KC Feed Co., Ltd. (KOSDAQ:025880)
South Korea flag South Korea · Delayed Price · Currency is KRW
2,445.00
-30.00 (-1.21%)
At close: Jun 30, 2026

KC Feed 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
16,4166,2144,0185,9727,38713,941
Short-Term Investments
12,8556,85510,1657,66510,6659,065
Cash & Short-Term Investments
29,27113,06914,18313,63718,05223,006
Cash Growth
38.10%-7.85%4.00%-24.46%-21.53%9.82%
Accounts Receivable
14,79416,89216,52719,53316,25114,340
Other Receivables
609.58129.68642.37722.41550.1692.73
Receivables
15,40317,02217,16920,25516,80114,433
Inventory
14,00910,30614,8119,63614,63613,045
Other Current Assets
1,9101,2601,849579.3767.041,180
Total Current Assets
60,59241,65748,01244,10750,25651,664
Property, Plant & Equipment
35,36435,41436,55737,48827,40724,293
Long-Term Investments
286.611,204860.62531.531,04493.37
Other Intangible Assets
3,6543,561724.451,186738.8768.04
Long-Term Deferred Tax Assets
4,5074,5114,3434,0854,1554,677
Other Long-Term Assets
1,4561,4291,4741,6601,3521,343
Total Assets
118,065100,350103,30398,66697,22995,242
Accounts Payable
3,569440.032,6131,758363.692,909
Accrued Expenses
159.79181.8525.48508.63326.4788.06
Short-Term Debt
21,47410,53719,80322,81523,60224,741
Current Portion of Long-Term Debt
1,9241,9241,3941,8005,7722,980
Current Portion of Leases
171.42195.42239.2265.43148.69118.19
Current Income Taxes Payable
758.18790.64934.2275.12499.92493.39
Other Current Liabilities
6,0892,1213,1312,9693,2441,313
Total Current Liabilities
34,14616,19028,64030,39133,95732,643
Long-Term Debt
2,6002,6001,9241,3941,8214,560
Long-Term Leases
197.85240.62402.44377.68130.9368.75
Pension & Post-Retirement Benefits
160.97140.93237.11106.8788.87121.76
Other Long-Term Liabilities
102.96146.88129.81180.05238.18596.89
Total Liabilities
37,20819,31931,33332,45036,23637,990
Common Stock
8,3588,3588,3588,3588,3588,358
Additional Paid-In Capital
9,1449,9569,9569,9569,9569,956
Retained Earnings
62,95063,18254,35748,77543,62939,912
Treasury Stock
-1,743-1,743-1,743-1,743-1,743-1,743
Comprehensive Income & Other
1,111299.31299.31299.31299.31299.31
Total Common Equity
79,82080,05271,22765,64560,50056,783
Minority Interest
1,036979.7743.38571.58493.16468.73
Shareholders' Equity
80,85781,03271,97066,21760,99357,251
Total Liabilities & Equity
118,065100,350103,30398,66697,22995,242
Total Debt
26,36815,49723,76326,65331,47532,468
Net Cash (Debt)
2,903-2,428-9,580-13,016-13,423-9,462
Net Cash Per Share
184.04-153.80-606.71-824.56-850.34-599.41
Filing Date Shares Outstanding
15.7915.7915.7915.7915.7915.79
Total Common Shares Outstanding
15.7915.7915.7915.7915.7915.79
Working Capital
26,44625,46719,37213,71616,29919,021
Book Value Per Share
5056.695071.354512.274158.673832.713597.22
Tangible Book Value
76,16776,49170,50264,46059,76156,015
Tangible Book Value Per Share
4825.234845.784466.384083.563785.903548.56
Land
11,31511,31511,31511,3069,7438,710
Buildings
27,88127,87327,79827,48419,81719,049
Machinery
24,00023,98822,91822,32520,98919,646
Construction In Progress
929.35335.2653.7424.34585.3998.44