ICD Co., Ltd. (KOSDAQ:040910)
South Korea flag South Korea · Delayed Price · Currency is KRW
5,220.00
+100.00 (1.95%)
Apr 3, 2026, 3:30 PM KST

ICD Co., Ltd. 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
8,37823,34928,09523,21847,040
Short-Term Investments
3003,160-15,31521,895
Cash & Short-Term Investments
8,67826,50928,09538,53368,935
Cash Growth
-67.26%-5.65%-27.09%-44.10%7.69%
Accounts Receivable
24,23412,97811,78710,82614,543
Other Receivables
1,121232.971,101735.171,400
Receivables
26,68213,96214,14913,37817,103
Inventory
30,64157,75461,67629,66235,663
Prepaid Expenses
323.96498.951,368751.961,500
Other Current Assets
13,55520,94915,16030,87711,860
Total Current Assets
79,880119,673120,448113,203135,062
Property, Plant & Equipment
48,46250,83755,85153,63346,812
Long-Term Investments
4,6267,1107,0863,9995,690
Goodwill
81.4281.42---
Other Intangible Assets
2,7663,2263,6293,9093,641
Long-Term Deferred Tax Assets
611.33738.117,0084,5753,993
Long-Term Deferred Charges
253.29715.422,1604,5576,574
Other Long-Term Assets
6,1625,9137,79316,91229,598
Total Assets
144,397191,150206,656202,500232,849
Accounts Payable
9,15813,36713,6889,07916,705
Accrued Expenses
822.32915.05514.97805.17430.57
Short-Term Debt
17,30031,56811,79418,38712,759
Current Portion of Long-Term Debt
696.84893.681,019893.68893.68
Current Portion of Leases
523.36509.42555.45139.3182.84
Current Income Taxes Payable
192.38255.83--16.85
Current Unearned Revenue
178.53225.8232.29184.05166.16
Other Current Liabilities
14,38930,29444,20813,52726,208
Total Current Liabilities
43,26178,02972,01143,01657,262
Long-Term Debt
-696.841,5912,4843,378
Long-Term Leases
314.13435.39517.41185.7278.19
Long-Term Unearned Revenue
93.45271.95497.56493.95594.7
Pension & Post-Retirement Benefits
240.82,5371,679--
Other Long-Term Liabilities
2,01112,1683,1773,0753,600
Total Liabilities
45,92094,13879,47349,25464,912
Common Stock
9,2879,2879,2329,0339,033
Additional Paid-In Capital
78,58978,68477,61072,12471,776
Retained Earnings
32,25929,68761,26296,970106,634
Treasury Stock
-25,215-25,424-25,424-25,424-20,066
Comprehensive Income & Other
3,6074,7494,502543.19560.7
Total Common Equity
98,52796,983127,183153,246167,937
Minority Interest
-49.929.64---
Shareholders' Equity
98,47797,012127,183153,246167,937
Total Liabilities & Equity
144,397191,150206,656202,500232,849
Total Debt
18,83434,10415,47622,09017,191
Net Cash (Debt)
-10,156-7,59512,62016,44351,744
Net Cash Growth
---23.25%-68.22%11.47%
Net Cash Per Share
-624.36-466.57784.021028.943086.53
Filing Date Shares Outstanding
16.1316.3116.215.816.32
Total Common Shares Outstanding
16.1316.3116.215.816.32
Working Capital
36,61941,64348,43770,18777,800
Book Value Per Share
6108.255945.717849.889697.5910289.00
Tangible Book Value
95,67993,675123,554149,337164,296
Tangible Book Value Per Share
5931.705742.927625.909450.2510065.94
Land
9,0979,0979,0559,0558,500
Buildings
32,81032,81035,80035,80035,752
Machinery
37,64037,08937,20535,49231,547
Construction In Progress
12,41512,41510,2796,729385.95
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.