SNT Motiv Co Ltd
KRX:064960

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SNT Motiv Co Ltd Logo
SNT Motiv Co Ltd
KRX:064960
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Price: 41 900 KRW -1.53%
Market Cap: 577.6B KRW
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Balance Sheet

Balance Sheet Decomposition
SNT Motiv Co Ltd

Current Assets 837.8B
Cash & Short-Term Investments 453.8B
Receivables 195.9B
Other Current Assets 188.2B
Non-Current Assets 396.2B
Long-Term Investments 25.6B
PP&E 363.7B
Intangibles 6.4B
Other Non-Current Assets 472m
Current Liabilities 237.8B
Accounts Payable 130.3B
Accrued Liabilities 8.8B
Other Current Liabilities 98.7B
Non-Current Liabilities 46.4B
Long-Term Debt 52.2m
Other Non-Current Liabilities 46.4B

Balance Sheet
SNT Motiv Co Ltd

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Balance Sheet
Currency: KRW
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
93 381
141 546
195 602
226 391
201 110
295 493
251 177
242 837
203 744
155 446
Cash
186
119
92
112
80
84
84
73
84
52
Cash Equivalents
93 195
141 427
195 510
226 279
201 030
295 409
251 093
242 764
203 661
155 394
Short-Term Investments
306
302
302
302
29 373
0
76 070
100 000
152 546
213 682
Total Receivables
307 272
322 600
347 703
321 989
281 493
197 386
187 100
174 298
225 771
214 215
Accounts Receivables
289 522
313 321
337 682
309 527
272 066
187 480
182 006
170 973
215 708
183 440
Other Receivables
17 750
9 279
10 021
12 462
9 427
9 906
5 094
3 325
10 063
30 776
Inventory
161 493
148 663
142 149
131 110
133 170
130 080
122 621
140 024
168 732
164 498
Other Current Assets
25 567
32 291
30 569
27 962
34 906
2 897
6 957
9 124
4 114
51 450
Total Current Assets
588 020
645 404
716 324
707 755
680 052
625 855
643 925
666 284
754 908
799 291
PP&E Net
499 088
499 190
495 388
485 625
484 052
377 391
373 585
368 664
366 685
357 558
PP&E Gross
0
0
0
0
0
377 391
373 585
368 664
366 685
357 558
Accumulated Depreciation
0
0
0
0
0
460
477
819
1 213
265
Intangible Assets
11 568
12 547
15 806
18 687
17 360
14 500
12 207
11 351
7 380
6 313
Goodwill
260
260
260
1 357
2 255
1 995
1 995
1 995
1 995
898
Note Receivable
2 850
1 908
3 036
1 674
2 457
1 074
900
731
20 505
400
Long-Term Investments
8 249
8 294
8 476
8 239
8 059
1 600
42 970
83 657
56 896
46 588
Other Long-Term Assets
4 994
5 162
8 866
2 974
2 285
16 490
17 346
17 114
17 118
132
Other Assets
260
260
260
1 357
2 255
1 995
1 995
1 995
1 995
898
Total Assets
1 115 027
N/A
1 172 763
+5%
1 248 156
+6%
1 226 311
-2%
1 196 520
-2%
1 038 906
-13%
1 092 928
+5%
1 149 796
+5%
1 225 487
+7%
1 211 181
-1%
Liabilities
Accounts Payable
208 916
184 617
186 677
208 272
191 254
144 086
178 314
132 876
179 768
132 336
Accrued Liabilities
7 802
9 262
4 635
4 912
4 420
2 710
2 670
2 596
2 572
2 597
Short-Term Debt
20 000
347
290
0
6 510
0
0
0
0
0
Current Portion of Long-Term Debt
5 530
0
0
0
0
271
359
384
170
82
Other Current Liabilities
104 593
109 416
176 979
91 571
79 298
94 057
92 716
98 819
107 163
84 953
Total Current Liabilities
346 841
303 642
368 581
304 754
281 482
241 124
274 060
234 675
289 672
219 967
Long-Term Debt
0
0
0
0
0
78
474
178
41
82
Deferred Income Tax
59 799
59 995
52 692
51 553
51 907
26 793
23 801
27 924
22 000
25 617
Minority Interest
83 130
108 941
108 187
108 267
97 245
0
0
0
0
0
Other Liabilities
48 236
40 246
38 105
41 231
38 322
34 942
33 868
29 443
34 747
22 188
Total Liabilities
538 005
N/A
512 824
-5%
567 565
+11%
505 804
-11%
468 956
-7%
302 937
-35%
332 203
+10%
292 219
-12%
346 460
+19%
267 854
-23%
Equity
Common Stock
73 116
73 116
73 116
73 116
73 116
73 116
73 116
73 116
73 116
73 116
Retained Earnings
435 856
509 179
531 326
572 134
613 027
598 985
626 221
694 981
765 057
830 034
Additional Paid In Capital
38 815
31 266
28 186
29 276
35 292
36 007
36 007
36 007
36 087
36 087
Unrealized Security Profit/Loss
150
281
345
102
158
24
507
14 467
3 473
631
Treasury Stock
5 584
945
0
0
39 583
24 573
26 870
22 063
51 813
57 824
Other Equity
34 670
47 043
47 617
45 879
45 554
52 458
52 758
61 069
60 053
61 285
Total Equity
577 022
N/A
659 939
+14%
680 590
+3%
720 507
+6%
727 564
+1%
735 969
+1%
760 724
+3%
857 577
+13%
879 027
+3%
943 328
+7%
Total Liabilities & Equity
1 115 027
N/A
1 172 763
+5%
1 248 156
+6%
1 226 311
-2%
1 196 520
-2%
1 038 906
-13%
1 092 928
+5%
1 149 796
+5%
1 225 487
+7%
1 211 181
-1%
Shares Outstanding
Common Shares Outstanding
14
14
15
15
13
14
14
14
13
13
Preferred Shares Outstanding
0
0
0
0
0
0
0
0
0
0

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