LF Corp
KRX:093050
Balance Sheet
Balance Sheet Decomposition
LF Corp
LF Corp
Balance Sheet
LF Corp
| 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 |
69 829
|
67 177
|
11 370
|
27 108
|
36 465
|
16 068
|
91 017
|
220 076
|
275 386
|
168 897
|
128 665
|
127 348
|
336 344
|
247 435
|
329 709
|
400 536
|
305 155
|
168 108
|
165 853
|
|
| Cash Equivalents |
69 829
|
67 177
|
11 370
|
27 108
|
36 465
|
16 068
|
91 017
|
220 076
|
275 386
|
168 897
|
128 665
|
127 348
|
336 344
|
247 435
|
329 709
|
400 536
|
305 155
|
168 108
|
165 853
|
|
| Short-Term Investments |
0
|
10 000
|
115 000
|
50 000
|
68 200
|
1 645
|
70 000
|
100 304
|
124 315
|
224 562
|
423 606
|
220 876
|
38 303
|
106 225
|
255 078
|
239 546
|
245 263
|
260 901
|
295 720
|
|
| Total Receivables |
60 205
|
59 699
|
59 639
|
67 493
|
82 988
|
135 482
|
123 633
|
125 009
|
139 264
|
129 417
|
135 711
|
157 796
|
157 190
|
553 410
|
408 410
|
355 343
|
326 772
|
351 090
|
359 349
|
|
| Accounts Receivables |
59 443
|
59 699
|
59 639
|
67 493
|
79 869
|
128 528
|
118 542
|
118 432
|
133 278
|
115 459
|
125 969
|
141 247
|
134 639
|
154 011
|
122 671
|
126 198
|
136 691
|
146 520
|
154 274
|
|
| Other Receivables |
762
|
0
|
0
|
0
|
3 119
|
6 954
|
5 091
|
6 577
|
5 986
|
13 958
|
9 742
|
16 549
|
22 551
|
399 399
|
285 739
|
229 145
|
190 080
|
204 570
|
205 076
|
|
| Inventory |
132 808
|
154 546
|
156 559
|
222 488
|
251 542
|
427 793
|
333 810
|
268 292
|
304 467
|
357 452
|
308 640
|
338 882
|
370 263
|
372 749
|
304 764
|
313 867
|
445 054
|
444 172
|
386 993
|
|
| Other Current Assets |
47 402
|
64 388
|
55 747
|
50 989
|
17 751
|
23 220
|
21 233
|
18 773
|
25 370
|
65 623
|
64 482
|
26 961
|
67 965
|
35 212
|
27 139
|
35 035
|
23 527
|
25 150
|
38 003
|
|
| Total Current Assets |
310 244
|
355 810
|
398 315
|
418 077
|
456 947
|
604 209
|
639 693
|
732 454
|
868 802
|
945 951
|
1 061 104
|
871 863
|
970 064
|
1 315 032
|
1 325 100
|
1 344 328
|
1 345 770
|
1 249 422
|
1 245 919
|
|
| PP&E Net |
143 008
|
156 027
|
170 807
|
189 889
|
327 586
|
354 888
|
350 770
|
348 382
|
340 374
|
330 112
|
312 021
|
389 372
|
405 403
|
522 764
|
541 312
|
490 390
|
596 132
|
792 418
|
962 078
|
|
| PP&E Gross |
143 008
|
0
|
0
|
0
|
327 586
|
354 888
|
350 770
|
348 382
|
340 374
|
330 112
|
312 021
|
389 372
|
405 403
|
522 764
|
541 312
|
490 390
|
596 132
|
792 418
|
962 078
|
|
| Accumulated Depreciation |
44 077
|
0
|
0
|
0
|
114 583
|
144 668
|
172 070
|
199 077
|
214 413
|
228 947
|
237 666
|
244 660
|
255 246
|
283 062
|
298 706
|
311 390
|
316 204
|
335 482
|
344 164
|
|
| Intangible Assets |
3 480
|
3 212
|
7 702
|
34 217
|
57 924
|
69 280
|
67 172
|
75 816
|
77 926
|
94 483
|
100 476
|
120 940
|
110 108
|
159 507
|
152 734
|
131 581
|
130 037
|
119 875
|
99 832
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
30 152
|
28 967
|
64 567
|
61 858
|
99 871
|
95 332
|
89 857
|
89 933
|
96 740
|
89 740
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
0
|
800
|
700
|
0
|
0
|
448
|
1 829
|
965
|
965
|
102 542
|
116 953
|
80 620
|
80 399
|
96 152
|
66 028
|
|
| Long-Term Investments |
5 380
|
16 764
|
14 535
|
22 596
|
17 917
|
14 082
|
15 549
|
16 897
|
19 134
|
22 040
|
25 740
|
71 434
|
58 442
|
135 953
|
196 990
|
357 509
|
298 776
|
346 055
|
361 526
|
|
| Other Long-Term Assets |
31 374
|
34 815
|
43 064
|
91 707
|
116 500
|
129 485
|
134 176
|
118 031
|
96 732
|
51 667
|
51 000
|
75 688
|
45 001
|
81 456
|
51 018
|
46 853
|
42 994
|
54 966
|
89 845
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
30 152
|
28 967
|
64 567
|
61 858
|
99 871
|
95 332
|
89 857
|
89 933
|
96 740
|
89 740
|
|
| Total Assets |
493 485
N/A
|
566 628
+15%
|
634 423
+12%
|
756 487
+19%
|
976 874
+29%
|
1 172 742
+20%
|
1 208 060
+3%
|
1 291 580
+7%
|
1 402 967
+9%
|
1 474 853
+5%
|
1 581 138
+7%
|
1 594 829
+1%
|
1 651 841
+4%
|
2 417 125
+46%
|
2 479 440
+3%
|
2 541 138
+2%
|
2 584 040
+2%
|
2 755 628
+7%
|
2 914 967
+6%
|
|
| Liabilities | ||||||||||||||||||||
| Accounts Payable |
82 099
|
75 477
|
88 840
|
104 329
|
147 607
|
175 759
|
146 829
|
133 726
|
158 787
|
69 398
|
83 744
|
78 478
|
90 180
|
67 111
|
52 372
|
74 004
|
97 235
|
74 540
|
48 858
|
|
| Accrued Liabilities |
1 672
|
0
|
0
|
0
|
3 022
|
4 463
|
4 253
|
4 078
|
3 644
|
8 757
|
11 080
|
15 724
|
16 725
|
27 756
|
27 906
|
48 790
|
52 495
|
35 734
|
51 570
|
|
| Short-Term Debt |
0
|
0
|
913
|
0
|
1 650
|
14 297
|
16 929
|
32 746
|
47 146
|
80 936
|
94 909
|
63 690
|
68 014
|
234 489
|
291 791
|
234 807
|
130 709
|
232 492
|
180 609
|
|
| Current Portion of Long-Term Debt |
0
|
0
|
0
|
0
|
0
|
29 966
|
0
|
49 978
|
0
|
0
|
99 962
|
49 981
|
0
|
211 807
|
188 663
|
62 239
|
267 793
|
294 735
|
76 229
|
|
| Other Current Liabilities |
24 574
|
41 446
|
33 188
|
35 195
|
37 661
|
38 298
|
30 244
|
27 552
|
28 876
|
116 622
|
105 514
|
126 872
|
123 671
|
168 857
|
160 077
|
193 366
|
194 556
|
178 742
|
137 835
|
|
| Total Current Liabilities |
108 345
|
116 923
|
122 941
|
139 524
|
189 940
|
262 783
|
198 254
|
248 080
|
238 453
|
275 713
|
395 209
|
334 744
|
298 590
|
710 020
|
720 809
|
613 206
|
742 788
|
816 244
|
495 101
|
|
| Long-Term Debt |
0
|
0
|
0
|
46 608
|
29 914
|
60 275
|
109 583
|
99 598
|
150 616
|
149 677
|
101 920
|
113 274
|
117 799
|
254 671
|
300 517
|
343 088
|
118 018
|
138 945
|
572 960
|
|
| Deferred Income Tax |
987
|
1 355
|
871
|
437
|
3 711
|
4 451
|
3 964
|
8 030
|
11 565
|
8 743
|
12 661
|
19 034
|
27 801
|
34 226
|
19 081
|
11 590
|
0
|
0
|
0
|
|
| Minority Interest |
0
|
0
|
0
|
0
|
1 765
|
3 266
|
6 261
|
502
|
533
|
294
|
637
|
10 835
|
10 132
|
170 237
|
180 900
|
163 488
|
187 958
|
185 458
|
201 073
|
|
| Other Liabilities |
9 969
|
10 971
|
10 974
|
11 969
|
11 681
|
20 297
|
21 551
|
20 925
|
19 370
|
23 165
|
19 163
|
24 455
|
24 223
|
26 669
|
24 613
|
74 884
|
66 386
|
86 889
|
74 127
|
|
| Total Liabilities |
119 301
N/A
|
129 249
+8%
|
134 786
+4%
|
198 539
+47%
|
237 011
+19%
|
351 073
+48%
|
339 613
-3%
|
377 134
+11%
|
420 537
+12%
|
457 591
+9%
|
528 315
+15%
|
502 342
-5%
|
478 544
-5%
|
1 195 822
+150%
|
1 245 919
+4%
|
1 206 257
-3%
|
1 115 151
-8%
|
1 227 536
+10%
|
1 343 261
+9%
|
|
| Equity | ||||||||||||||||||||
| Common Stock |
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
146 200
|
|
| Retained Earnings |
15 681
|
78 494
|
139 479
|
199 319
|
380 228
|
462 920
|
511 702
|
569 022
|
637 922
|
673 755
|
710 566
|
769 767
|
836 153
|
886 056
|
896 416
|
1 000 826
|
1 135 930
|
1 198 628
|
1 254 178
|
|
| Additional Paid In Capital |
213 189
|
213 189
|
213 189
|
213 189
|
213 189
|
213 189
|
213 189
|
213 189
|
213 189
|
213 112
|
213 112
|
213 112
|
213 112
|
213 112
|
213 112
|
213 112
|
213 708
|
213 560
|
213 560
|
|
| Unrealized Security Profit/Loss |
886
|
504
|
880
|
85
|
168
|
414
|
358
|
866
|
829
|
0
|
0
|
0
|
361
|
364
|
658
|
764
|
512
|
1 719
|
7 054
|
|
| Other Equity |
0
|
0
|
112
|
676
|
78
|
226
|
2 286
|
13 099
|
14 052
|
15 805
|
17 055
|
36 592
|
21 807
|
24 429
|
21 549
|
24 493
|
27 460
|
32 015
|
49 287
|
|
| Total Equity |
374 185
N/A
|
437 379
+17%
|
499 636
+14%
|
557 948
+12%
|
739 863
+33%
|
821 669
+11%
|
868 447
+6%
|
914 446
+5%
|
982 430
+7%
|
1 017 262
+4%
|
1 052 823
+3%
|
1 092 487
+4%
|
1 173 297
+7%
|
1 221 303
+4%
|
1 233 521
+1%
|
1 334 881
+8%
|
1 468 890
+10%
|
1 528 091
+4%
|
1 571 705
+3%
|
|
| Total Liabilities & Equity |
493 485
N/A
|
566 628
+15%
|
634 423
+12%
|
756 487
+19%
|
976 874
+29%
|
1 172 742
+20%
|
1 208 060
+3%
|
1 291 580
+7%
|
1 402 967
+9%
|
1 474 853
+5%
|
1 581 138
+7%
|
1 594 829
+1%
|
1 651 841
+4%
|
2 417 125
+46%
|
2 479 440
+3%
|
2 541 138
+2%
|
2 584 040
+2%
|
2 755 628
+7%
|
2 914 967
+6%
|
|
| Shares Outstanding | ||||||||||||||||||||
| Common Shares Outstanding |
29
|
29
|
29
|
29
|
29
|
29
|
29
|
29
|
29
|
29
|
29
|
29
|
29
|
29
|
28
|
28
|
28
|
28
|
27
|
|