Cheryong Electric Co.,Ltd. (KOSDAQ:033100)
South Korea flag South Korea · Delayed Price · Currency is KRW
67,000
+4,800 (7.72%)
May 21, 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
14,01419,01029,99722,7617,587
Other Receivables
1,4651,726636.13218.31160.85
Receivables
15,47820,73630,63322,9807,747
Inventory
32,40544,17743,04025,70510,826
Prepaid Expenses
5,6499,75666.4645.0574.92
Other Current Assets
103.215,39810,6371,153671.47
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
---3,7288,831
Other Current Liabilities
4,4706,4084,8823,9274,355
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
11490.848384.793097.021018.272203.22
Filing Date Shares Outstanding
16.0616.0616.0616.0616.06
Total Common Shares Outstanding
16.0616.0616.0616.0616.06
Working Capital
212,804171,756101,38549,90236,934
Book Value Per Share
14900.9112245.647769.974409.673682.71
Tangible Book Value
239,000196,469124,60470,72259,040
Tangible Book Value Per Share
14879.4812231.587757.504402.983675.63
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---
Source: S&P Global Market Intelligence. Standard template. Financial Sources.