Samsung Electro-Mechanics Co Ltd
KRX:009150
Balance Sheet
Balance Sheet Decomposition
Samsung Electro-Mechanics Co Ltd
Samsung Electro-Mechanics Co Ltd
Balance Sheet
Samsung Electro-Mechanics Co Ltd
| 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 | Dec-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
299 904
|
231 292
|
86 902
|
192 577
|
227 423
|
247 794
|
330 013
|
1 088 629
|
695 397
|
525 902
|
683 530
|
738 483
|
688 025
|
1 035 257
|
795 810
|
444 609
|
1 002 375
|
803 810
|
1 479 767
|
1 185 207
|
1 677 067
|
1 669 190
|
2 013 326
|
2 701 206
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
41
|
31
|
36
|
30
|
24
|
20
|
15
|
25
|
20
|
30
|
25
|
33
|
11
|
|
| Cash Equivalents |
299 904
|
231 292
|
86 902
|
192 577
|
227 423
|
247 794
|
330 013
|
1 088 629
|
695 397
|
525 902
|
683 530
|
738 442
|
687 994
|
1 035 221
|
795 780
|
444 585
|
1 002 355
|
803 795
|
1 479 742
|
1 185 187
|
1 677 037
|
1 669 164
|
2 013 293
|
2 701 195
|
|
| Short-Term Investments |
1 307
|
313
|
3 632
|
5 547
|
9 791
|
14 151
|
16 248
|
15 744
|
129 922
|
22 845
|
23 086
|
20
|
750 030
|
50 246
|
270 039
|
80 077
|
200 117
|
3 396
|
1
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
568 969
|
510 147
|
374 089
|
376 961
|
415 861
|
411 306
|
430 503
|
771 826
|
846 352
|
886 291
|
1 032 617
|
863 467
|
969 877
|
825 500
|
784 669
|
913 757
|
1 081 140
|
1 117 378
|
1 004 050
|
1 300 071
|
1 067 513
|
1 266 601
|
1 516 477
|
1 876 545
|
|
| Accounts Receivables |
506 245
|
437 665
|
338 644
|
317 900
|
357 098
|
365 072
|
375 337
|
689 443
|
746 257
|
827 285
|
932 815
|
725 650
|
903 823
|
687 735
|
650 201
|
829 312
|
985 134
|
976 677
|
944 396
|
1 220 474
|
997 442
|
1 132 485
|
1 397 861
|
1 804 429
|
|
| Other Receivables |
62 724
|
72 482
|
35 445
|
59 061
|
58 763
|
46 234
|
55 166
|
82 383
|
100 095
|
59 006
|
99 802
|
137 817
|
66 054
|
137 765
|
134 468
|
84 445
|
96 006
|
140 701
|
59 654
|
79 596
|
70 071
|
134 116
|
118 616
|
72 116
|
|
| Inventory |
324 996
|
304 446
|
284 881
|
252 845
|
292 009
|
430 812
|
487 140
|
484 568
|
752 176
|
760 489
|
837 965
|
888 059
|
841 200
|
678 980
|
827 159
|
918 893
|
1 115 566
|
1 271 274
|
1 337 916
|
1 818 410
|
1 901 580
|
2 119 538
|
2 250 800
|
2 412 997
|
|
| Other Current Assets |
20 943
|
12 964
|
14 312
|
40 628
|
66 651
|
62 650
|
70 408
|
42 542
|
52 168
|
1 501 198
|
54 036
|
160 737
|
304 855
|
139 988
|
134 731
|
121 462
|
126 096
|
318 459
|
328 568
|
294 582
|
242 159
|
153 090
|
111 144
|
106 875
|
|
| Total Current Assets |
1 216 119
|
1 059 162
|
763 816
|
868 557
|
1 011 736
|
1 166 713
|
1 334 313
|
2 403 310
|
2 476 015
|
3 696 727
|
2 631 235
|
2 650 765
|
3 553 987
|
2 729 971
|
2 812 409
|
2 478 798
|
3 525 293
|
3 507 525
|
4 150 303
|
4 598 269
|
4 888 319
|
5 208 418
|
5 891 746
|
7 097 623
|
|
| PP&E Net |
1 546 990
|
1 584 266
|
1 646 702
|
1 456 352
|
1 566 798
|
1 642 352
|
1 821 084
|
2 104 235
|
2 618 805
|
2 278 438
|
2 586 183
|
2 949 835
|
2 925 857
|
3 298 412
|
3 714 441
|
4 154 683
|
4 558 010
|
4 593 252
|
4 517 368
|
4 762 182
|
5 352 320
|
5 710 493
|
6 048 291
|
6 341 186
|
|
| PP&E Gross |
1 546 990
|
1 584 266
|
1 646 702
|
1 456 352
|
1 566 798
|
1 642 352
|
1 821 084
|
2 104 235
|
2 618 805
|
2 278 438
|
2 586 183
|
2 949 835
|
2 925 857
|
3 298 412
|
3 714 441
|
4 154 683
|
4 558 010
|
4 593 252
|
4 517 368
|
4 762 182
|
5 352 320
|
5 710 493
|
6 048 291
|
6 341 186
|
|
| Accumulated Depreciation |
1 102 797
|
1 189 213
|
1 226 827
|
1 324 331
|
1 487 907
|
1 723 079
|
2 026 499
|
2 175 526
|
2 526 924
|
2 605 341
|
2 910 532
|
3 382 304
|
4 082 222
|
4 032 931
|
4 312 460
|
4 402 199
|
4 964 905
|
5 546 126
|
5 430 971
|
5 918 093
|
6 620 706
|
7 307 724
|
8 460 887
|
9 142 765
|
|
| Intangible Assets |
31 579
|
21 880
|
15 032
|
10 291
|
11 841
|
11 568
|
13 388
|
60 094
|
90 360
|
56 242
|
181 262
|
160 572
|
103 874
|
91 180
|
92 186
|
149 487
|
162 461
|
141 151
|
138 251
|
141 838
|
150 053
|
151 368
|
145 643
|
152 388
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
64 162
|
64 162
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Note Receivable |
48 582
|
33 068
|
31 423
|
23 521
|
22 294
|
21 699
|
12 788
|
8 914
|
4 211
|
2 260
|
1 280
|
1 461
|
1 771
|
146 699
|
69 887
|
41 616
|
31 574
|
7 380
|
2 315
|
2 626
|
3 433
|
4 160
|
4 884
|
5 085
|
|
| Long-Term Investments |
709 913
|
447 140
|
357 024
|
574 722
|
602 200
|
680 974
|
509 621
|
942 676
|
1 556 747
|
1 241 647
|
1 366 972
|
1 263 176
|
978 643
|
843 953
|
792 688
|
778 912
|
211 197
|
241 707
|
273 513
|
344 559
|
316 861
|
277 263
|
337 203
|
620 758
|
|
| Other Long-Term Assets |
38 286
|
148 782
|
178 643
|
192 297
|
167 117
|
131 653
|
146 206
|
61 996
|
89 819
|
53 548
|
60 371
|
95 371
|
154 480
|
159 237
|
181 019
|
163 907
|
156 380
|
183 235
|
143 748
|
91 901
|
286 185
|
306 169
|
364 635
|
378 856
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
64 162
|
64 162
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Assets |
3 591 469
N/A
|
3 294 297
-8%
|
2 992 640
-9%
|
3 125 740
+4%
|
3 381 985
+8%
|
3 654 960
+8%
|
3 837 400
+5%
|
5 581 226
+45%
|
6 835 958
+22%
|
7 328 862
+7%
|
6 891 464
-6%
|
7 185 343
+4%
|
7 718 612
+7%
|
7 269 453
-6%
|
7 662 629
+5%
|
7 767 404
+1%
|
8 644 914
+11%
|
8 674 248
+0%
|
9 225 498
+6%
|
9 941 374
+8%
|
10 997 171
+11%
|
11 657 872
+6%
|
12 792 403
+10%
|
14 595 895
+14%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
251 917
|
293 029
|
165 148
|
165 025
|
163 833
|
231 257
|
175 808
|
322 340
|
375 715
|
396 819
|
475 996
|
393 258
|
391 168
|
272 433
|
395 772
|
281 306
|
276 667
|
263 007
|
434 514
|
591 676
|
381 841
|
595 942
|
502 148
|
641 025
|
|
| Accrued Liabilities |
59 594
|
50 031
|
54 772
|
51 813
|
73 907
|
75 860
|
79 211
|
187 705
|
293 872
|
128 758
|
204 193
|
199 620
|
214 989
|
216 067
|
205 369
|
201 317
|
308 801
|
386 089
|
349 091
|
491 169
|
445 584
|
299 336
|
406 103
|
471 579
|
|
| Short-Term Debt |
384 677
|
278 170
|
243 160
|
204 352
|
169 835
|
314 970
|
531 182
|
681 041
|
756 464
|
795 555
|
801 324
|
806 217
|
671 080
|
691 132
|
842 296
|
1 203 792
|
961 956
|
569 190
|
406 201
|
56 486
|
810 257
|
1 067 871
|
1 313 775
|
2 003 355
|
|
| Current Portion of Long-Term Debt |
200 303
|
399 977
|
28 264
|
199 512
|
399 344
|
84 713
|
150 000
|
430 084
|
96
|
299 953
|
140 265
|
90 592
|
445 356
|
333 837
|
323 627
|
467 529
|
432 050
|
190 932
|
219 212
|
338 990
|
298 285
|
262 025
|
266 374
|
24 700
|
|
| Other Current Liabilities |
223 889
|
249 171
|
189 405
|
190 982
|
265 956
|
192 316
|
231 634
|
410 536
|
392 356
|
1 090 127
|
337 294
|
297 745
|
428 409
|
254 784
|
276 091
|
300 165
|
530 111
|
441 188
|
505 861
|
756 335
|
589 155
|
675 287
|
568 461
|
678 838
|
|
| Total Current Liabilities |
1 120 380
|
1 270 378
|
680 749
|
811 684
|
1 072 875
|
899 117
|
1 167 835
|
2 031 707
|
1 818 502
|
2 711 212
|
1 959 072
|
1 787 432
|
2 151 002
|
1 768 254
|
2 043 155
|
2 454 110
|
2 509 584
|
1 850 405
|
1 914 880
|
2 234 657
|
2 525 123
|
2 900 460
|
3 056 861
|
3 819 497
|
|
| Long-Term Debt |
432 048
|
229 517
|
545 309
|
503 039
|
347 410
|
600 000
|
500 000
|
608 139
|
952 991
|
494 584
|
579 479
|
709 079
|
596 681
|
1 016 626
|
1 277 706
|
897 616
|
1 060 133
|
1 251 303
|
1 281 275
|
687 067
|
396 694
|
266 618
|
55 859
|
249 136
|
|
| Deferred Income Tax |
1 335
|
431
|
136
|
713
|
21
|
0
|
0
|
41 753
|
210 986
|
156 508
|
181 687
|
189 873
|
186 622
|
13 653
|
2 679
|
1 239
|
1 169
|
1 196
|
1 128
|
972
|
1 321
|
1 298
|
1 708
|
26 212
|
|
| Minority Interest |
36 586
|
38 280
|
35 387
|
27 098
|
31 299
|
42 608
|
50 107
|
223 390
|
327 716
|
368 376
|
71 252
|
83 966
|
89 390
|
93 269
|
97 467
|
99 848
|
125 450
|
145 050
|
138 107
|
152 177
|
154 991
|
182 613
|
226 693
|
255 582
|
|
| Other Liabilities |
72 086
|
73 218
|
84 332
|
105 815
|
128 597
|
150 063
|
165 373
|
81 013
|
50 639
|
90 771
|
205 578
|
240 932
|
141 511
|
155 536
|
1 504
|
82 948
|
127 530
|
141 247
|
117 819
|
147 552
|
380 548
|
459 171
|
662 121
|
703 705
|
|
| Total Liabilities |
1 662 435
N/A
|
1 611 823
-3%
|
1 345 913
-16%
|
1 448 349
+8%
|
1 580 202
+9%
|
1 691 788
+7%
|
1 883 316
+11%
|
2 986 001
+59%
|
3 360 834
+13%
|
3 821 450
+14%
|
2 997 069
-22%
|
3 011 281
+0%
|
3 165 206
+5%
|
3 047 338
-4%
|
3 422 511
+12%
|
3 535 760
+3%
|
3 823 867
+8%
|
3 389 202
-11%
|
3 453 209
+2%
|
3 222 425
-7%
|
3 458 677
+7%
|
3 810 159
+10%
|
4 003 242
+5%
|
5 054 134
+26%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
388 003
|
|
| Retained Earnings |
464 352
|
185 599
|
279 708
|
175 945
|
273 875
|
348 038
|
355 819
|
804 511
|
1 276 052
|
1 528 943
|
1 864 658
|
2 119 375
|
2 504 623
|
2 445 541
|
2 533 754
|
2 609 843
|
3 179 344
|
3 572 878
|
4 073 267
|
4 807 222
|
5 620 512
|
5 873 076
|
6 490 395
|
7 064 997
|
|
| Additional Paid In Capital |
1 099 745
|
1 104 716
|
1 107 101
|
1 107 830
|
1 108 032
|
1 109 445
|
1 107 892
|
1 059 008
|
1 048 946
|
1 029 030
|
1 027 731
|
1 027 390
|
1 027 230
|
1 027 230
|
1 027 230
|
1 027 230
|
1 027 230
|
1 027 230
|
1 027 230
|
1 035 545
|
1 035 545
|
1 035 545
|
1 035 545
|
1 035 545
|
|
| Unrealized Security Profit/Loss |
7 890
|
12 675
|
80 000
|
50 376
|
74 635
|
171 750
|
55 754
|
397 453
|
808 126
|
562 609
|
657 480
|
713 850
|
755 815
|
561 219
|
494 750
|
480 585
|
485 070
|
509 427
|
529 758
|
550 549
|
533 611
|
581 253
|
102 506
|
273 403
|
|
| Treasury Stock |
13 919
|
13 919
|
13 919
|
13 919
|
13 919
|
36 265
|
35 748
|
20 181
|
12 293
|
7 494
|
2 235
|
1 793
|
0
|
146 701
|
146 701
|
146 701
|
146 701
|
146 701
|
146 701
|
146 701
|
146 701
|
146 701
|
146 701
|
146 701
|
|
| Other Equity |
1 258
|
5 401
|
34 166
|
30 844
|
28 843
|
17 800
|
82 364
|
33 569
|
33 710
|
6 321
|
41 241
|
72 763
|
122 265
|
53 177
|
56 918
|
127 316
|
111 897
|
65 790
|
99 267
|
84 330
|
107 523
|
116 536
|
919 412
|
926 514
|
|
| Total Equity |
1 929 034
N/A
|
1 682 474
-13%
|
1 646 726
-2%
|
1 677 391
+2%
|
1 801 783
+7%
|
1 963 172
+9%
|
1 954 085
0%
|
2 595 225
+33%
|
3 475 124
+34%
|
3 507 412
+1%
|
3 894 396
+11%
|
4 174 062
+7%
|
4 553 406
+9%
|
4 222 115
-7%
|
4 240 118
+0%
|
4 231 643
0%
|
4 821 048
+14%
|
5 285 047
+10%
|
5 772 289
+9%
|
6 718 949
+16%
|
7 538 494
+12%
|
7 847 712
+4%
|
8 789 161
+12%
|
9 541 762
+9%
|
|
| Total Liabilities & Equity |
3 591 469
N/A
|
3 294 297
-8%
|
2 992 640
-9%
|
3 125 740
+4%
|
3 381 985
+8%
|
3 654 960
+8%
|
3 837 400
+5%
|
5 581 226
+45%
|
6 835 958
+22%
|
7 328 862
+7%
|
6 891 464
-6%
|
7 185 343
+4%
|
7 718 612
+7%
|
7 269 453
-6%
|
7 662 629
+5%
|
7 767 404
+1%
|
8 644 914
+11%
|
8 674 248
+0%
|
9 225 498
+6%
|
9 941 374
+8%
|
10 997 171
+11%
|
11 657 872
+6%
|
12 792 403
+10%
|
14 595 895
+14%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
74
|
74
|
74
|
74
|
74
|
74
|
74
|
74
|
75
|
75
|
75
|
75
|
75
|
73
|
73
|
73
|
73
|
73
|
73
|
73
|
73
|
73
|
73
|
73
|
|
| Preferred Shares Outstanding |
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
3
|
|