Jin Yang Pharmaceutical Co., Ltd. (KOSDAQ:007370)
South Korea flag South Korea · Delayed Price · Currency is KRW
4,270.00
-170.00 (-3.83%)
At close: May 29, 2026

Jin Yang Pharmaceutical Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
2,7112,2041,7805,118753.5611,720
Short-Term Investments
---2,6007,890120
Trading Asset Securities
3,3493,684233.78877.271,8513,035
Cash & Short-Term Investments
6,0605,8882,0138,59510,49414,875
Cash Growth
43.26%192.43%-76.58%-18.09%-29.45%179.33%
Accounts Receivable
24,36423,06526,09821,71119,88516,670
Other Receivables
50.1680.84399.9976.1163.1442.37
Receivables
24,41423,44526,49821,78820,24817,012
Inventory
14,99115,62214,62317,35315,4239,060
Prepaid Expenses
929.3548.3157.1544.0142.8335.76
Other Current Assets
755.311,021162.97248.99120.0721.97
Total Current Assets
47,15046,02443,35548,02946,32941,005
Property, Plant & Equipment
47,47747,66443,49444,13643,79439,363
Long-Term Investments
3,8721,7741,2433,0874,2794,238
Other Intangible Assets
5,6376,5375,0434,8863,5731,870
Long-Term Accounts Receivable
----0-0
Long-Term Deferred Charges
764.02848.881,1881,6301,407-
Other Long-Term Assets
166,449164,814132,95117,83815,06212,025
Total Assets
271,492267,809227,574119,907114,44498,502
Accounts Payable
3,1253,0284,2062,4442,536265.09
Accrued Expenses
3,2812,5712,5342,5542,2452,061
Short-Term Debt
843.061,1202,7817,52519,53019,822
Current Portion of Long-Term Debt
75,00075,3001,200---
Current Portion of Leases
270.59195.31221.68207.76198.45113.92
Current Income Taxes Payable
--998.771,3741,442678.45
Current Unearned Revenue
145.9779.6413.968.911.9353.21
Other Current Liabilities
8,0455,7847,83810,3984,9744,149
Total Current Liabilities
90,71188,07819,79424,51130,93827,143
Long-Term Debt
--75,300---
Long-Term Leases
257.48141.32179.2498.45253.4676.7
Pension & Post-Retirement Benefits
--620.19431.1302.76-
Long-Term Deferred Tax Liabilities
17,36117,0739,7074,5504,7573,688
Other Long-Term Liabilities
3,1842,6592,0961,5586182,277
Total Liabilities
111,513107,952107,69631,14936,86933,184
Common Stock
7,0677,0676,3266,0086,0006,000
Additional Paid-In Capital
23,14223,14213,3669,7379,6259,625
Retained Earnings
109,687109,56688,66661,32351,88440,626
Treasury Stock
---5,643-5,643-5,643-3,069
Comprehensive Income & Other
20,08120,08117,16417,33315,70912,136
Shareholders' Equity
159,978159,857119,87888,75877,57565,318
Total Liabilities & Equity
271,492267,809227,574119,907114,44498,502
Total Debt
76,37176,75779,6827,83119,98220,013
Net Cash (Debt)
-70,311-70,869-77,668764.1-9,488-5,138
Net Cash Per Share
--5690.03-6298.4061.24-705.79-450.13
Filing Date Shares Outstanding
-14.1311.4310.7910.7811.18
Total Common Shares Outstanding
-14.1311.4310.7910.7811.18
Working Capital
-43,560-42,05423,56123,51815,39113,862
Book Value Per Share
-11309.6210490.958224.037199.145843.71
Tangible Book Value
154,342153,320114,83483,87174,00263,448
Tangible Book Value Per Share
-10847.1510049.587771.286867.595676.41
Land
31,66531,65227,36626,90123,98319,589
Buildings
18,93718,93718,90618,90618,90618,906
Machinery
21,07321,02519,70019,27218,78219,455
Construction In Progress
-17.286.6321,157448.88