OCH Hospitality & Service JSC
VN:OCH
Balance Sheet
Balance Sheet Decomposition
OCH Hospitality & Service JSC
OCH Hospitality & Service JSC
Balance Sheet
OCH Hospitality & Service JSC
| 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 | Dec-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||||||||||
| Cash & Cash Equivalents |
21 507
|
18 423
|
158 085
|
131 904
|
96 206
|
88 160
|
142 508
|
181 533
|
267 370
|
291 146
|
195 172
|
276 200
|
145 248
|
705 397
|
168 491
|
169 749
|
91 805
|
|
| Cash |
6 507
|
18 423
|
32 785
|
30 104
|
81 206
|
74 158
|
43 410
|
72 354
|
75 277
|
76 032
|
114 216
|
104 483
|
65 437
|
59 797
|
58 901
|
66 949
|
67 905
|
|
| Cash Equivalents |
15 000
|
0
|
125 300
|
101 800
|
15 000
|
14 002
|
99 098
|
109 178
|
192 093
|
215 114
|
80 955
|
171 717
|
79 811
|
645 600
|
109 590
|
102 800
|
23 900
|
|
| Short-Term Investments |
0
|
250 000
|
621 374
|
775 193
|
435 165
|
93 062
|
53 062
|
14 500
|
68 100
|
120 507
|
204 444
|
257 679
|
302 872
|
7 632
|
44 333
|
26 035
|
27 637
|
|
| Total Receivables |
20 991
|
50 038
|
101 118
|
329 003
|
793 648
|
598 432
|
734 158
|
694 959
|
671 488
|
622 649
|
463 960
|
443 661
|
121 951
|
69 982
|
46 205
|
132 658
|
247 874
|
|
| Accounts Receivables |
14 677
|
11 934
|
22 977
|
37 975
|
337 543
|
306 330
|
385 476
|
472 171
|
521 188
|
1 063 864
|
1 114 868
|
898 054
|
1 199 720
|
102 419
|
158 045
|
157 996
|
159 036
|
|
| Other Receivables |
6 314
|
38 104
|
78 141
|
291 028
|
456 105
|
904 762
|
1 119 635
|
1 167 129
|
1 192 676
|
1 686 513
|
1 578 828
|
1 341 715
|
1 321 670
|
172 401
|
204 250
|
290 654
|
406 910
|
|
| Inventory |
1 572
|
6 623
|
23 150
|
231 995
|
261 899
|
283 902
|
234 637
|
276 502
|
251 090
|
247 644
|
261 581
|
248 722
|
166 088
|
153 425
|
225 992
|
228 885
|
151 637
|
|
| Other Current Assets |
3 672
|
66 683
|
241 244
|
50 942
|
157 268
|
240 030
|
279 580
|
289 225
|
252 529
|
248 462
|
344 756
|
375 652
|
264 184
|
170 965
|
66 841
|
71 286
|
57 313
|
|
| Total Current Assets |
47 741
|
391 767
|
1 144 972
|
1 519 037
|
1 744 185
|
1 303 587
|
1 443 946
|
1 456 718
|
1 510 577
|
1 530 408
|
1 469 913
|
1 601 914
|
1 000 343
|
1 107 400
|
551 863
|
628 613
|
576 267
|
|
| PP&E Net |
162 986
|
356 138
|
855 871
|
887 306
|
832 173
|
1 102 276
|
1 118 069
|
1 409 103
|
1 359 503
|
1 324 021
|
1 274 214
|
870 101
|
883 370
|
859 101
|
633 785
|
609 126
|
594 548
|
|
| PP&E Gross |
162 986
|
356 138
|
855 871
|
887 306
|
832 173
|
1 102 276
|
1 118 069
|
1 409 103
|
1 359 503
|
1 324 021
|
1 274 214
|
870 101
|
883 370
|
859 101
|
633 785
|
609 126
|
594 548
|
|
| Accumulated Depreciation |
4 208
|
8 117
|
98 695
|
109 621
|
171 564
|
226 286
|
275 923
|
352 911
|
417 811
|
485 901
|
556 732
|
318 737
|
353 301
|
388 954
|
371 655
|
402 228
|
433 632
|
|
| Intangible Assets |
0
|
185
|
2 878
|
2 614
|
519
|
1 078
|
665
|
70 722
|
68 444
|
66 374
|
64 386
|
62 230
|
9 471
|
10 491
|
58 080
|
55 663
|
103 871
|
|
| Goodwill |
234 613
|
209 357
|
204 682
|
86 806
|
246 878
|
269 265
|
233 959
|
198 653
|
164 300
|
128 835
|
93 370
|
68 116
|
89 932
|
61 563
|
39 816
|
32 134
|
81 676
|
|
| Note Receivable |
182 700
|
710 770
|
846 832
|
846 832
|
606 255
|
9 374
|
8 499
|
1 764
|
1 440
|
1 545
|
2 003
|
1 768
|
58 231
|
79 345
|
499 775
|
202 884
|
110 585
|
|
| Long-Term Investments |
45 000
|
247 406
|
202 892
|
116 714
|
365 537
|
692 467
|
391 877
|
181 957
|
158 847
|
158 886
|
180 262
|
19 427
|
34 201
|
32 751
|
2 118 351
|
2 106 179
|
2 104 974
|
|
| Other Long-Term Assets |
1 769
|
5 569
|
20 493
|
111 179
|
44 496
|
96 395
|
106 663
|
76 331
|
72 751
|
86 348
|
37 134
|
84 958
|
160 119
|
168 833
|
231 933
|
218 659
|
214 827
|
|
| Other Assets |
234 613
|
209 357
|
204 682
|
86 806
|
246 878
|
269 265
|
233 959
|
198 653
|
164 300
|
128 835
|
93 370
|
68 116
|
89 932
|
61 563
|
39 816
|
32 134
|
81 676
|
|
| Total Assets |
674 810
N/A
|
1 921 193
+185%
|
3 278 620
+71%
|
3 570 487
+9%
|
3 840 044
+8%
|
3 474 442
-10%
|
3 303 679
-5%
|
3 395 248
+3%
|
3 335 863
-2%
|
3 296 417
-1%
|
3 121 282
-5%
|
2 708 515
-13%
|
2 216 725
-18%
|
2 298 502
+4%
|
4 133 604
+80%
|
3 853 257
-7%
|
3 786 747
-2%
|
|
| Liabilities | ||||||||||||||||||
| Accounts Payable |
14 613
|
84 840
|
52 389
|
37 276
|
59 087
|
63 752
|
53 829
|
51 306
|
55 937
|
50 165
|
44 126
|
29 338
|
26 691
|
30 959
|
19 980
|
25 590
|
28 260
|
|
| Accrued Liabilities |
1 899
|
15 986
|
96 820
|
230 178
|
115 603
|
164 054
|
191 314
|
462 030
|
203 858
|
186 946
|
185 488
|
184 708
|
155 373
|
156 475
|
40 361
|
34 807
|
37 871
|
|
| Short-Term Debt |
45 000
|
0
|
128 191
|
101 410
|
57 095
|
500 000
|
500 000
|
571 355
|
551 700
|
0
|
0
|
0
|
20 000
|
18 900
|
21 388
|
25 297
|
6 000
|
|
| Current Portion of Long-Term Debt |
0
|
1 000
|
15 166
|
525 364
|
258 494
|
0
|
41 682
|
0
|
0
|
559 294
|
543 720
|
0
|
2 070
|
0
|
118 900
|
130 000
|
160 000
|
|
| Other Current Liabilities |
1 053
|
73 246
|
313 083
|
536 386
|
271 877
|
735 765
|
583 835
|
344 257
|
610 806
|
655 674
|
680 451
|
350 646
|
342 131
|
378 078
|
373 376
|
374 274
|
319 965
|
|
| Total Current Liabilities |
62 565
|
175 073
|
605 650
|
1 430 613
|
762 156
|
1 511 204
|
1 370 661
|
1 428 948
|
1 422 300
|
1 452 078
|
1 453 785
|
564 692
|
546 266
|
584 412
|
574 005
|
589 967
|
552 095
|
|
| Long-Term Debt |
65 937
|
666 469
|
1 444 449
|
810 093
|
758 369
|
518 822
|
486 811
|
361 403
|
317 071
|
211 671
|
160 031
|
153 302
|
151 231
|
132 331
|
1 532 331
|
1 270 000
|
1 110 000
|
|
| Deferred Income Tax |
0
|
0
|
11 998
|
14 496
|
17 267
|
68 101
|
73 433
|
85 685
|
87 415
|
87 207
|
87 183
|
63 190
|
63 190
|
63 214
|
39 851
|
39 506
|
39 772
|
|
| Minority Interest |
5 770
|
8 433
|
121 907
|
101 936
|
128 266
|
134 454
|
115 388
|
44 856
|
25 016
|
10 331
|
26 455
|
98 833
|
72 933
|
48 775
|
375 589
|
373 166
|
462 394
|
|
| Other Liabilities |
8 562
|
12
|
12 806
|
97 440
|
17 761
|
125 006
|
115 420
|
265 204
|
282 275
|
297 921
|
219 121
|
178 872
|
181 908
|
180 596
|
213 011
|
39 299
|
29 311
|
|
| Total Liabilities |
142 833
N/A
|
849 987
+495%
|
2 196 810
+158%
|
2 454 579
+12%
|
1 683 819
-31%
|
2 357 587
+40%
|
2 161 713
-8%
|
2 186 096
+1%
|
2 134 077
-2%
|
2 059 208
-4%
|
1 893 665
-8%
|
1 058 888
-44%
|
1 015 528
-4%
|
1 009 328
-1%
|
2 734 787
+171%
|
2 311 938
-15%
|
2 193 573
-5%
|
|
| Equity | ||||||||||||||||||
| Common Stock |
530 000
|
1 000 000
|
1 000 000
|
1 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
2 000 000
|
|
| Retained Earnings |
1 961
|
69 352
|
74 855
|
109 746
|
143 456
|
900 503
|
879 698
|
815 162
|
823 013
|
788 218
|
798 451
|
381 424
|
829 854
|
741 912
|
626 911
|
484 414
|
432 919
|
|
| Other Equity |
15
|
1 854
|
6 955
|
6 162
|
12 768
|
17 358
|
21 664
|
24 314
|
24 799
|
25 427
|
26 068
|
31 051
|
31 051
|
31 086
|
25 727
|
25 733
|
26 094
|
|
| Total Equity |
531 976
N/A
|
1 071 206
+101%
|
1 081 810
+1%
|
1 115 908
+3%
|
2 156 224
+93%
|
1 116 855
-48%
|
1 141 966
+2%
|
1 209 152
+6%
|
1 201 786
-1%
|
1 237 208
+3%
|
1 227 617
-1%
|
1 649 627
+34%
|
1 201 197
-27%
|
1 289 174
+7%
|
1 398 817
+9%
|
1 541 319
+10%
|
1 593 175
+3%
|
|
| Total Liabilities & Equity |
674 810
N/A
|
1 921 193
+185%
|
3 278 620
+71%
|
3 570 487
+9%
|
3 840 044
+8%
|
3 474 442
-10%
|
3 303 679
-5%
|
3 395 248
+3%
|
3 335 863
-2%
|
3 296 417
-1%
|
3 121 282
-5%
|
2 708 515
-13%
|
2 216 725
-18%
|
2 298 502
+4%
|
4 133 604
+80%
|
3 853 257
-7%
|
3 786 747
-2%
|
|
| Shares Outstanding | ||||||||||||||||||
| Common Shares Outstanding |
147
|
147
|
147
|
147
|
200
|
200
|
200
|
200
|
200
|
200
|
200
|
200
|
200
|
200
|
200
|
200
|
200
|
|