S1 Corp
KRX:012750
Balance Sheet
Balance Sheet Decomposition
S1 Corp
S1 Corp
Balance Sheet
S1 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 |
20 967
|
33 003
|
47 306
|
61 132
|
73 835
|
83 282
|
89 743
|
99 981
|
72 755
|
107 576
|
103 120
|
76 089
|
90 417
|
69 798
|
125 589
|
144 098
|
171 114
|
147 433
|
200 582
|
213 173
|
218 900
|
238 856
|
241 862
|
213 054
|
|
| Cash Equivalents |
20 967
|
33 003
|
47 306
|
61 132
|
73 835
|
83 282
|
89 743
|
99 981
|
72 755
|
107 576
|
103 120
|
76 089
|
90 417
|
69 798
|
125 589
|
144 098
|
171 114
|
147 433
|
200 582
|
213 173
|
218 900
|
238 856
|
241 862
|
213 054
|
|
| Short-Term Investments |
76 805
|
23 206
|
33 500
|
20 000
|
91 000
|
136 507
|
235 500
|
321 500
|
245 400
|
217 558
|
365 000
|
331 580
|
243 176
|
60 381
|
17 466
|
98 324
|
208 407
|
252 836
|
226 751
|
299 803
|
371 782
|
385 319
|
483 301
|
617 709
|
|
| Total Receivables |
27 519
|
42 902
|
45 979
|
54 897
|
60 418
|
45 062
|
38 894
|
48 801
|
39 306
|
78 044
|
102 404
|
107 296
|
170 407
|
177 832
|
156 955
|
150 854
|
149 603
|
158 153
|
195 417
|
168 588
|
180 460
|
225 681
|
265 704
|
277 664
|
|
| Accounts Receivables |
22 578
|
27 831
|
42 164
|
49 045
|
55 106
|
40 662
|
34 555
|
45 661
|
39 231
|
77 949
|
102 242
|
106 701
|
169 443
|
175 423
|
149 381
|
145 028
|
145 972
|
154 388
|
192 364
|
165 217
|
155 537
|
206 122
|
236 754
|
249 661
|
|
| Other Receivables |
4 941
|
15 071
|
3 815
|
5 852
|
5 312
|
4 400
|
4 339
|
3 140
|
75
|
95
|
162
|
595
|
964
|
2 409
|
7 574
|
5 826
|
3 631
|
3 765
|
3 053
|
3 371
|
24 923
|
19 559
|
28 950
|
28 003
|
|
| Inventory |
9 895
|
22 265
|
22 176
|
27 267
|
16 722
|
16 915
|
16 387
|
14 725
|
22 536
|
29 804
|
35 340
|
46 452
|
48 383
|
56 358
|
49 465
|
35 837
|
41 174
|
42 946
|
41 408
|
43 993
|
16 081
|
17 702
|
16 004
|
16 518
|
|
| Other Current Assets |
1 025
|
2 424
|
1 916
|
1 798
|
4 135
|
4 827
|
4 431
|
3 484
|
2 847
|
1 648
|
2 233
|
3 309
|
4 955
|
9 647
|
6 069
|
5 803
|
5 021
|
60 089
|
69 025
|
72 188
|
77 132
|
82 864
|
89 635
|
96 780
|
|
| Total Current Assets |
136 211
|
123 801
|
150 877
|
165 094
|
246 110
|
286 594
|
384 957
|
488 490
|
382 844
|
434 631
|
608 098
|
564 727
|
557 337
|
374 015
|
355 544
|
434 917
|
575 318
|
661 458
|
733 184
|
797 745
|
864 355
|
950 422
|
1 096 506
|
1 221 726
|
|
| PP&E Net |
220 556
|
233 208
|
253 201
|
253 296
|
250 214
|
242 296
|
227 765
|
209 153
|
219 518
|
284 637
|
333 120
|
393 896
|
440 699
|
465 429
|
469 877
|
474 899
|
462 426
|
459 229
|
496 968
|
524 355
|
527 969
|
520 776
|
510 187
|
536 595
|
|
| PP&E Gross |
220 556
|
233 208
|
253 201
|
253 296
|
250 214
|
242 296
|
227 765
|
209 153
|
219 518
|
284 637
|
333 120
|
393 896
|
440 699
|
465 429
|
469 877
|
474 899
|
462 426
|
459 229
|
496 968
|
524 355
|
527 969
|
520 776
|
510 187
|
536 595
|
|
| Accumulated Depreciation |
161 003
|
176 082
|
201 305
|
230 423
|
254 389
|
276 148
|
305 348
|
325 544
|
334 566
|
310 963
|
337 728
|
364 671
|
415 041
|
466 959
|
511 193
|
558 592
|
605 784
|
649 062
|
707 771
|
755 498
|
805 255
|
862 007
|
911 587
|
913 591
|
|
| Intangible Assets |
22 801
|
21 538
|
20 677
|
16 575
|
13 302
|
11 342
|
11 827
|
11 714
|
10 049
|
28 803
|
30 794
|
31 771
|
64 578
|
192 982
|
169 800
|
150 538
|
130 784
|
115 169
|
111 834
|
104 472
|
91 826
|
77 629
|
69 000
|
59 280
|
|
| Goodwill |
1 445
|
1 084
|
722
|
361
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
|
| Note Receivable |
1 527
|
496
|
534
|
681
|
606
|
581
|
373
|
404
|
451
|
74 731
|
77 509
|
73 883
|
74 209
|
75 222
|
49 756
|
48 775
|
51 381
|
54 597
|
51 557
|
53 471
|
26 796
|
33 177
|
30 977
|
33 176
|
|
| Long-Term Investments |
4 659
|
4 007
|
2 956
|
1 304
|
1 543
|
1 589
|
1 431
|
1 638
|
140 750
|
107 643
|
7 471
|
6 279
|
10 386
|
11 049
|
7 151
|
5 939
|
6 299
|
13 595
|
15 394
|
30 356
|
56 095
|
54 154
|
58 976
|
59 975
|
|
| Other Long-Term Assets |
36 410
|
59 489
|
58 603
|
67 065
|
65 391
|
65 411
|
69 719
|
70 248
|
80 167
|
811
|
727
|
10 389
|
6 872
|
13 272
|
14 205
|
17 216
|
27 235
|
50 713
|
57 930
|
68 198
|
77 839
|
111 408
|
85 767
|
83 854
|
|
| Other Assets |
1 445
|
1 084
|
722
|
361
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
328 093
|
|
| Total Assets |
420 720
N/A
|
441 455
+5%
|
486 126
+10%
|
503 655
+4%
|
577 165
+15%
|
607 813
+5%
|
696 072
+15%
|
781 647
+12%
|
833 778
+7%
|
931 256
+12%
|
1 057 719
+14%
|
1 080 945
+2%
|
1 154 081
+7%
|
1 460 061
+27%
|
1 394 427
-4%
|
1 460 377
+5%
|
1 581 537
+8%
|
1 682 854
+6%
|
1 794 960
+7%
|
1 906 690
+6%
|
1 972 973
+3%
|
2 075 659
+5%
|
2 179 505
+5%
|
2 322 699
+7%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
17 533
|
21 716
|
21 960
|
25 004
|
24 427
|
23 768
|
20 316
|
17 121
|
28 280
|
35 431
|
43 558
|
62 635
|
60 103
|
87 730
|
95 083
|
92 004
|
83 582
|
98 981
|
114 123
|
106 052
|
101 488
|
117 878
|
123 932
|
141 100
|
|
| Accrued Liabilities |
15 593
|
16 518
|
20 341
|
26 628
|
32 889
|
38 940
|
43 822
|
42 073
|
35 590
|
47 284
|
61 424
|
55 713
|
65 940
|
75 657
|
88 859
|
92 902
|
89 938
|
93 564
|
72 806
|
78 408
|
75 745
|
78 706
|
84 505
|
87 937
|
|
| Short-Term Debt |
0
|
0
|
1 000
|
1 000
|
1 000
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
190 000
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
3 000
|
3 000
|
3 000
|
3 000
|
3 000
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
11 755
|
18 357
|
18 666
|
20 526
|
21 541
|
18 283
|
|
| Other Current Liabilities |
59 952
|
61 562
|
53 255
|
63 698
|
70 467
|
76 391
|
91 528
|
91 408
|
76 284
|
81 876
|
89 946
|
72 200
|
96 968
|
107 513
|
144 366
|
103 124
|
119 263
|
113 546
|
185 397
|
210 130
|
221 373
|
227 627
|
239 246
|
249 332
|
|
| Total Current Liabilities |
96 078
|
102 796
|
99 557
|
119 330
|
131 783
|
139 099
|
155 666
|
150 603
|
140 154
|
164 592
|
194 927
|
190 548
|
223 012
|
460 899
|
328 307
|
288 031
|
292 782
|
306 091
|
384 081
|
412 946
|
417 273
|
444 737
|
469 224
|
496 653
|
|
| Long-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
15 097
|
37 259
|
31 268
|
26 411
|
17 308
|
38 334
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
642
|
155
|
746
|
545
|
646
|
8 562
|
5 361
|
0
|
5 574
|
5 807
|
0
|
0
|
0
|
0
|
2 631
|
2 871
|
6 204
|
11 040
|
14 485
|
8 374
|
|
| Minority Interest |
5 192
|
5 797
|
6 745
|
5 477
|
6 326
|
7 463
|
9 526
|
12 011
|
13 003
|
16 342
|
24 491
|
31 650
|
37 027
|
42 288
|
263
|
0
|
9
|
17
|
26
|
25
|
25
|
23
|
23
|
10
|
|
| Other Liabilities |
29 164
|
36 445
|
40 266
|
43 783
|
50 264
|
58 652
|
51 596
|
58 739
|
59 471
|
75 847
|
96 357
|
85 374
|
81 989
|
77 622
|
85 763
|
72 401
|
80 917
|
114 445
|
65 544
|
69 429
|
75 332
|
70 481
|
80 582
|
118 667
|
|
| Total Liabilities |
130 434
N/A
|
145 037
+11%
|
146 568
+1%
|
168 590
+15%
|
189 015
+12%
|
205 370
+9%
|
217 534
+6%
|
221 897
+2%
|
213 274
-4%
|
265 343
+24%
|
321 137
+21%
|
307 572
-4%
|
347 602
+13%
|
586 616
+69%
|
414 334
-29%
|
360 431
-13%
|
373 709
+4%
|
420 554
+13%
|
467 379
+11%
|
522 530
+12%
|
530 101
+1%
|
552 693
+4%
|
581 622
+5%
|
662 037
+14%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
19 000
|
|
| Retained Earnings |
77 721
|
112 836
|
154 462
|
197 817
|
249 252
|
302 818
|
375 655
|
453 491
|
511 601
|
608 663
|
677 824
|
713 896
|
746 155
|
813 992
|
920 891
|
1 040 421
|
1 148 522
|
1 203 001
|
1 267 599
|
1 324 033
|
1 378 587
|
1 460 752
|
1 535 056
|
1 596 380
|
|
| Additional Paid In Capital |
193 613
|
194 832
|
195 975
|
196 664
|
196 174
|
196 199
|
195 034
|
194 383
|
193 979
|
193 790
|
193 457
|
193 127
|
193 066
|
192 914
|
192 914
|
192 914
|
192 914
|
192 914
|
192 914
|
192 914
|
192 914
|
192 914
|
192 914
|
192 914
|
|
| Unrealized Security Profit/Loss |
86
|
704
|
1 068
|
151
|
56
|
94
|
0
|
0
|
0
|
5 390
|
5 063
|
4 108
|
4 556
|
3 422
|
3 161
|
3 775
|
3 821
|
3 825
|
4 386
|
4 770
|
7 343
|
5 880
|
6 338
|
4 760
|
|
| Treasury Stock |
498
|
31 318
|
31 309
|
78 562
|
76 219
|
115 479
|
111 150
|
107 124
|
104 074
|
160 455
|
158 428
|
156 272
|
156 123
|
155 751
|
155 751
|
155 751
|
155 751
|
155 751
|
155 751
|
155 751
|
155 751
|
155 751
|
155 751
|
155 751
|
|
| Other Equity |
365
|
365
|
364
|
298
|
0
|
0
|
0
|
0
|
0
|
475
|
334
|
485
|
175
|
131
|
121
|
413
|
676
|
688
|
566
|
806
|
779
|
172
|
327
|
3 360
|
|
| Total Equity |
290 286
N/A
|
296 418
+2%
|
339 559
+15%
|
335 065
-1%
|
388 150
+16%
|
402 444
+4%
|
478 538
+19%
|
559 750
+17%
|
620 504
+11%
|
665 913
+7%
|
736 582
+11%
|
773 373
+5%
|
806 479
+4%
|
873 445
+8%
|
980 093
+12%
|
1 099 945
+12%
|
1 207 828
+10%
|
1 262 301
+5%
|
1 327 581
+5%
|
1 384 159
+4%
|
1 442 871
+4%
|
1 522 966
+6%
|
1 597 883
+5%
|
1 660 661
+4%
|
|
| Total Liabilities & Equity |
420 720
N/A
|
441 455
+5%
|
486 126
+10%
|
503 655
+4%
|
577 165
+15%
|
607 813
+5%
|
696 072
+15%
|
781 647
+12%
|
833 778
+7%
|
931 256
+12%
|
1 057 719
+14%
|
1 080 945
+2%
|
1 154 081
+7%
|
1 460 061
+27%
|
1 394 427
-4%
|
1 460 377
+5%
|
1 581 537
+8%
|
1 682 854
+6%
|
1 794 960
+7%
|
1 906 690
+6%
|
1 972 973
+3%
|
2 075 659
+5%
|
2 179 505
+5%
|
2 322 699
+7%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
38
|
37
|
37
|
35
|
35
|
34
|
34
|
34
|
35
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
34
|
|