LS Electric Co Ltd
KRX:010120
Balance Sheet
Balance Sheet Decomposition
LS Electric Co Ltd
LS Electric Co Ltd
Balance Sheet
LS Electric 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 |
205 911
|
22 305
|
18 193
|
17 530
|
26 443
|
9 285
|
26 299
|
60 505
|
89 046
|
107 440
|
125 033
|
176 092
|
191 367
|
332 334
|
286 081
|
340 137
|
261 507
|
455 629
|
534 507
|
683 235
|
701 597
|
556 086
|
583 925
|
660 104
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
18
|
15
|
10
|
15
|
11
|
2
|
1
|
4
|
1
|
1
|
51
|
448
|
32 128
|
|
| Cash Equivalents |
205 911
|
22 305
|
18 193
|
17 530
|
26 443
|
9 285
|
26 299
|
60 505
|
89 046
|
107 440
|
125 033
|
176 074
|
191 352
|
332 324
|
286 066
|
340 126
|
261 505
|
455 628
|
534 503
|
683 234
|
701 596
|
556 035
|
583 477
|
627 976
|
|
| Short-Term Investments |
2 326
|
3 162
|
1 153
|
1 280
|
9 826
|
9 769
|
10 849
|
32 854
|
18 831
|
33 458
|
12 622
|
8 355
|
24 284
|
10 088
|
11 855
|
29 087
|
134 753
|
12 682
|
13 599
|
5 540
|
20 405
|
13 711
|
27 415
|
63 178
|
|
| Total Receivables |
181 581
|
184 447
|
184 222
|
196 257
|
237 886
|
293 047
|
332 101
|
349 627
|
371 103
|
521 228
|
536 855
|
680 148
|
753 623
|
848 459
|
880 791
|
825 707
|
782 175
|
583 702
|
585 692
|
531 149
|
825 706
|
1 109 158
|
1 326 130
|
1 634 748
|
|
| Accounts Receivables |
178 704
|
183 208
|
175 905
|
194 023
|
234 495
|
290 279
|
291 666
|
339 776
|
356 731
|
485 324
|
499 142
|
644 436
|
715 144
|
804 585
|
837 307
|
786 839
|
743 391
|
539 359
|
541 690
|
489 342
|
784 088
|
1 050 290
|
1 284 855
|
1 582 969
|
|
| Other Receivables |
2 877
|
1 239
|
8 317
|
2 234
|
3 391
|
2 768
|
40 435
|
9 851
|
14 372
|
35 904
|
37 713
|
35 712
|
38 479
|
43 874
|
43 484
|
38 868
|
38 784
|
44 343
|
44 002
|
41 807
|
41 618
|
58 869
|
41 275
|
51 779
|
|
| Inventory |
45 086
|
43 934
|
64 735
|
78 441
|
82 911
|
113 311
|
112 879
|
122 254
|
136 606
|
233 623
|
236 939
|
232 879
|
202 998
|
167 650
|
161 505
|
146 765
|
166 944
|
196 628
|
196 292
|
176 861
|
261 477
|
460 347
|
527 985
|
510 013
|
|
| Other Current Assets |
7 968
|
10 538
|
4 391
|
3 548
|
11 837
|
9 969
|
9 830
|
90 588
|
17 405
|
11 858
|
9 459
|
59 495
|
65 134
|
44 424
|
54 103
|
75 808
|
70 744
|
287 443
|
336 810
|
253 019
|
78 563
|
201 950
|
139 738
|
184 148
|
|
| Total Current Assets |
442 871
|
264 386
|
272 695
|
297 058
|
368 904
|
435 382
|
491 956
|
655 829
|
632 991
|
907 607
|
920 907
|
1 156 968
|
1 237 406
|
1 402 955
|
1 394 335
|
1 417 503
|
1 416 121
|
1 536 084
|
1 666 900
|
1 649 805
|
1 887 748
|
2 341 252
|
2 605 193
|
3 052 192
|
|
| PP&E Net |
517 055
|
498 523
|
483 625
|
483 810
|
413 038
|
405 304
|
395 652
|
433 437
|
566 359
|
613 087
|
657 963
|
668 341
|
663 821
|
678 147
|
643 710
|
610 481
|
577 370
|
553 699
|
583 668
|
594 736
|
597 667
|
652 756
|
747 566
|
921 170
|
|
| PP&E Gross |
517 055
|
498 523
|
483 625
|
483 810
|
413 038
|
405 304
|
395 652
|
433 437
|
566 359
|
613 087
|
657 963
|
668 341
|
663 821
|
678 147
|
643 710
|
610 481
|
577 370
|
553 699
|
583 668
|
594 736
|
597 667
|
652 756
|
747 566
|
921 170
|
|
| Accumulated Depreciation |
153 406
|
168 413
|
192 404
|
219 381
|
248 466
|
280 059
|
297 254
|
322 855
|
345 404
|
324 336
|
344 821
|
397 176
|
453 361
|
499 446
|
546 610
|
578 747
|
635 737
|
661 579
|
723 937
|
784 773
|
860 404
|
920 629
|
985 926
|
1 073 579
|
|
| Intangible Assets |
37 299
|
38 991
|
42 602
|
46 895
|
45 316
|
45 425
|
48 383
|
52 813
|
78 972
|
91 377
|
126 170
|
143 108
|
139 940
|
134 025
|
133 866
|
126 231
|
111 844
|
112 494
|
106 321
|
98 641
|
88 608
|
67 371
|
64 229
|
75 242
|
|
| Goodwill |
94 736
|
47 368
|
0
|
0
|
0
|
0
|
0
|
1 308
|
5 542
|
7 965
|
7 316
|
7 316
|
4 987
|
3 987
|
3 987
|
3 987
|
3 987
|
14 870
|
7 328
|
5 831
|
13 080
|
18 928
|
29 525
|
112 860
|
|
| Note Receivable |
10 245
|
9 060
|
3 266
|
2 189
|
9 253
|
7 513
|
7 549
|
5 108
|
4 546
|
8 059
|
7 298
|
4 205
|
4 892
|
4 681
|
3 030
|
3 517
|
26 807
|
24 279
|
15 167
|
23 676
|
24 269
|
21 091
|
32 808
|
33 450
|
|
| Long-Term Investments |
95 374
|
66 628
|
9 326
|
9 776
|
52 236
|
52 964
|
10 949
|
12 177
|
24 047
|
42 965
|
34 254
|
21 590
|
26 835
|
33 409
|
26 237
|
28 457
|
35 633
|
96 235
|
108 745
|
116 285
|
107 917
|
100 568
|
120 017
|
147 419
|
|
| Other Long-Term Assets |
45 385
|
37 401
|
50 998
|
25 891
|
12 924
|
13 100
|
17 430
|
24 803
|
46 065
|
11 018
|
15 482
|
18 796
|
23 398
|
37 152
|
46 509
|
71 628
|
84 060
|
68 175
|
50 016
|
51 423
|
77 442
|
120 838
|
133 554
|
142 866
|
|
| Other Assets |
94 736
|
47 368
|
0
|
0
|
0
|
0
|
0
|
1 308
|
5 542
|
7 965
|
7 316
|
7 316
|
4 987
|
3 987
|
3 987
|
3 987
|
3 987
|
14 870
|
7 328
|
5 831
|
13 080
|
18 928
|
29 525
|
112 860
|
|
| Total Assets |
1 242 966
N/A
|
962 357
-23%
|
862 513
-10%
|
865 619
+0%
|
901 672
+4%
|
959 689
+6%
|
971 921
+1%
|
1 185 475
+22%
|
1 358 523
+15%
|
1 682 077
+24%
|
1 769 390
+5%
|
2 020 324
+14%
|
2 101 280
+4%
|
2 294 355
+9%
|
2 251 674
-2%
|
2 261 806
+0%
|
2 255 821
0%
|
2 405 836
+7%
|
2 538 144
+5%
|
2 540 396
+0%
|
2 796 732
+10%
|
3 322 805
+19%
|
3 732 892
+12%
|
4 485 197
+20%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
70 528
|
79 173
|
103 088
|
125 409
|
116 226
|
142 649
|
122 935
|
131 509
|
173 312
|
228 795
|
203 986
|
229 910
|
203 834
|
219 116
|
207 924
|
214 507
|
201 130
|
202 166
|
260 262
|
190 284
|
278 441
|
360 693
|
368 623
|
408 029
|
|
| Accrued Liabilities |
9 465
|
5 071
|
3 938
|
14 408
|
15 850
|
16 879
|
17 079
|
14 483
|
23 567
|
125
|
356
|
165
|
655
|
232
|
245
|
0
|
232
|
76
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Short-Term Debt |
9 162
|
53 990
|
3 066
|
52 433
|
19 602
|
30 353
|
29 816
|
125 585
|
31 179
|
58 024
|
80 424
|
49 718
|
66 388
|
52 704
|
61 345
|
55 230
|
49 439
|
61 126
|
47 266
|
46 111
|
73 899
|
312 894
|
276 942
|
381 318
|
|
| Current Portion of Long-Term Debt |
492 520
|
220 006
|
237 908
|
118 760
|
167 641
|
71 591
|
121 029
|
71 105
|
32 145
|
138 378
|
58 936
|
95 712
|
20 529
|
180 871
|
106 654
|
121 650
|
149 912
|
149 913
|
164 239
|
108 366
|
190 166
|
234 789
|
164 786
|
248 966
|
|
| Other Current Liabilities |
65 713
|
55 044
|
53 808
|
61 223
|
84 529
|
84 616
|
105 277
|
194 820
|
179 204
|
167 659
|
170 330
|
228 669
|
230 145
|
284 513
|
241 908
|
289 203
|
249 569
|
286 892
|
282 012
|
299 485
|
302 795
|
481 835
|
638 325
|
808 037
|
|
| Total Current Liabilities |
647 388
|
413 283
|
401 807
|
372 233
|
403 847
|
346 087
|
396 136
|
537 502
|
439 407
|
592 982
|
514 032
|
604 173
|
521 551
|
737 437
|
618 075
|
680 590
|
649 818
|
700 173
|
753 779
|
644 246
|
845 301
|
1 390 210
|
1 448 677
|
1 846 350
|
|
| Long-Term Debt |
455 603
|
361 257
|
288 670
|
244 045
|
169 843
|
201 069
|
83 665
|
104 109
|
214 767
|
315 825
|
430 500
|
509 637
|
599 470
|
522 594
|
572 189
|
505 550
|
449 022
|
399 137
|
409 314
|
473 453
|
452 197
|
354 622
|
546 447
|
596 351
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
10 646
|
12 631
|
9 058
|
5 777
|
11 133
|
8 471
|
19 573
|
13 084
|
15 554
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
6 776
|
|
| Minority Interest |
681
|
1 922
|
2 346
|
1 217
|
1 112
|
835
|
0
|
1 416
|
21 345
|
5 696
|
4 962
|
3 236
|
743
|
524
|
1 439
|
1 485
|
2 417
|
2 962
|
2 091
|
1 971
|
8 214
|
4 203
|
11 272
|
51 336
|
|
| Other Liabilities |
21 065
|
26 490
|
36 196
|
30 699
|
32 798
|
31 610
|
28 899
|
28 933
|
24 375
|
26 695
|
28 771
|
55 891
|
37 751
|
40 864
|
46 711
|
9 600
|
8 842
|
9 054
|
12 369
|
9 227
|
25 814
|
28 682
|
13 726
|
145 628
|
|
| Total Liabilities |
1 124 736
N/A
|
802 953
-29%
|
729 019
-9%
|
648 193
-11%
|
618 247
-5%
|
592 232
-4%
|
517 757
-13%
|
677 736
+31%
|
711 026
+5%
|
949 670
+34%
|
997 838
+5%
|
1 186 021
+19%
|
1 175 069
-1%
|
1 301 419
+11%
|
1 238 414
-5%
|
1 197 224
-3%
|
1 110 099
-7%
|
1 111 326
+0%
|
1 177 553
+6%
|
1 128 897
-4%
|
1 315 099
+16%
|
1 769 311
+35%
|
2 020 122
+14%
|
2 646 441
+31%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
648 128
|
648 128
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
150 000
|
|
| Retained Earnings |
181 252
|
177 585
|
232 526
|
67 571
|
134 520
|
215 928
|
304 179
|
373 215
|
515 709
|
605 965
|
641 735
|
710 697
|
801 982
|
867 521
|
886 674
|
940 207
|
1 026 744
|
1 183 344
|
1 246 419
|
1 298 135
|
1 356 863
|
1 436 380
|
1 596 892
|
1 743 475
|
|
| Additional Paid In Capital |
279
|
289
|
359 752
|
1 037
|
1 037
|
1 037
|
1 035
|
1 035
|
1 035
|
935
|
935
|
935
|
935
|
935
|
1 178
|
1 178
|
1 178
|
1 178
|
1 178
|
880
|
4 087
|
6 930
|
12 746
|
68 912
|
|
| Unrealized Security Profit/Loss |
11 476
|
9 056
|
274
|
1 378
|
633
|
4 285
|
227
|
161
|
65
|
1 114
|
157
|
152
|
511
|
402
|
413
|
335
|
531
|
7 538
|
7 633
|
7 612
|
6 714
|
8 202
|
8 491
|
8 208
|
|
| Treasury Stock |
319 455
|
182 211
|
106
|
106
|
106
|
106
|
106
|
25 542
|
25 542
|
25 542
|
25 542
|
25 542
|
25 542
|
25 542
|
25 542
|
25 542
|
25 542
|
25 542
|
25 542
|
25 542
|
25 542
|
24 368
|
24 368
|
11 305
|
|
| Other Equity |
40 947
|
120 159
|
143 351
|
2 454
|
2 658
|
3 687
|
718
|
9 192
|
6 231
|
64
|
4 267
|
1 634
|
653
|
425
|
1 362
|
927
|
6 127
|
6 933
|
3 831
|
4 362
|
11 113
|
6 615
|
11 483
|
33 706
|
|
| Total Equity |
118 229
N/A
|
159 405
+35%
|
133 494
-16%
|
217 425
+63%
|
283 425
+30%
|
367 457
+30%
|
454 164
+24%
|
507 739
+12%
|
647 497
+28%
|
732 408
+13%
|
771 552
+5%
|
834 303
+8%
|
926 212
+11%
|
992 937
+7%
|
1 013 260
+2%
|
1 064 582
+5%
|
1 145 723
+8%
|
1 294 510
+13%
|
1 360 591
+5%
|
1 411 499
+4%
|
1 481 633
+5%
|
1 553 494
+5%
|
1 712 770
+10%
|
1 838 756
+7%
|
|
| Total Liabilities & Equity |
1 242 966
N/A
|
962 357
-23%
|
862 513
-10%
|
865 619
+0%
|
901 672
+4%
|
959 689
+6%
|
971 921
+1%
|
1 185 475
+22%
|
1 358 523
+15%
|
1 682 077
+24%
|
1 769 390
+5%
|
2 020 324
+14%
|
2 101 280
+4%
|
2 294 355
+9%
|
2 251 674
-2%
|
2 261 806
+0%
|
2 255 821
0%
|
2 405 836
+7%
|
2 538 144
+5%
|
2 540 396
+0%
|
2 796 732
+10%
|
3 322 805
+19%
|
3 732 892
+12%
|
4 485 197
+20%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
23
|
28
|
30
|
30
|
30
|
30
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