Seah Steel Holdings Corp
KRX:003030
Balance Sheet
Balance Sheet Decomposition
Seah Steel Holdings Corp
Seah Steel Holdings Corp
Balance Sheet
Seah Steel Holdings 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 |
9 982
|
1 297
|
2 938
|
4 677
|
5 192
|
5 825
|
35 349
|
149 900
|
122 708
|
87 111
|
200 285
|
151 953
|
129 144
|
127 577
|
83 702
|
87 455
|
86 752
|
111 818
|
120 236
|
187 009
|
234 314
|
490 387
|
713 742
|
841 007
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
10 451
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Cash Equivalents |
9 982
|
1 297
|
2 938
|
4 677
|
5 192
|
5 825
|
35 349
|
149 900
|
122 708
|
87 111
|
200 285
|
151 953
|
129 144
|
127 577
|
83 702
|
87 455
|
76 301
|
111 818
|
120 236
|
187 009
|
234 314
|
490 387
|
713 742
|
841 007
|
|
| Short-Term Investments |
10 598
|
5 956
|
5 793
|
9 493
|
649
|
92
|
796
|
1 700
|
8 297
|
13 574
|
55 406
|
62 821
|
28 707
|
8 168
|
56 755
|
33 441
|
58 342
|
39 771
|
51 430
|
81 960
|
71 672
|
38 368
|
97 867
|
20 782
|
|
| Total Receivables |
181 890
|
188 804
|
203 520
|
251 536
|
229 323
|
275 858
|
286 947
|
327 367
|
266 169
|
312 512
|
402 062
|
400 289
|
371 290
|
447 523
|
421 967
|
459 511
|
480 737
|
472 505
|
491 698
|
435 988
|
545 531
|
635 024
|
626 894
|
588 098
|
|
| Accounts Receivables |
178 645
|
186 446
|
202 508
|
247 957
|
226 385
|
270 331
|
285 403
|
319 328
|
242 971
|
306 367
|
387 154
|
372 942
|
358 609
|
423 067
|
396 795
|
435 863
|
457 007
|
447 510
|
469 839
|
419 272
|
529 201
|
598 640
|
567 701
|
537 014
|
|
| Other Receivables |
3 245
|
2 358
|
1 012
|
3 579
|
2 938
|
5 527
|
1 544
|
8 039
|
23 198
|
6 145
|
14 908
|
27 347
|
12 681
|
24 456
|
25 172
|
23 648
|
23 730
|
24 995
|
21 859
|
16 716
|
16 330
|
36 385
|
59 193
|
51 084
|
|
| Inventory |
102 358
|
104 651
|
109 171
|
169 501
|
207 835
|
254 783
|
253 438
|
533 037
|
260 063
|
365 985
|
465 468
|
446 705
|
442 026
|
593 755
|
402 175
|
414 856
|
592 407
|
646 685
|
615 195
|
457 145
|
841 337
|
951 179
|
926 901
|
1 043 092
|
|
| Other Current Assets |
2 261
|
2 709
|
2 228
|
2 222
|
12 848
|
10 275
|
7 406
|
35 866
|
23 216
|
1 434
|
16 754
|
21 964
|
18 428
|
22 261
|
28 872
|
25 018
|
13 881
|
14 048
|
6 617
|
9 510
|
18 640
|
12 604
|
67 635
|
83 738
|
|
| Total Current Assets |
307 088
|
303 416
|
323 650
|
437 430
|
455 847
|
546 832
|
583 936
|
1 047 870
|
680 454
|
780 616
|
1 139 975
|
1 083 732
|
989 594
|
1 199 284
|
993 472
|
1 020 281
|
1 232 119
|
1 284 827
|
1 285 177
|
1 171 612
|
1 711 495
|
2 127 562
|
2 433 040
|
2 576 717
|
|
| PP&E Net |
216 451
|
195 833
|
189 682
|
242 893
|
327 332
|
285 992
|
275 340
|
305 674
|
295 306
|
568 859
|
608 552
|
800 125
|
858 512
|
864 993
|
854 489
|
928 792
|
899 396
|
981 872
|
983 850
|
976 832
|
999 472
|
1 240 259
|
1 701 184
|
2 745 936
|
|
| PP&E Gross |
216 451
|
195 833
|
189 682
|
242 893
|
327 332
|
285 992
|
275 340
|
305 674
|
295 306
|
568 859
|
608 552
|
800 125
|
858 512
|
864 993
|
854 489
|
928 792
|
899 396
|
981 872
|
983 850
|
976 832
|
999 472
|
1 240 259
|
1 701 184
|
2 745 936
|
|
| Accumulated Depreciation |
76 058
|
98 964
|
118 141
|
134 690
|
158 274
|
205 866
|
250 695
|
289 493
|
317 938
|
290 375
|
307 305
|
335 998
|
362 355
|
439 349
|
484 936
|
533 193
|
572 538
|
653 587
|
709 903
|
768 130
|
838 930
|
933 436
|
990 139
|
1 066 344
|
|
| Intangible Assets |
30
|
39
|
48
|
2 476
|
2 212
|
10 524
|
9 273
|
6 903
|
5 026
|
6 414
|
6 761
|
9 425
|
8 607
|
8 869
|
8 668
|
9 928
|
9 427
|
10 622
|
11 249
|
10 285
|
9 891
|
9 830
|
32 245
|
34 152
|
|
| Goodwill |
897
|
812
|
810
|
706
|
685
|
629
|
635
|
851
|
790
|
770
|
780
|
725
|
714
|
52 585
|
50 383
|
44 426
|
33 761
|
4 862
|
784
|
736
|
802
|
2 180
|
2 219
|
2 529
|
|
| Note Receivable |
6 939
|
6 467
|
5 323
|
4 048
|
3 168
|
3 345
|
4 381
|
5 220
|
4 016
|
29 753
|
37 772
|
4 981
|
4 776
|
5 071
|
3 788
|
6 705
|
59 022
|
7 384
|
6 477
|
6 085
|
9 535
|
6 467
|
8 909
|
7 776
|
|
| Long-Term Investments |
21 431
|
27 284
|
42 029
|
45 485
|
62 047
|
71 136
|
81 822
|
102 129
|
91 824
|
152 641
|
131 347
|
123 424
|
125 815
|
130 748
|
144 518
|
142 484
|
146 877
|
135 287
|
135 803
|
117 138
|
122 589
|
129 559
|
116 009
|
125 943
|
|
| Other Long-Term Assets |
9 094
|
9 970
|
9 761
|
7 571
|
3 316
|
3 309
|
2 815
|
16 261
|
13 218
|
7 766
|
7 432
|
7 939
|
7 542
|
23 480
|
18 534
|
17 080
|
31 098
|
20 527
|
25 208
|
32 870
|
45 216
|
56 211
|
47 150
|
62 521
|
|
| Other Assets |
897
|
812
|
810
|
706
|
685
|
629
|
635
|
851
|
790
|
770
|
780
|
725
|
714
|
52 585
|
50 383
|
44 426
|
33 761
|
4 862
|
784
|
736
|
802
|
2 180
|
2 219
|
2 529
|
|
| Total Assets |
561 930
N/A
|
543 821
-3%
|
571 303
+5%
|
740 610
+30%
|
854 608
+15%
|
921 766
+8%
|
958 201
+4%
|
1 484 909
+55%
|
1 090 633
-27%
|
1 546 819
+42%
|
1 932 619
+25%
|
2 030 350
+5%
|
1 995 561
-2%
|
2 285 030
+15%
|
2 073 851
-9%
|
2 169 697
+5%
|
2 411 700
+11%
|
2 445 381
+1%
|
2 448 548
+0%
|
2 315 558
-5%
|
2 898 999
+25%
|
3 572 068
+23%
|
4 340 756
+22%
|
5 555 574
+28%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
71 880
|
33 379
|
31 688
|
81 398
|
87 090
|
100 341
|
119 591
|
251 559
|
125 903
|
134 078
|
189 492
|
210 385
|
160 189
|
183 264
|
149 217
|
176 407
|
186 923
|
198 125
|
172 187
|
161 576
|
196 614
|
214 199
|
234 129
|
243 023
|
|
| Accrued Liabilities |
5 170
|
4 591
|
5 546
|
7 412
|
12 821
|
5 655
|
1 989
|
3 931
|
2 352
|
2 549
|
4 745
|
4 024
|
4 032
|
6 184
|
4 230
|
4 280
|
25 645
|
4 818
|
9 961
|
10 377
|
20 313
|
27 212
|
52 707
|
58 999
|
|
| Short-Term Debt |
97 315
|
131 938
|
144 934
|
113 771
|
203 289
|
224 794
|
205 741
|
319 972
|
145 657
|
235 055
|
391 137
|
381 189
|
285 438
|
541 267
|
318 118
|
314 174
|
459 368
|
427 875
|
434 445
|
339 745
|
486 010
|
518 330
|
455 030
|
492 202
|
|
| Current Portion of Long-Term Debt |
14 703
|
26 822
|
1 934
|
18 482
|
33 944
|
14 036
|
34 953
|
78 970
|
79 326
|
28 406
|
612
|
50 023
|
115 192
|
52 694
|
82 498
|
21 391
|
98 546
|
93 875
|
69 439
|
74 886
|
95 771
|
104 848
|
126 765
|
130 238
|
|
| Other Current Liabilities |
72 405
|
53 706
|
51 131
|
110 277
|
26 977
|
25 231
|
36 228
|
91 032
|
31 759
|
83 414
|
81 625
|
92 980
|
70 442
|
78 870
|
61 898
|
85 163
|
111 467
|
84 208
|
83 757
|
84 161
|
129 792
|
227 727
|
274 418
|
359 977
|
|
| Total Current Liabilities |
261 473
|
250 436
|
235 233
|
331 340
|
364 120
|
370 056
|
398 501
|
745 464
|
384 997
|
483 502
|
667 611
|
738 601
|
635 293
|
862 279
|
615 961
|
601 415
|
881 949
|
808 901
|
769 789
|
670 745
|
928 499
|
1 092 316
|
1 143 049
|
1 284 439
|
|
| Long-Term Debt |
30 776
|
15 280
|
40 280
|
43 109
|
64 668
|
104 170
|
62 562
|
91 044
|
88 522
|
88 347
|
191 205
|
185 106
|
157 052
|
123 801
|
93 882
|
154 990
|
139 446
|
155 495
|
187 753
|
188 194
|
251 758
|
366 269
|
649 652
|
1 383 096
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
10 844
|
17 342
|
21 981
|
35 863
|
14 112
|
88 644
|
101 843
|
98 736
|
98 808
|
118 762
|
128 170
|
110 561
|
115 185
|
122 894
|
125 728
|
112 962
|
120 891
|
127 426
|
153 296
|
188 828
|
|
| Minority Interest |
3 333
|
3 333
|
4 086
|
6 536
|
13 348
|
7 077
|
8 838
|
16 067
|
13 713
|
15 739
|
18 122
|
19 987
|
23 491
|
29 506
|
31 368
|
32 502
|
32 088
|
411 327
|
387 406
|
354 862
|
382 387
|
477 320
|
590 283
|
657 476
|
|
| Other Liabilities |
13 066
|
12 156
|
12 191
|
11 556
|
13 231
|
14 316
|
18 133
|
10 950
|
10 441
|
3 800
|
16 777
|
3 967
|
4 962
|
5 497
|
8 704
|
10 664
|
6 000
|
5 492
|
12 931
|
12 940
|
11 199
|
5 258
|
5 861
|
41 001
|
|
| Total Liabilities |
308 647
N/A
|
281 206
-9%
|
291 790
+4%
|
392 540
+35%
|
466 212
+19%
|
512 960
+10%
|
510 015
-1%
|
899 389
+76%
|
511 784
-43%
|
680 032
+33%
|
995 557
+46%
|
1 046 397
+5%
|
919 607
-12%
|
1 139 844
+24%
|
878 085
-23%
|
910 132
+4%
|
1 174 668
+29%
|
1 504 109
+28%
|
1 483 607
-1%
|
1 339 704
-10%
|
1 694 734
+27%
|
2 068 591
+22%
|
2 542 140
+23%
|
3 554 841
+40%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
20 443
|
24 000
|
24 000
|
24 000
|
24 000
|
24 000
|
26 700
|
26 700
|
30 000
|
30 000
|
30 000
|
30 000
|
30 000
|
30 000
|
30 000
|
30 000
|
30 000
|
20 708
|
20 708
|
20 708
|
20 708
|
20 708
|
20 708
|
20 708
|
|
| Retained Earnings |
8 242
|
23 926
|
18 877
|
85 588
|
120 351
|
142 268
|
156 862
|
269 987
|
275 045
|
715 117
|
792 490
|
885 668
|
986 982
|
1 047 984
|
1 083 710
|
1 137 157
|
1 153 359
|
1 469 972
|
831 606
|
845 738
|
1 022 656
|
1 294 187
|
1 565 709
|
1 599 141
|
|
| Additional Paid In Capital |
240 830
|
237 250
|
237 250
|
237 535
|
238 122
|
239 088
|
255 155
|
255 229
|
251 908
|
27 454
|
27 454
|
27 308
|
26 390
|
26 390
|
26 390
|
26 390
|
26 390
|
568 876
|
82 250
|
116 875
|
130 690
|
130 698
|
130 698
|
136 283
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
20 240
|
12 500
|
10 555
|
85 119
|
73 535
|
43 146
|
39 432
|
42 348
|
40 731
|
37 489
|
43 520
|
16 489
|
12 353
|
1 147
|
4 036
|
0
|
0
|
5 289
|
|
| Treasury Stock |
0
|
0
|
0
|
0
|
0
|
0
|
3 215
|
3 215
|
3 265
|
2 539
|
2 539
|
2 361
|
2 361
|
2 361
|
2 361
|
2 361
|
2 361
|
1 420
|
1 420
|
1 420
|
1 420
|
1 420
|
1 420
|
1 420
|
|
| Other Equity |
16 231
|
22 561
|
615
|
947
|
5 923
|
3 450
|
7 557
|
24 319
|
14 606
|
11 636
|
16 122
|
192
|
4 489
|
824
|
17 298
|
30 891
|
13 876
|
4 399
|
19 444
|
7 194
|
35 666
|
59 304
|
82 920
|
251 310
|
|
| Total Equity |
253 284
N/A
|
262 615
+4%
|
279 512
+6%
|
348 070
+25%
|
388 396
+12%
|
408 806
+5%
|
448 186
+10%
|
585 521
+31%
|
578 849
-1%
|
866 787
+50%
|
937 062
+8%
|
983 953
+5%
|
1 075 954
+9%
|
1 145 185
+6%
|
1 195 767
+4%
|
1 259 565
+5%
|
1 237 032
-2%
|
941 272
-24%
|
964 941
+3%
|
975 854
+1%
|
1 204 265
+23%
|
1 503 477
+25%
|
1 798 615
+20%
|
2 000 733
+11%
|
|
| Total Liabilities & Equity |
561 930
N/A
|
543 821
-3%
|
571 303
+5%
|
740 610
+30%
|
854 608
+15%
|
921 766
+8%
|
958 201
+4%
|
1 484 909
+55%
|
1 090 633
-27%
|
1 546 819
+42%
|
1 932 619
+25%
|
2 030 350
+5%
|
1 995 561
-2%
|
2 285 030
+15%
|
2 073 851
-9%
|
2 169 697
+5%
|
2 411 700
+11%
|
2 445 381
+1%
|
2 448 548
+0%
|
2 315 558
-5%
|
2 898 999
+25%
|
3 572 068
+23%
|
4 340 756
+22%
|
5 555 574
+28%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
4
|
4
|
4
|
4
|
4
|
4
|
4
|
|