LX Semicon Co Ltd
KRX:108320

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LX Semicon Co Ltd Logo
LX Semicon Co Ltd
KRX:108320
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Price: 59 300 KRW 1.19% Market Closed
Market Cap: 964.2B KRW
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Balance Sheet

Balance Sheet Decomposition
LX Semicon Co Ltd

Current Assets 1.1T
Cash & Short-Term Investments 435.4B
Receivables 332.2B
Other Current Assets 303.3B
Non-Current Assets 340.8B
Long-Term Investments 48.8B
PP&E 135.4B
Intangibles 83.2B
Other Non-Current Assets 73.6B
Current Liabilities 308.6B
Accounts Payable 185.1B
Accrued Liabilities 40.3B
Other Current Liabilities 83.2B
Non-Current Liabilities 45.7B
Long-Term Debt 17.7B
Other Non-Current Liabilities 28.1B

Balance Sheet
LX Semicon 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
189 609
229 479
262 888
74 727
222 527
109 567
100 567
135 614
188 365
184 417
Cash
0
5
10
0
0
0
0
0
0
7 617
Cash Equivalents
189 609
229 474
262 878
74 727
222 527
109 567
100 567
135 614
188 365
176 800
Short-Term Investments
25 000
0
0
200 000
0
100 271
151 009
470 000
130 501
120 514
Total Receivables
93 488
113 111
111 647
149 534
161 045
163 848
224 861
195 724
173 687
208 387
Accounts Receivables
85 459
111 347
111 493
140 701
159 387
160 298
211 090
177 009
145 719
206 375
Other Receivables
8 029
1 764
154
8 833
1 658
3 550
13 771
18 715
27 968
2 012
Inventory
23 660
59 511
58 285
61 011
104 091
118 843
135 265
201 118
482 556
335 891
Other Current Assets
4 866
10 440
7 678
12 477
20 499
26 704
17 630
28 608
34 539
53 676
Total Current Assets
336 623
412 541
440 499
497 749
508 163
519 233
629 332
1 031 063
1 009 649
902 886
PP&E Net
15 008
15 040
15 267
15 209
22 953
31 623
41 793
57 942
122 180
125 940
PP&E Gross
15 008
15 040
15 267
15 209
22 953
31 623
41 793
57 942
122 180
125 940
Accumulated Depreciation
11 394
13 158
17 564
19 094
22 878
30 534
38 364
52 087
73 047
64 381
Intangible Assets
7 262
14 058
8 092
8 672
28 982
24 767
24 231
22 303
35 886
46 024
Goodwill
0
9 044
9 044
9 044
27 913
27 913
27 913
27 913
27 913
27 913
Note Receivable
670
629
371
1 421
4 739
10 456
11 102
9 869
6 951
4 157
Long-Term Investments
9 970
5 497
3 314
3 358
5 445
4 296
4 089
11 668
39 731
47 935
Other Long-Term Assets
6 851
6 198
9 411
8 841
9 364
11 445
12 141
11 773
47 309
50 210
Other Assets
0
9 044
9 044
9 044
27 913
27 913
27 913
27 913
27 913
27 913
Total Assets
376 383
N/A
463 008
+23%
485 998
+5%
544 294
+12%
607 558
+12%
629 733
+4%
750 602
+19%
1 172 531
+56%
1 289 619
+10%
1 205 065
-7%
Liabilities
Accounts Payable
56 964
83 304
70 323
97 214
114 567
112 842
144 000
213 463
196 211
97 601
Accrued Liabilities
4 440
11 211
4 933
5 484
3 827
4 275
4 556
13 471
9 849
11 981
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
0
0
0
0
0
2 801
2 857
3 577
8 159
7 643
Other Current Liabilities
13 757
15 160
25 045
26 663
36 830
24 934
57 676
133 073
110 183
90 112
Total Current Liabilities
75 161
109 674
100 301
129 360
155 224
144 852
209 089
363 583
324 402
207 337
Long-Term Debt
0
0
0
0
0
7 078
5 380
3 928
7 728
13 481
Other Liabilities
2 432
5 756
5 019
2 708
5 721
5 597
3 849
4 687
7 128
7 483
Total Liabilities
77 593
N/A
115 430
+49%
105 320
-9%
132 069
+25%
160 945
+22%
157 526
-2%
218 318
+39%
372 198
+70%
339 258
-9%
228 301
-33%
Equity
Common Stock
8 132
8 132
8 132
8 132
8 132
8 132
8 132
8 132
8 132
8 132
Retained Earnings
225 305
261 139
294 733
326 104
362 626
388 164
448 264
715 842
866 667
893 361
Additional Paid In Capital
71 706
76 343
76 343
76 343
76 343
76 343
76 343
76 343
76 343
76 343
Unrealized Security Profit/Loss
208
1 978
1 475
1 706
381
381
381
381
992
1 204
Treasury Stock
6 537
0
0
0
0
0
0
0
0
0
Other Equity
23
14
5
60
107
52
74
396
210
131
Total Equity
298 791
N/A
347 578
+16%
380 678
+10%
412 225
+8%
446 614
+8%
472 207
+6%
532 285
+13%
800 333
+50%
950 361
+19%
976 764
+3%
Total Liabilities & Equity
376 383
N/A
463 008
+23%
485 998
+5%
544 294
+12%
607 558
+12%
629 733
+4%
750 602
+19%
1 172 531
+56%
1 289 619
+10%
1 205 065
-7%
Shares Outstanding
Common Shares Outstanding
16
16
16
16
16
16
16
16
16
16

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