Cheryong Electric Co.,Ltd. (KOSDAQ:033100)
South Korea flag South Korea · Delayed Price · Currency is KRW
49,700
+1,100 (2.26%)
Mar 20, 2026, 3:30 PM KST

Cheryong Electric 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
50,60123,37422,15614,5996,623
Short-Term Investments
134,698112,00028,0002,00029,000
Cash & Short-Term Investments
185,299135,37450,15616,59935,623
Cash Growth
36.88%169.91%202.17%-53.41%21.25%
Accounts Receivable
14,01419,01039,64822,7617,587
Other Receivables
1,4651,726636.13218.31160.85
Receivables
15,47820,73640,28422,9807,747
Inventory
32,40544,17743,04025,70510,826
Prepaid Expenses
5,6499,75666.4645.0574.92
Other Current Assets
103.215,398986.61,153671.47
Total Current Assets
238,936215,441134,53366,48154,942
Property, Plant & Equipment
21,29420,51019,22618,01718,443
Long-Term Investments
4,5133,9602,9232,0881,806
Other Intangible Assets
344.25225.77200.33107.46113.64
Long-Term Deferred Tax Assets
--215.84601.591,363
Long-Term Deferred Charges
----139.48
Other Long-Term Assets
1,8251,6311,575595.46603.63
Total Assets
266,912241,768158,67387,89177,412
Accounts Payable
5,1288,88412,7665,4653,834
Accrued Expenses
7,98512,8531,2851,037824.87
Current Portion of Leases
281.74217.38170.7181.4164.34
Current Income Taxes Payable
8,26715,32214,0442,241-
Current Unearned Revenue
--1,2253,7288,831
Other Current Liabilities
4,4706,4083,6573,9274,355
Total Current Liabilities
26,13243,68533,14816,57918,009
Long-Term Leases
447.11476.56239.3161.2569.84
Long-Term Deferred Tax Liabilities
325.38302.55---
Other Long-Term Liabilities
662.96609.54481.61420.92179.95
Total Liabilities
27,56845,07333,86917,06118,258
Common Stock
8,0318,0318,0318,0318,031
Additional Paid-In Capital
17,16917,16917,16917,16917,169
Retained Earnings
214,144171,49499,60458,60346,926
Comprehensive Income & Other
----12,974-12,974
Shareholders' Equity
239,344196,694124,80470,83059,153
Total Liabilities & Equity
266,912241,768158,67387,89177,412
Total Debt
728.85693.94410.01242.65234.18
Net Cash (Debt)
184,571134,68049,74616,35635,389
Net Cash Growth
37.04%170.74%204.15%-53.78%21.79%
Net Cash Per Share
-8384.793097.021018.272203.22
Filing Date Shares Outstanding
-16.0616.0616.0616.06
Total Common Shares Outstanding
-16.0616.0616.0616.06
Working Capital
212,804171,756101,38549,90236,934
Book Value Per Share
-12245.647769.974409.673682.71
Tangible Book Value
239,000196,469124,60470,72259,040
Tangible Book Value Per Share
-12231.587757.504402.983675.63
Land
7,6647,6647,6647,6647,664
Buildings
15,11115,1028,5818,6679,100
Machinery
22,08420,0782,4821,4431,443
Construction In Progress
1,0741,107---
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.