Hwaseung Corporation Co Ltd
KRX:013520
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|
H
|
Hwaseung Corporation Co Ltd
KRX:013520
|
KR |
|
W
|
Wal Mart de Mexico SAB de CV
SWB:4GNB
|
MX |
Balance Sheet
Balance Sheet Decomposition
Hwaseung Corporation Co Ltd
Hwaseung Corporation Co Ltd
Balance Sheet
Hwaseung Corporation 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 |
17 291
|
32 083
|
30 677
|
31 492
|
35 337
|
42 918
|
25 169
|
60 765
|
32 060
|
41 181
|
53 362
|
54 537
|
64 749
|
78 640
|
72 960
|
107 039
|
124 764
|
123 138
|
101 258
|
132 364
|
86 637
|
105 502
|
83 968
|
88 788
|
|
| Cash Equivalents |
17 291
|
32 083
|
30 677
|
31 492
|
35 337
|
42 918
|
25 169
|
60 765
|
32 060
|
41 181
|
53 362
|
54 537
|
64 749
|
78 640
|
72 960
|
107 039
|
124 764
|
123 138
|
101 258
|
132 364
|
86 637
|
105 502
|
83 968
|
88 788
|
|
| Short-Term Investments |
44 066
|
27 633
|
31 781
|
13 456
|
21 747
|
45 601
|
36 442
|
32 827
|
550
|
20
|
0
|
0
|
3 791
|
3 020
|
31 110
|
358
|
1 280
|
184
|
5 656
|
7 165
|
7 905
|
5 143
|
5 314
|
5 149
|
|
| Total Receivables |
37 245
|
86 220
|
106 991
|
300 011
|
328 359
|
284 844
|
315 676
|
388 905
|
300 894
|
320 051
|
311 903
|
284 043
|
317 769
|
347 298
|
297 699
|
326 924
|
287 250
|
282 315
|
263 229
|
249 720
|
235 876
|
249 764
|
280 512
|
314 984
|
|
| Accounts Receivables |
36 510
|
79 829
|
94 666
|
283 384
|
316 640
|
274 597
|
313 032
|
374 241
|
296 755
|
311 033
|
303 678
|
265 304
|
293 243
|
277 136
|
285 832
|
294 327
|
268 457
|
269 925
|
250 641
|
238 773
|
212 903
|
234 110
|
265 273
|
299 700
|
|
| Other Receivables |
735
|
6 391
|
12 325
|
16 627
|
11 719
|
10 247
|
2 644
|
14 664
|
4 139
|
9 018
|
8 225
|
18 739
|
24 526
|
70 162
|
11 867
|
32 597
|
18 793
|
12 390
|
12 588
|
10 947
|
22 973
|
15 655
|
15 238
|
15 284
|
|
| Inventory |
14 092
|
29 716
|
45 893
|
93 378
|
125 809
|
123 099
|
131 222
|
191 472
|
71 023
|
87 356
|
120 995
|
111 270
|
174 961
|
171 436
|
170 941
|
184 633
|
192 936
|
210 102
|
207 364
|
210 040
|
241 777
|
225 356
|
196 564
|
237 857
|
|
| Other Current Assets |
1 300
|
4 310
|
5 427
|
22 212
|
19 969
|
32 816
|
37 001
|
60 537
|
13 605
|
14 513
|
14 876
|
19 690
|
25 854
|
22 624
|
22 424
|
22 565
|
29 526
|
30 861
|
34 326
|
34 058
|
51 440
|
41 710
|
61 096
|
56 320
|
|
| Total Current Assets |
113 993
|
179 962
|
220 769
|
460 548
|
531 220
|
529 280
|
545 511
|
734 507
|
418 133
|
463 121
|
501 137
|
469 540
|
587 124
|
623 018
|
595 134
|
641 519
|
635 757
|
646 600
|
611 833
|
633 348
|
623 635
|
627 475
|
627 453
|
703 099
|
|
| PP&E Net |
79 776
|
146 015
|
185 434
|
213 404
|
296 054
|
291 075
|
318 236
|
372 065
|
281 074
|
301 340
|
333 141
|
344 931
|
421 615
|
442 698
|
466 293
|
450 297
|
463 669
|
434 152
|
454 297
|
432 831
|
410 619
|
417 006
|
417 524
|
465 836
|
|
| PP&E Gross |
79 776
|
146 015
|
185 434
|
213 404
|
296 054
|
291 075
|
318 236
|
372 065
|
281 074
|
301 340
|
333 141
|
344 931
|
421 615
|
442 698
|
466 293
|
450 297
|
463 669
|
434 152
|
454 297
|
432 831
|
410 619
|
417 006
|
417 524
|
465 836
|
|
| Accumulated Depreciation |
51 268
|
83 501
|
96 384
|
156 546
|
208 096
|
246 531
|
283 443
|
364 707
|
156 473
|
179 342
|
204 157
|
227 574
|
288 492
|
324 667
|
361 624
|
374 178
|
401 466
|
388 000
|
440 177
|
491 021
|
562 302
|
595 181
|
593 373
|
632
|
|
| Intangible Assets |
455
|
449
|
1 161
|
3 754
|
3 290
|
5 768
|
6 500
|
9 680
|
11 753
|
12 446
|
11 156
|
10 437
|
9 707
|
10 286
|
11 747
|
20 553
|
23 359
|
21 574
|
20 052
|
15 042
|
12 959
|
10 608
|
11 678
|
12 327
|
|
| Goodwill |
0
|
1 378
|
1 033
|
66 865
|
52 971
|
49 592
|
47 423
|
42 348
|
1 016
|
1 016
|
1 016
|
1 016
|
22 114
|
19 708
|
19 708
|
18 208
|
14 684
|
14 684
|
14 684
|
14 684
|
14 684
|
14 684
|
11 915
|
8 891
|
|
| Note Receivable |
16 394
|
25 878
|
30 921
|
4 365
|
270
|
264
|
357
|
2 241
|
228
|
283
|
804
|
686
|
474
|
289
|
100
|
72
|
12
|
0
|
0
|
290
|
229
|
4 431
|
1 113
|
775
|
|
| Long-Term Investments |
15 012
|
26 875
|
25 675
|
45 157
|
13 585
|
19 007
|
16 256
|
41 279
|
120 139
|
118 219
|
115 219
|
122 820
|
74 976
|
49 179
|
185 238
|
199 356
|
107 815
|
56 873
|
83 038
|
72 836
|
92 272
|
97 000
|
71 403
|
77 508
|
|
| Other Long-Term Assets |
4 458
|
9 924
|
12 289
|
10 110
|
5 518
|
7 665
|
14 503
|
12 529
|
7 218
|
6 664
|
6 770
|
7 019
|
15 619
|
14 082
|
21 288
|
9 821
|
28 901
|
37 882
|
27 663
|
14 851
|
29 594
|
6 015
|
13 458
|
20 063
|
|
| Other Assets |
0
|
1 378
|
1 033
|
66 865
|
52 971
|
49 592
|
47 423
|
42 348
|
1 016
|
1 016
|
1 016
|
1 016
|
22 114
|
19 708
|
19 708
|
18 208
|
14 684
|
14 684
|
14 684
|
14 684
|
14 684
|
14 684
|
11 915
|
8 891
|
|
| Total Assets |
230 087
N/A
|
387 727
+69%
|
475 215
+23%
|
804 204
+69%
|
902 909
+12%
|
902 652
0%
|
948 785
+5%
|
1 214 650
+28%
|
839 560
-31%
|
903 089
+8%
|
969 243
+7%
|
956 450
-1%
|
1 131 628
+18%
|
1 159 261
+2%
|
1 299 508
+12%
|
1 339 826
+3%
|
1 274 196
-5%
|
1 211 765
-5%
|
1 211 566
0%
|
1 183 883
-2%
|
1 183 993
+0%
|
1 177 218
-1%
|
1 154 543
-2%
|
1 288 499
+12%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
22 932
|
55 712
|
72 023
|
205 164
|
199 126
|
212 310
|
206 152
|
224 787
|
189 779
|
173 914
|
240 403
|
191 100
|
172 289
|
177 417
|
192 093
|
189 228
|
184 154
|
151 365
|
145 885
|
161 033
|
144 346
|
143 137
|
194 488
|
170 472
|
|
| Accrued Liabilities |
1 464
|
2 973
|
3 150
|
6 655
|
10 109
|
10 338
|
12 667
|
14 072
|
15 462
|
8 705
|
9 489
|
8 532
|
13 996
|
14 878
|
15 167
|
17 307
|
17 871
|
16 859
|
15 958
|
20 304
|
12 176
|
17 638
|
24 257
|
29 435
|
|
| Short-Term Debt |
61 699
|
106 474
|
153 640
|
233 238
|
207 397
|
253 345
|
287 986
|
482 878
|
277 715
|
390 205
|
352 521
|
363 988
|
487 189
|
0
|
0
|
180 707
|
123 978
|
534 162
|
561 247
|
514 471
|
507 770
|
449 508
|
400 911
|
408
|
|
| Current Portion of Long-Term Debt |
509
|
1 139
|
11 371
|
10 148
|
37 788
|
37 283
|
26 616
|
33 899
|
27 204
|
9 362
|
28 971
|
33 112
|
59 462
|
564 913
|
629 623
|
452 484
|
436 901
|
87 150
|
56 157
|
41 339
|
51 953
|
116 725
|
64 887
|
434 002
|
|
| Other Current Liabilities |
12 153
|
19 583
|
19 887
|
85 507
|
103 766
|
103 561
|
114 102
|
123 674
|
21 100
|
19 773
|
34 148
|
38 241
|
59 754
|
53 480
|
54 578
|
57 277
|
53 028
|
77 579
|
59 305
|
56 176
|
68 733
|
79 726
|
82 997
|
96 494
|
|
| Total Current Liabilities |
98 758
|
185 880
|
260 072
|
540 711
|
558 187
|
616 838
|
647 524
|
879 308
|
531 260
|
601 959
|
665 532
|
634 973
|
792 690
|
810 688
|
891 461
|
897 004
|
815 931
|
867 114
|
838 552
|
793 323
|
784 978
|
806 733
|
767 539
|
730 811
|
|
| Long-Term Debt |
2 600
|
19 967
|
32 379
|
51 837
|
135 976
|
81 383
|
69 569
|
70 987
|
34 645
|
44 872
|
39 533
|
62 818
|
123 983
|
129 449
|
98 541
|
71 384
|
135 048
|
80 462
|
57 422
|
129 802
|
142 313
|
102 449
|
87 964
|
156 938
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
19 329
|
18 291
|
16 620
|
10 697
|
0
|
582
|
0
|
140
|
0
|
0
|
0
|
0
|
1 581
|
6 568
|
12 802
|
19 079
|
|
| Minority Interest |
0
|
31 976
|
39 602
|
49 486
|
79 299
|
73 163
|
70 284
|
77 912
|
2 608
|
0
|
0
|
0
|
1 377
|
1 443
|
119
|
653
|
918
|
934
|
1 059
|
0
|
58 239
|
84 005
|
109 887
|
149 927
|
|
| Other Liabilities |
16 606
|
31 867
|
24 149
|
53 914
|
22 607
|
27 224
|
31 466
|
51 028
|
18 861
|
12 467
|
10 613
|
10 911
|
21 055
|
27 798
|
40 743
|
46 042
|
52 939
|
45 705
|
53 330
|
40 062
|
30 472
|
10 869
|
15 725
|
19 681
|
|
| Total Liabilities |
117 964
N/A
|
269 690
+129%
|
356 203
+32%
|
695 948
+95%
|
796 069
+14%
|
798 607
+0%
|
818 843
+3%
|
1 079 235
+32%
|
606 704
-44%
|
677 590
+12%
|
732 297
+8%
|
719 398
-2%
|
936 352
+30%
|
967 074
+3%
|
1 030 864
+7%
|
1 015 224
-2%
|
1 004 835
-1%
|
994 215
-1%
|
950 362
-4%
|
963 187
+1%
|
1 017 583
+6%
|
1 010 625
-1%
|
993 917
-2%
|
1 076 436
+8%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
30 000
|
30 000
|
30 000
|
30 000
|
30 000
|
30 000
|
32 281
|
32 281
|
32 281
|
32 281
|
32 281
|
32 281
|
32 281
|
32 281
|
32 281
|
32 281
|
32 281
|
32 281
|
32 281
|
34 522
|
25 026
|
25 026
|
25 026
|
25 026
|
|
| Retained Earnings |
41 434
|
51 261
|
52 390
|
61 913
|
63 642
|
61 181
|
71 963
|
55 133
|
164 976
|
149 056
|
168 054
|
177 961
|
141 047
|
133 769
|
204 206
|
256 966
|
212 357
|
178 387
|
197 615
|
153 672
|
137 110
|
145 072
|
141 372
|
150 527
|
|
| Additional Paid In Capital |
48 146
|
48 121
|
47 653
|
47 679
|
52 394
|
48 561
|
51 781
|
53 917
|
25 307
|
25 252
|
25 211
|
25 211
|
25 211
|
25 211
|
25 211
|
25 211
|
26 231
|
26 231
|
26 231
|
20 937
|
4 035
|
3 274
|
3 274
|
4 035
|
|
| Unrealized Security Profit/Loss |
611
|
956
|
659
|
15 792
|
12 495
|
4 160
|
26 402
|
5 307
|
2 579
|
9 666
|
2 264
|
489
|
4 363
|
2 440
|
1 928
|
9 137
|
4 386
|
10 510
|
11 084
|
23 487
|
6 567
|
12 537
|
15 014
|
16 371
|
|
| Treasury Stock |
6 846
|
9 576
|
9 576
|
11 499
|
33 489
|
21 648
|
3 423
|
12 514
|
3 423
|
3 423
|
3 423
|
3 423
|
3 423
|
3 423
|
3 423
|
3 423
|
2 259
|
2 259
|
2 259
|
2 259
|
1 645
|
1 645
|
1 645
|
1 645
|
|
| Other Equity |
0
|
813
|
795
|
4 046
|
6 786
|
9 889
|
3 743
|
11 906
|
11 136
|
12 668
|
12 559
|
4 533
|
4 524
|
6 789
|
8 441
|
4 430
|
3 635
|
6 579
|
3 747
|
9 664
|
8 452
|
7 404
|
7 614
|
17 750
|
|
| Total Equity |
112 123
N/A
|
118 037
+5%
|
119 012
+1%
|
108 256
-9%
|
106 839
-1%
|
104 045
-3%
|
129 942
+25%
|
135 416
+4%
|
232 856
+72%
|
225 499
-3%
|
236 946
+5%
|
237 052
+0%
|
195 277
-18%
|
192 187
-2%
|
268 644
+40%
|
324 602
+21%
|
269 360
-17%
|
217 550
-19%
|
261 204
+20%
|
220 696
-16%
|
166 410
-25%
|
166 593
+0%
|
160 626
-4%
|
212 063
+32%
|
|
| Total Liabilities & Equity |
230 087
N/A
|
387 727
+69%
|
475 215
+23%
|
804 204
+69%
|
902 909
+12%
|
902 652
0%
|
948 785
+5%
|
1 214 650
+28%
|
839 560
-31%
|
903 089
+8%
|
969 243
+7%
|
956 450
-1%
|
1 131 628
+18%
|
1 159 261
+2%
|
1 299 508
+12%
|
1 339 826
+3%
|
1 274 196
-5%
|
1 211 765
-5%
|
1 211 566
0%
|
1 183 883
-2%
|
1 183 993
+0%
|
1 177 218
-1%
|
1 154 543
-2%
|
1 288 499
+12%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
36
|
36
|
36
|
36
|
40
|
40
|
43
|
30
|
43
|
43
|
43
|
43
|
43
|
43
|
43
|
43
|
44
|
44
|
44
|
44
|
44
|
44
|
44
|
44
|
|