HMM Co Ltd
KRX:011200
Balance Sheet
Balance Sheet Decomposition
HMM Co Ltd
HMM Co Ltd
Balance Sheet
HMM 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 |
62 460
|
35 845
|
55 316
|
144 248
|
216 733
|
160 514
|
514 374
|
298 256
|
919 288
|
1 289 989
|
679 372
|
778 075
|
868 455
|
450 866
|
203 569
|
533 674
|
676 365
|
562 901
|
645 092
|
1 140 700
|
1 724 952
|
4 980 161
|
3 249 802
|
1 471 825
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
129 865
|
194 485
|
82 554
|
80 190
|
111 863
|
86 119
|
225 105
|
314 954
|
477 142
|
259 859
|
1 164 380
|
1 151 325
|
|
| Cash Equivalents |
62 460
|
35 845
|
55 316
|
144 248
|
216 733
|
160 514
|
514 374
|
298 256
|
919 288
|
1 289 989
|
679 372
|
778 075
|
738 590
|
256 381
|
121 015
|
453 484
|
564 502
|
476 782
|
419 987
|
825 746
|
1 247 810
|
4 720 302
|
2 085 422
|
320 500
|
|
| Short-Term Investments |
139 061
|
42 013
|
32 121
|
32 674
|
239 929
|
1 210 895
|
488 491
|
568 073
|
271 037
|
27 147
|
77 724
|
185 888
|
89 878
|
229 129
|
192 892
|
5 812
|
18 491
|
317 040
|
12 711
|
15 602
|
4 738 187
|
7 819 850
|
8 507 042
|
14 369 863
|
|
| Total Receivables |
1 146 054
|
920 949
|
580 278
|
462 896
|
531 531
|
466 719
|
495 056
|
772 302
|
668 662
|
814 754
|
1 015 289
|
986 082
|
972 176
|
665 434
|
559 080
|
425 156
|
378 879
|
545 942
|
561 655
|
850 367
|
1 986 486
|
1 054 002
|
960 854
|
1 578 943
|
|
| Accounts Receivables |
964 600
|
659 496
|
524 490
|
421 784
|
460 109
|
438 663
|
470 526
|
736 225
|
631 956
|
532 249
|
541 310
|
494 600
|
707 259
|
468 437
|
382 827
|
350 874
|
328 935
|
448 084
|
517 140
|
800 268
|
1 923 165
|
1 004 403
|
918 451
|
1 406 608
|
|
| Other Receivables |
181 454
|
261 453
|
55 788
|
41 112
|
71 422
|
28 056
|
24 530
|
36 077
|
36 706
|
282 505
|
473 979
|
491 482
|
264 917
|
196 997
|
176 253
|
74 282
|
49 944
|
97 858
|
44 515
|
50 099
|
63 321
|
49 599
|
42 403
|
172 335
|
|
| Inventory |
56 040
|
54 045
|
46 457
|
57 449
|
86 693
|
87 926
|
124 975
|
123 900
|
217 393
|
272 452
|
412 715
|
320 371
|
276 024
|
201 357
|
94 882
|
118 150
|
112 700
|
131 521
|
135 256
|
152 966
|
254 153
|
325 192
|
362 398
|
401 842
|
|
| Other Current Assets |
297 327
|
252 860
|
305 668
|
131 601
|
99 698
|
72 492
|
96 624
|
138 683
|
131 245
|
387 844
|
155 325
|
143 302
|
161 241
|
85 261
|
100 789
|
207 199
|
200 243
|
190 243
|
72 489
|
77 604
|
64 243
|
100 899
|
99 613
|
174 371
|
|
| Total Current Assets |
1 700 942
|
1 305 711
|
1 019 839
|
828 867
|
1 174 583
|
1 998 546
|
1 719 520
|
1 901 214
|
2 207 625
|
2 792 186
|
2 340 425
|
2 413 718
|
2 367 774
|
1 632 047
|
1 151 212
|
1 289 991
|
1 386 678
|
1 747 647
|
1 427 203
|
2 237 239
|
8 768 021
|
14 280 104
|
13 179 709
|
17 996 844
|
|
| PP&E Net |
4 635 475
|
3 283 689
|
2 845 128
|
3 088 909
|
3 491 012
|
3 534 752
|
3 711 048
|
5 893 264
|
5 485 951
|
3 902 552
|
4 124 445
|
4 279 190
|
4 354 281
|
4 255 050
|
3 426 031
|
2 276 214
|
1 596 765
|
1 734 100
|
4 984 537
|
6 252 128
|
8 065 503
|
8 690 565
|
10 643 721
|
14 604 389
|
|
| PP&E Gross |
4 635 475
|
3 283 689
|
2 845 128
|
3 088 909
|
3 491 012
|
3 534 752
|
3 711 048
|
5 893 264
|
5 485 951
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
4 984 537
|
0
|
0
|
0
|
0
|
0
|
|
| Accumulated Depreciation |
744 653
|
756 728
|
766 151
|
922 876
|
1 095 136
|
1 243 573
|
1 304 495
|
1 906 574
|
2 097 537
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
436 369
|
0
|
0
|
0
|
0
|
0
|
|
| Intangible Assets |
216 713
|
159 546
|
153 439
|
146 387
|
140 947
|
135 489
|
130 119
|
126 297
|
120 744
|
148 047
|
141 367
|
221 946
|
212 414
|
148 386
|
48 728
|
24 932
|
32 405
|
29 549
|
43 803
|
60 453
|
42 583
|
44 180
|
40 838
|
42 736
|
|
| Goodwill |
7 190
|
6 509
|
6 495
|
5 660
|
6 763
|
6 262
|
3 454
|
3 883
|
2 182
|
6 495
|
6 566
|
0
|
58 933
|
30 792
|
5 257
|
4 756
|
47 868
|
47 860
|
47 730
|
47 730
|
30
|
30
|
0
|
0
|
|
| Note Receivable |
28 141
|
52 300
|
39 299
|
45 420
|
17 165
|
228
|
282
|
941
|
25 906
|
788 295
|
947 735
|
847 817
|
577 413
|
39 856
|
42 075
|
50 766
|
57 608
|
52 906
|
128 609
|
157 746
|
146 397
|
314 157
|
296 717
|
192 651
|
|
| Long-Term Investments |
535 503
|
283 728
|
263 972
|
219 512
|
398 284
|
370 469
|
698 798
|
937 032
|
1 119 706
|
1 184 050
|
1 196 665
|
1 177 681
|
1 215 022
|
1 130 575
|
1 178 302
|
333 388
|
207 002
|
361 104
|
349 656
|
462 790
|
599 593
|
2 405 899
|
1 367 767
|
841 885
|
|
| Other Long-Term Assets |
270 311
|
304 232
|
208 677
|
67 772
|
22 536
|
37 966
|
47 718
|
27 832
|
23 336
|
50 752
|
42 236
|
42 075
|
56 748
|
29 076
|
90 896
|
418 051
|
274 092
|
148 274
|
178 649
|
155 274
|
253 973
|
238 520
|
184 611
|
170 057
|
|
| Other Assets |
7 190
|
6 509
|
6 495
|
5 660
|
6 763
|
6 262
|
3 454
|
3 883
|
2 182
|
6 495
|
6 566
|
0
|
58 933
|
30 792
|
5 257
|
4 756
|
47 868
|
47 860
|
47 730
|
47 730
|
30
|
30
|
0
|
0
|
|
| Total Assets |
7 394 277
N/A
|
5 395 716
-27%
|
4 536 848
-16%
|
4 402 527
-3%
|
5 237 766
+19%
|
6 071 188
+16%
|
6 310 941
+4%
|
8 890 462
+41%
|
8 985 450
+1%
|
8 872 377
-1%
|
8 799 439
-1%
|
8 982 427
+2%
|
8 842 585
-2%
|
7 265 782
-18%
|
5 942 501
-18%
|
4 398 098
-26%
|
3 602 418
-18%
|
4 121 440
+14%
|
7 160 187
+74%
|
9 373 360
+31%
|
17 876 100
+91%
|
25 973 455
+45%
|
25 713 363
-1%
|
33 848 562
+32%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
262 458
|
270 037
|
243 848
|
387 452
|
387 546
|
402 698
|
440 329
|
501 239
|
609 031
|
432 132
|
638 827
|
497 746
|
696 395
|
613 281
|
521 664
|
442 766
|
383 963
|
398 910
|
493 118
|
418 205
|
569 178
|
472 514
|
473 808
|
577 488
|
|
| Accrued Liabilities |
45 908
|
230 638
|
30 170
|
26 215
|
27 516
|
31 417
|
32 030
|
43 576
|
56 206
|
42 106
|
43 748
|
40 497
|
55 080
|
40 175
|
36 342
|
24 361
|
25 585
|
28 627
|
15 768
|
27 684
|
25 971
|
133 335
|
83 346
|
132 631
|
|
| Short-Term Debt |
1 445 516
|
703 089
|
677 288
|
301 594
|
181 739
|
123 020
|
13 657
|
37 467
|
97 603
|
14 575
|
89 957
|
127 108
|
284 362
|
527 496
|
681 527
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
1 892 763
|
784 977
|
725 283
|
381 441
|
403 549
|
343 559
|
467 470
|
778 671
|
699 203
|
1 031 730
|
955 508
|
1 186 327
|
3 090 624
|
2 486 856
|
1 787 705
|
166 420
|
155 594
|
439 785
|
945 968
|
1 369 083
|
942 184
|
929 772
|
825 040
|
957 606
|
|
| Other Current Liabilities |
119 039
|
97 500
|
68 989
|
149 115
|
86 184
|
97 880
|
98 791
|
80 477
|
64 560
|
102 938
|
119 845
|
217 747
|
243 219
|
201 234
|
184 915
|
176 748
|
115 076
|
238 281
|
228 820
|
1 065 697
|
987 330
|
516 146
|
619 177
|
689 464
|
|
| Total Current Liabilities |
3 765 684
|
2 086 241
|
1 745 578
|
1 245 816
|
1 086 534
|
998 574
|
1 052 276
|
1 441 429
|
1 526 604
|
1 623 481
|
1 847 885
|
2 069 425
|
4 369 680
|
3 869 042
|
3 212 153
|
810 295
|
680 218
|
1 105 603
|
1 683 674
|
2 880 669
|
2 524 663
|
2 051 767
|
2 001 371
|
2 357 189
|
|
| Long-Term Debt |
115 462
|
370 025
|
309 776
|
369 156
|
626 545
|
1 070 035
|
1 096 211
|
1 130 294
|
2 309 094
|
4 468 725
|
4 969 232
|
5 363 402
|
3 285 775
|
2 266 911
|
2 383 976
|
2 388 884
|
1 896 358
|
1 906 361
|
4 322 890
|
4 745 027
|
4 877 511
|
2 948 051
|
2 202 023
|
3 419 453
|
|
| Deferred Income Tax |
3 209
|
1 923
|
457
|
1 704
|
1 260
|
3 850
|
5 788
|
4 029
|
1 047
|
1 834
|
2 686
|
1 691
|
44 622
|
20 844
|
2 367
|
17 569
|
6 404
|
4 194
|
3 754
|
3 534
|
1 244
|
41 726
|
24 399
|
49 677
|
|
| Minority Interest |
131 050
|
128 247
|
94 810
|
103 842
|
103 377
|
129 365
|
146 031
|
96 691
|
127 967
|
49 801
|
39 231
|
108 134
|
221 262
|
91 016
|
42 977
|
3 496
|
2 111
|
1 176
|
1 294
|
1 197
|
1 025
|
1 597
|
1 615
|
1 621
|
|
| Other Liabilities |
2 924 134
|
2 274 973
|
2 029 245
|
1 838 393
|
1 996 433
|
1 774 642
|
1 957 465
|
3 315 833
|
2 810 286
|
190 478
|
233 173
|
452 619
|
454 808
|
423 452
|
61 908
|
202 528
|
122 518
|
65 611
|
59 560
|
55 582
|
114 388
|
243 999
|
44 757
|
166 699
|
|
| Total Liabilities |
6 939 538
N/A
|
4 861 409
-30%
|
4 179 865
-14%
|
3 558 911
-15%
|
3 814 149
+7%
|
3 976 465
+4%
|
4 257 773
+7%
|
5 988 276
+41%
|
6 774 999
+13%
|
6 334 319
-7%
|
7 092 207
+12%
|
7 995 271
+13%
|
8 376 147
+5%
|
6 671 265
-20%
|
5 703 381
-15%
|
3 422 772
-40%
|
2 707 609
-21%
|
3 082 945
+14%
|
6 071 172
+97%
|
7 686 009
+27%
|
7 518 831
-2%
|
5 287 140
-30%
|
4 274 165
-19%
|
5 994 639
+40%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
515 366
|
515 366
|
515 366
|
515 366
|
515 366
|
765 366
|
765 366
|
765 366
|
765 366
|
816 366
|
716 366
|
771 366
|
846 366
|
911 391
|
1 182 476
|
898 599
|
1 568 318
|
1 578 318
|
1 592 050
|
1 633 632
|
2 445 197
|
2 445 197
|
3 445 197
|
4 405 197
|
|
| Retained Earnings |
56 990
|
609 226
|
722 045
|
289 329
|
385 355
|
455 865
|
555 783
|
0
|
284 013
|
794 083
|
189 373
|
789 052
|
1 473 740
|
1 442 759
|
2 069 054
|
1 485 258
|
2 718 014
|
3 589 285
|
4 477 062
|
4 443 893
|
780 591
|
10 543 289
|
10 889 054
|
14 114 764
|
|
| Additional Paid In Capital |
855 647
|
854 695
|
861 209
|
831 350
|
384 407
|
844 279
|
844 520
|
562 644
|
855 653
|
931 156
|
931 107
|
964 081
|
1 148 465
|
1 200 147
|
1 256 513
|
1 620 889
|
1 611 525
|
1 611 635
|
1 609 265
|
1 567 386
|
4 425 314
|
4 425 314
|
4 436 189
|
4 452 847
|
|
| Unrealized Security Profit/Loss |
661 386
|
19 341
|
1 862
|
1 294
|
151 454
|
0
|
0
|
417 843
|
508 305
|
82 857
|
74 408
|
2 738
|
18 634
|
32 366
|
45 260
|
4 346
|
5 794
|
13 975
|
17 658
|
33 527
|
42 658
|
40 600
|
82 918
|
95 079
|
|
| Treasury Stock |
178 341
|
170 342
|
103 371
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
46 539
|
0
|
46 539
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Equity |
133 537
|
36 845
|
192 314
|
215 066
|
12 966
|
29 213
|
112 500
|
1 156 332
|
202 887
|
86 404
|
8 667
|
43 499
|
10 520
|
41 896
|
85 555
|
54 558
|
438 774
|
1 423 852
|
2 347 104
|
2 896 699
|
2 663 509
|
3 231 915
|
2 585 840
|
4 786 036
|
|
| Total Equity |
454 738
N/A
|
534 306
+17%
|
356 983
-33%
|
843 616
+136%
|
1 423 616
+69%
|
2 094 723
+47%
|
2 053 168
-2%
|
2 902 185
+41%
|
2 210 451
-24%
|
2 538 058
+15%
|
1 707 232
-33%
|
987 156
-42%
|
466 438
-53%
|
594 517
+27%
|
239 120
-60%
|
975 326
+308%
|
894 809
-8%
|
1 038 495
+16%
|
1 089 015
+5%
|
1 687 351
+55%
|
10 357 269
+514%
|
20 686 315
+100%
|
21 439 198
+4%
|
27 853 923
+30%
|
|
| Total Liabilities & Equity |
7 394 277
N/A
|
5 395 716
-27%
|
4 536 848
-16%
|
4 402 527
-3%
|
5 237 766
+19%
|
6 071 188
+16%
|
6 310 941
+4%
|
8 890 462
+41%
|
8 985 450
+1%
|
8 872 377
-1%
|
8 799 439
-1%
|
8 982 427
+2%
|
8 842 585
-2%
|
7 265 782
-18%
|
5 942 501
-18%
|
4 398 098
-26%
|
3 602 418
-18%
|
4 121 440
+14%
|
7 160 187
+74%
|
9 373 360
+31%
|
17 876 100
+91%
|
25 973 455
+45%
|
25 713 363
-1%
|
33 848 562
+32%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
20
|
19
|
20
|
20
|
20
|
24
|
24
|
23
|
24
|
26
|
26
|
27
|
29
|
29
|
36
|
202
|
312
|
314
|
317
|
327
|
489
|
489
|
689
|
881
|
|
| Preferred Shares Outstanding |
0
|
0
|
0
|
0
|
0
|
0
|
20
|
20
|
20
|
10
|
0
|
0
|
0
|
13
|
13
|
2
|
2
|
2
|
2
|
0
|
0
|
0
|
0
|
0
|
|