Samsung Electronics Co., Ltd. (FRA:SSU)
Germany flag Germany · Delayed Price · Currency is EUR
2,350.00
+20.00 (0.86%)
At close: Jan 30, 2026

Samsung Electronics Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
125,847,10053,705,57969,080,89349,680,71039,031,415
Short-Term Investments
-58,909,33423,299,20565,517,49685,078,020
Trading Asset Securities
-36,87727,11229,08040,757
Cash & Short-Term Investments
125,847,100112,651,79092,407,210115,227,286124,150,192
Cash Growth
11.71%21.91%-19.80%-7.19%-0.40%
Accounts Receivable
51,127,60043,623,07336,647,39335,721,56340,713,415
Other Receivables
-9,622,9746,633,2486,149,2094,497,257
Receivables
51,127,60053,246,04743,280,64141,870,77245,210,672
Inventory
52,636,80051,754,86551,625,87452,187,86641,384,404
Prepaid Expenses
-3,362,8243,366,1302,867,8232,336,252
Other Current Assets
-6,046,7405,256,7026,316,8345,081,665
Total Current Assets
229,611,500227,062,266195,936,557218,470,581218,163,185
Property, Plant & Equipment
215,304,800205,945,209187,256,262168,045,388149,928,539
Long-Term Investments
48,030,20024,348,79820,680,13523,696,34924,423,434
Goodwill
-7,168,5416,457,6196,014,4225,844,259
Other Intangible Assets
29,480,60016,570,02516,284,24314,118,31414,155,075
Long-Term Deferred Tax Assets
-14,236,46810,211,7975,101,3184,261,214
Long-Term Deferred Charges
---85,018236,910
Other Long-Term Assets
44,515,00019,200,64119,079,36712,893,1179,608,542
Total Assets
566,942,100514,531,948455,905,980448,424,507426,621,158
Accounts Payable
13,039,40012,370,17711,319,82410,644,68613,453,351
Accrued Expenses
-29,613,25826,013,27329,211,48727,928,031
Short-Term Debt
-13,172,5047,114,6015,147,31513,687,793
Current Portion of Long-Term Debt
-1,106,764310,436215,143518,066
Current Portion of Leases
-1,100,526998,439874,019811,902
Current Income Taxes Payable
7,037,2004,340,1713,358,7154,250,3976,749,149
Other Current Liabilities
-31,622,89926,604,16428,001,80524,968,841
Total Current Liabilities
20,076,60093,326,29975,719,45278,344,85288,117,133
Long-Term Debt
25,239,10021,067537,618569,939509,732
Long-Term Leases
-3,929,3233,724,8503,526,8262,864,656
Long-Term Unearned Revenue
2,935,500----
Pension & Post-Retirement Benefits
-521,410456,557268,370465,884
Long-Term Deferred Tax Liabilities
-528,231620,5495,111,33223,198,205
Other Long-Term Liabilities
82,370,60014,013,54811,169,0895,853,5846,565,617
Total Liabilities
130,621,800112,339,87892,228,11593,674,903121,721,227
Common Stock
897,500897,514897,514897,514897,514
Additional Paid-In Capital
-4,403,8934,403,8934,403,8934,403,893
Retained Earnings
-370,513,188346,652,238337,946,407293,064,763
Treasury Stock
--1,811,775---
Comprehensive Income & Other
435,422,80017,684,7831,280,1301,938,328-2,128,473
Total Common Equity
436,320,300391,687,603353,233,775345,186,142296,237,697
Minority Interest
-10,504,46710,444,0909,563,4628,662,234
Shareholders' Equity
436,320,300402,192,070363,677,865354,749,604304,899,931
Total Liabilities & Equity
566,942,100514,531,948455,905,980448,424,507426,621,158
Total Debt
25,239,10019,330,18412,685,94410,333,24218,392,149
Net Cash (Debt)
100,608,00093,321,60679,721,266104,894,044105,758,043
Net Cash Growth
7.81%17.06%-24.00%-0.82%1.27%
Net Cash Per Share
15000.3613738.8311736.3715442.2415569.44
Filing Date Shares Outstanding
6,6356,7596,7936,7936,793
Total Common Shares Outstanding
6,6356,7596,7936,7936,793
Working Capital
209,534,900133,735,967120,217,105140,125,729130,046,052
Book Value Per Share
65764.6157951.2252002.2050817.4543611.38
Tangible Book Value
406,839,700367,949,037330,491,913325,053,406276,238,363
Tangible Book Value Per Share
61321.1354439.0348654.2047853.5640667.13
Land
-10,435,00110,157,96310,024,5699,943,570
Buildings
-82,415,39473,689,95167,713,80862,651,459
Machinery
-373,276,338328,561,492303,000,627274,909,571
Construction In Progress
-53,117,25546,720,32833,607,56418,009,324
Source: S&P Global Market Intelligence. Standard template. Financial Sources.