Moorim Paper Co Ltd
KRX:009200
Balance Sheet
Balance Sheet Decomposition
Moorim Paper Co Ltd
Moorim Paper Co Ltd
Balance Sheet
Moorim Paper 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 |
17 483
|
34 372
|
41 300
|
26 377
|
38 280
|
19 146
|
50 053
|
129 763
|
192 062
|
177 243
|
88 046
|
133 193
|
131 012
|
149 322
|
138 613
|
117 344
|
149 074
|
188 957
|
137 983
|
255 410
|
193 545
|
238 174
|
177 881
|
233 669
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
186
|
22
|
6
|
22
|
26
|
22
|
73
|
51
|
14
|
31
|
37
|
|
| Cash Equivalents |
17 483
|
34 372
|
41 300
|
26 377
|
38 280
|
19 146
|
50 053
|
129 763
|
192 062
|
177 243
|
88 046
|
133 193
|
131 012
|
149 136
|
138 591
|
117 338
|
149 052
|
188 931
|
137 961
|
255 337
|
193 494
|
238 160
|
177 850
|
233 633
|
|
| Short-Term Investments |
63
|
3 107
|
1 624
|
11
|
11
|
53
|
112
|
81 625
|
23 945
|
61 708
|
7 062
|
17 202
|
9 238
|
23 670
|
96 521
|
14 804
|
14 287
|
32 294
|
40 886
|
47 792
|
53 937
|
102 860
|
101 563
|
79 207
|
|
| Total Receivables |
71 678
|
77 337
|
79 624
|
91 030
|
95 858
|
91 297
|
115 194
|
172 080
|
156 673
|
301 391
|
429 013
|
321 170
|
374 408
|
350 616
|
331 290
|
268 181
|
264 525
|
278 635
|
276 415
|
263 559
|
336 549
|
345 225
|
383 154
|
328 651
|
|
| Accounts Receivables |
69 941
|
75 455
|
77 023
|
87 161
|
91 894
|
88 205
|
112 824
|
163 712
|
153 673
|
168 621
|
236 373
|
149 553
|
195 239
|
198 287
|
186 825
|
176 512
|
187 173
|
204 699
|
196 568
|
153 529
|
215 709
|
252 890
|
245 583
|
234 722
|
|
| Other Receivables |
1 737
|
1 882
|
2 601
|
3 869
|
3 964
|
3 092
|
2 370
|
8 368
|
3 000
|
132 770
|
192 640
|
171 617
|
179 169
|
152 329
|
144 465
|
91 669
|
77 352
|
73 936
|
79 847
|
110 030
|
120 839
|
92 335
|
137 571
|
93 929
|
|
| Inventory |
30 257
|
41 582
|
43 566
|
53 235
|
51 858
|
68 726
|
63 150
|
158 774
|
96 367
|
177 294
|
235 371
|
224 821
|
253 163
|
206 122
|
235 924
|
179 564
|
194 855
|
235 112
|
206 885
|
170 340
|
199 970
|
293 722
|
245 690
|
263 245
|
|
| Other Current Assets |
1 798
|
1 560
|
847
|
1 032
|
6 203
|
3 957
|
1 492
|
9 219
|
17 492
|
6 458
|
10 312
|
10 372
|
10 095
|
5 228
|
4 109
|
9 969
|
3 615
|
4 137
|
5 483
|
10 457
|
4 840
|
10 507
|
8 106
|
16 743
|
|
| Total Current Assets |
121 278
|
157 958
|
166 961
|
171 684
|
192 210
|
183 179
|
230 003
|
551 460
|
486 539
|
724 094
|
769 804
|
706 757
|
777 916
|
734 957
|
806 457
|
589 860
|
626 355
|
739 136
|
667 652
|
747 558
|
788 840
|
990 489
|
916 395
|
921 515
|
|
| PP&E Net |
383 465
|
377 340
|
371 816
|
359 166
|
349 483
|
363 262
|
351 400
|
618 438
|
805 834
|
1 157 056
|
1 264 973
|
1 250 792
|
1 218 913
|
1 156 845
|
1 152 147
|
1 097 749
|
1 054 588
|
1 039 250
|
1 243 520
|
1 239 453
|
1 210 620
|
1 168 365
|
1 271 964
|
1 351 900
|
|
| PP&E Gross |
383 465
|
377 340
|
371 816
|
359 166
|
349 483
|
363 262
|
351 400
|
618 438
|
805 834
|
1 157 056
|
1 264 973
|
1 250 792
|
0
|
1 156 845
|
1 152 147
|
1 097 749
|
1 054 588
|
1 039 250
|
1 243 520
|
1 239 453
|
1 210 620
|
1 168 365
|
1 271 964
|
1 351 900
|
|
| Accumulated Depreciation |
56 066
|
71 110
|
87 727
|
103 211
|
119 690
|
136 811
|
153 740
|
296 423
|
327 890
|
355 000
|
403 844
|
464 600
|
0
|
603 670
|
672 089
|
742 244
|
812 233
|
880 486
|
1 015 070
|
1 123 794
|
1 198 973
|
1 284 470
|
1 374 650
|
1 450 677
|
|
| Intangible Assets |
4 320
|
4 031
|
3 742
|
3 496
|
3 360
|
11 120
|
9 069
|
6 965
|
4 916
|
7 163
|
13 742
|
12 086
|
63 641
|
18 434
|
17 253
|
15 877
|
12 990
|
12 790
|
6 147
|
5 381
|
4 187
|
3 978
|
3 313
|
3 002
|
|
| Goodwill |
339
|
198
|
74
|
23
|
242
|
181
|
121
|
89 592
|
50 657
|
50 657
|
50 657
|
52 458
|
0
|
50 680
|
50 680
|
50 680
|
50 680
|
50 680
|
38 555
|
4 611
|
4 611
|
4 611
|
4 588
|
4 588
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
3 074
|
87 088
|
79 665
|
80 558
|
119 717
|
126 254
|
108 973
|
55 751
|
54 185
|
62 281
|
46 599
|
80 544
|
62 031
|
83 030
|
78 506
|
55 293
|
81 534
|
|
| Long-Term Investments |
4 548
|
3 968
|
3 067
|
16 036
|
22 985
|
22 196
|
23 564
|
30 179
|
33 796
|
48 882
|
56 194
|
56 045
|
70 831
|
82 030
|
80 618
|
91 881
|
104 703
|
120 654
|
115 585
|
130 233
|
182 310
|
170 286
|
129 605
|
109 489
|
|
| Other Long-Term Assets |
9 227
|
7 978
|
6 975
|
2 970
|
2 475
|
2 402
|
3 061
|
10 610
|
4 506
|
20 695
|
21 701
|
27 023
|
22 080
|
5 946
|
7 355
|
4 300
|
4 116
|
5 151
|
6 545
|
5 715
|
10 819
|
12 899
|
11 468
|
10 672
|
|
| Other Assets |
339
|
198
|
74
|
23
|
242
|
181
|
121
|
89 592
|
50 657
|
50 657
|
50 657
|
52 458
|
0
|
50 680
|
50 680
|
50 680
|
50 680
|
50 680
|
38 555
|
4 611
|
4 611
|
4 611
|
4 588
|
4 588
|
|
| Total Assets |
523 177
N/A
|
551 474
+5%
|
552 635
+0%
|
553 375
+0%
|
570 755
+3%
|
582 340
+2%
|
617 218
+6%
|
1 310 318
+112%
|
1 473 336
+12%
|
2 088 211
+42%
|
2 257 629
+8%
|
2 224 877
-1%
|
2 279 635
+2%
|
2 157 864
-5%
|
2 170 261
+1%
|
1 904 532
-12%
|
1 915 712
+1%
|
2 014 260
+5%
|
2 158 548
+7%
|
2 194 982
+2%
|
2 284 417
+4%
|
2 429 134
+6%
|
2 392 626
-2%
|
2 482 702
+4%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
31 940
|
42 533
|
39 369
|
54 633
|
58 241
|
64 631
|
75 136
|
117 038
|
73 951
|
60 328
|
56 389
|
32 141
|
42 319
|
47 641
|
46 026
|
43 885
|
52 206
|
58 443
|
52 014
|
43 287
|
44 137
|
60 889
|
60 956
|
71 060
|
|
| Accrued Liabilities |
13 182
|
10 764
|
9 886
|
9 003
|
7 444
|
2 906
|
3 460
|
7 094
|
6 323
|
9 274
|
16 206
|
15 603
|
16 222
|
15 627
|
15 052
|
13 830
|
12 446
|
12 068
|
17 608
|
13 945
|
16 399
|
19 973
|
23 374
|
24 229
|
|
| Short-Term Debt |
38 367
|
42 098
|
40 393
|
31 574
|
53 207
|
25 168
|
70 584
|
203 908
|
168 541
|
300 540
|
530 082
|
416 439
|
444 937
|
380 863
|
453 919
|
432 527
|
376 345
|
339 214
|
418 322
|
360 729
|
382 954
|
482 551
|
554 516
|
653 434
|
|
| Current Portion of Long-Term Debt |
20 000
|
20 796
|
31 114
|
27 412
|
58 448
|
29 106
|
35 569
|
30 458
|
70 173
|
137 708
|
117 720
|
344 235
|
254 855
|
325 689
|
348 858
|
243 362
|
192 196
|
274 224
|
204 969
|
244 316
|
382 104
|
351 137
|
252 724
|
445 362
|
|
| Other Current Liabilities |
14 095
|
13 337
|
11 845
|
18 273
|
17 084
|
20 864
|
18 133
|
20 315
|
57 783
|
114 888
|
80 535
|
57 667
|
71 570
|
56 916
|
53 194
|
62 117
|
79 518
|
110 719
|
78 516
|
83 547
|
91 200
|
102 608
|
107 379
|
95 774
|
|
| Total Current Liabilities |
117 585
|
129 527
|
132 607
|
140 895
|
194 424
|
142 676
|
202 882
|
378 814
|
376 771
|
622 738
|
800 932
|
866 085
|
829 903
|
826 736
|
917 049
|
795 721
|
712 710
|
794 669
|
771 429
|
745 824
|
916 794
|
1 017 158
|
998 950
|
1 289 858
|
|
| Long-Term Debt |
225 386
|
197 952
|
176 874
|
139 958
|
76 583
|
132 683
|
103 742
|
224 267
|
292 455
|
712 403
|
723 218
|
626 607
|
680 976
|
619 216
|
467 449
|
407 610
|
440 776
|
418 832
|
533 195
|
631 680
|
560 479
|
574 889
|
564 443
|
329 899
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
0
|
2 381
|
3 182
|
11 600
|
38 340
|
33 192
|
35 252
|
36 016
|
39 963
|
37 144
|
40 678
|
38 501
|
43 655
|
45 111
|
67 210
|
59 976
|
61 055
|
57 312
|
44 966
|
32 573
|
|
| Minority Interest |
2 434
|
3 155
|
3 842
|
4 498
|
5 483
|
6 551
|
7 311
|
250 309
|
285 180
|
306 826
|
295 892
|
304 296
|
309 755
|
231 397
|
283 034
|
206 690
|
235 105
|
221 157
|
249 800
|
248 172
|
252 398
|
272 733
|
266 992
|
273 210
|
|
| Other Liabilities |
7 480
|
6 561
|
6 487
|
7 835
|
8 610
|
9 555
|
10 260
|
130 293
|
113 769
|
46 930
|
44 652
|
61 467
|
65 341
|
72 213
|
78 951
|
71 199
|
72 951
|
85 417
|
98 805
|
111 030
|
99 536
|
90 368
|
102 781
|
105 623
|
|
| Total Liabilities |
352 884
N/A
|
337 195
-4%
|
319 810
-5%
|
293 185
-8%
|
285 099
-3%
|
293 845
+3%
|
327 377
+11%
|
995 283
+204%
|
1 106 515
+11%
|
1 722 088
+56%
|
1 899 946
+10%
|
1 894 471
0%
|
1 925 937
+2%
|
1 786 707
-7%
|
1 787 161
+0%
|
1 519 720
-15%
|
1 505 197
-1%
|
1 565 186
+4%
|
1 720 438
+10%
|
1 796 683
+4%
|
1 890 262
+5%
|
2 012 460
+6%
|
1 978 132
-2%
|
2 031 163
+3%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
92 595
|
92 595
|
92 595
|
92 595
|
96 530
|
96 530
|
96 530
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
104 023
|
|
| Retained Earnings |
12 538
|
56 504
|
73 256
|
100 347
|
118 373
|
122 066
|
122 358
|
90 334
|
130 909
|
189 491
|
167 748
|
144 450
|
153 989
|
112 465
|
103 785
|
105 726
|
133 924
|
167 973
|
155 419
|
116 608
|
111 128
|
134 892
|
131 740
|
167 971
|
|
| Additional Paid In Capital |
30 877
|
30 877
|
30 877
|
30 877
|
33 739
|
33 737
|
33 737
|
36 792
|
62 705
|
77 960
|
81 483
|
81 483
|
90 648
|
118 577
|
128 090
|
128 103
|
127 229
|
135 198
|
135 201
|
135 209
|
135 219
|
133 712
|
133 712
|
133 712
|
|
| Unrealized Security Profit/Loss |
34 802
|
34 110
|
35 954
|
36 055
|
36 507
|
35 913
|
36 920
|
41 615
|
40 413
|
38 005
|
39 002
|
35 684
|
35 301
|
35 140
|
36 910
|
35 968
|
37 206
|
33 812
|
33 814
|
33 814
|
33 814
|
33 814
|
33 814
|
33 814
|
|
| Treasury Stock |
294
|
46
|
59
|
77
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Equity |
225
|
239
|
204
|
394
|
507
|
248
|
296
|
42 270
|
28 770
|
43 357
|
34 574
|
35 235
|
30 263
|
952
|
10 292
|
10 992
|
8 134
|
8 067
|
9 652
|
8 646
|
9 971
|
10 232
|
11 204
|
12 018
|
|
| Total Equity |
170 293
N/A
|
214 279
+26%
|
232 826
+9%
|
260 190
+12%
|
285 656
+10%
|
288 495
+1%
|
289 841
+0%
|
315 035
+9%
|
366 821
+16%
|
366 123
0%
|
357 682
-2%
|
330 406
-8%
|
353 698
+7%
|
371 157
+5%
|
383 100
+3%
|
384 812
+0%
|
410 515
+7%
|
449 073
+9%
|
438 110
-2%
|
398 299
-9%
|
394 155
-1%
|
416 674
+6%
|
414 493
-1%
|
451 539
+9%
|
|
| Total Liabilities & Equity |
523 177
N/A
|
551 474
+5%
|
552 635
+0%
|
553 375
+0%
|
570 755
+3%
|
582 340
+2%
|
617 218
+6%
|
1 310 318
+112%
|
1 473 336
+12%
|
2 088 211
+42%
|
2 257 629
+8%
|
2 224 877
-1%
|
2 279 635
+2%
|
2 157 864
-5%
|
2 170 261
+1%
|
1 904 532
-12%
|
1 915 712
+1%
|
2 014 260
+5%
|
2 158 548
+7%
|
2 194 982
+2%
|
2 284 417
+4%
|
2 429 134
+6%
|
2 392 626
-2%
|
2 482 702
+4%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
37
|
37
|
37
|
37
|
39
|
39
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