 025
|
5 874
|
19 912
|
24 669
|
26 225
|
|
| Total Liabilities |
29 318
N/A
|
28 259
-4%
|
22 738
-20%
|
32 798
+44%
|
61 236
+87%
|
71 899
+17%
|
46 877
-35%
|
101 783
+117%
|
185 038
+82%
|
297 409
+61%
|
238 557
-20%
|
177 056
-26%
|
201 138
+14%
|
330 084
+64%
|
349 483
+6%
|
338 872
-3%
|
284 559
-16%
|
328 287
+15%
|
309 707
-6%
|
335 474
+8%
|
773 906
+131%
|
3 716 791
+380%
|
3 428 095
-8%
|
3 264 470
-5%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
11 509
|
11 509
|
11 509
|
11 509
|
11 864
|
11 864
|
11 864
|
11 864
|
11 864
|
11 864
|
11 864
|
11 864
|
11 864
|
11 864
|
11 864
|
11 864
|
4 997
|
4 997
|
4 997
|
4 997
|
4 997
|
4 997
|
4 997
|
6 056
|
|
| Retained Earnings |
159 685
|
183 260
|
201 860
|
221 016
|
236 543
|
244 487
|
266 717
|
305 645
|
343 292
|
409 524
|
456 364
|
510 000
|
558 451
|
598 882
|
668 803
|
742 132
|
784 221
|
831 710
|
887 954
|
919 296
|
978 751
|
1 149 664
|
1 397 267
|
1 835 117
|
|
| Additional Paid In Capital |
35 881
|
35 881
|
35 881
|
35 881
|
35 881
|
35 881
|
35 881
|
35 881
|
35 881
|
33 198
|
35 881
|
35 881
|
35 881
|
36 639
|
36 639
|
36 639
|
2 864
|
2 864
|
2 864
|
3 343
|
3 918
|
3 918
|
3 918
|
178 498
|
|
| Unrealized Security Profit/Loss |
55
|
41
|
2 041
|
2 044
|
652
|
2 942
|
1 359
|
5 416
|
1 253
|
5 283
|
3 800
|
6 778
|
1 433
|
4 844
|
7 529
|
5 624
|
8 254
|
11 277
|
11 422
|
10 848
|
13 039
|
5 330
|
9 406
|
4 819
|
|
| Treasury Stock |
6 182
|
7 037
|
7 037
|
7 037
|
7 038
|
7 038
|
7 491
|
9 110
|
9 110
|
9 110
|
9 183
|
9 428
|
9 428
|
0
|
9 294
|
0
|
0
|
3 966
|
3 966
|
6 948
|
6 948
|
6 948
|
6 948
|
35 900
|
|
| Other Equity |
0
|
0
|
0
|
1 013
|
1 492
|
2 559
|
1 270
|
11 432
|
8 226
|
686
|
2 780
|
1 562
|
1 042
|
10 754
|
516
|
19 591
|
306 269
|
304 409
|
301 230
|
305 255
|
282 701
|
282 163
|
269 349
|
237 390
|
|
| Total Equity |
200 948
N/A
|
223 655
+11%
|
244 254
+9%
|
262 401
+7%
|
275 105
+5%
|
279 693
+2%
|
304 342
+9%
|
350 296
+15%
|
391 406
+12%
|
450 073
+15%
|
501 506
+11%
|
553 533
+10%
|
597 159
+8%
|
641 475
+7%
|
715 023
+11%
|
776 668
+9%
|
494 066
-36%
|
542 472
+10%
|
602 040
+11%
|
626 281
+4%
|
711 056
+14%
|
874 800
+23%
|
1 139 292
+30%
|
1 741 561
+53%
|
|
| Total Liabilities & Equity |
230 266
N/A
|
251 914
+9%
|
266 993
+6%
|
295 199
+11%
|
336 341
+14%
|
351 592
+5%
|
351 219
0%
|
452 080
+29%
|
576 443
+28%
|
747 482
+30%
|
740 063
-1%
|
730 589
-1%
|
798 297
+9%
|
971 558
+22%
|
1 064 506
+10%
|
1 115 540
+5%
|
778 625
-30%
|
870 760
+12%
|
911 746
+5%
|
961 755
+5%
|
1 484 962
+54%
|
4 591 591
+209%
|
4 567 387
-1%
|
5 006 032
+10%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
10
|
10
|
10
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
9
|
43
|
43
|
43
|
52
|
|