ICD Co., Ltd. (KOSDAQ:040910)
5,220.00
+100.00 (1.95%)
Apr 3, 2026, 3:30 PM KST
ICD Co., Ltd. Balance Sheet
Financials in millions KRW. Fiscal year is January - December.
Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year | FY 2025 | FY 2024 | FY 2023 | FY 2022 | FY 2021 |
|---|---|---|---|---|---|
Period Ending | Dec '25 Dec 31, 2025 | Dec '24 Dec 31, 2024 | Dec '23 Dec 31, 2023 | Dec '22 Dec 31, 2022 | Dec '21 Dec 31, 2021 |
Cash & Equivalents | 8,378 | 23,349 | 28,095 | 23,218 | 47,040 |
Short-Term Investments | 300 | 3,160 | - | 15,315 | 21,895 |
Cash & Short-Term Investments | 8,678 | 26,509 | 28,095 | 38,533 | 68,935 |
Cash Growth | -67.26% | -5.65% | -27.09% | -44.10% | 7.69% |
Accounts Receivable | 24,234 | 12,978 | 11,787 | 10,826 | 14,543 |
Other Receivables | 1,121 | 232.97 | 1,101 | 735.17 | 1,400 |
Receivables | 26,682 | 13,962 | 14,149 | 13,378 | 17,103 |
Inventory | 30,641 | 57,754 | 61,676 | 29,662 | 35,663 |
Prepaid Expenses | 323.96 | 498.95 | 1,368 | 751.96 | 1,500 |
Other Current Assets | 13,555 | 20,949 | 15,160 | 30,877 | 11,860 |
Total Current Assets | 79,880 | 119,673 | 120,448 | 113,203 | 135,062 |
Property, Plant & Equipment | 48,462 | 50,837 | 55,851 | 53,633 | 46,812 |
Long-Term Investments | 4,626 | 7,110 | 7,086 | 3,999 | 5,690 |
Goodwill | 81.42 | 81.42 | - | - | - |
Other Intangible Assets | 2,766 | 3,226 | 3,629 | 3,909 | 3,641 |
Long-Term Deferred Tax Assets | 611.33 | 738.11 | 7,008 | 4,575 | 3,993 |
Long-Term Deferred Charges | 253.29 | 715.42 | 2,160 | 4,557 | 6,574 |
Other Long-Term Assets | 6,162 | 5,913 | 7,793 | 16,912 | 29,598 |
Total Assets | 144,397 | 191,150 | 206,656 | 202,500 | 232,849 |
Accounts Payable | 9,158 | 13,367 | 13,688 | 9,079 | 16,705 |
Accrued Expenses | 822.32 | 915.05 | 514.97 | 805.17 | 430.57 |
Short-Term Debt | 17,300 | 31,568 | 11,794 | 18,387 | 12,759 |
Current Portion of Long-Term Debt | 696.84 | 893.68 | 1,019 | 893.68 | 893.68 |
Current Portion of Leases | 523.36 | 509.42 | 555.45 | 139.31 | 82.84 |
Current Income Taxes Payable | 192.38 | 255.83 | - | - | 16.85 |
Current Unearned Revenue | 178.53 | 225.8 | 232.29 | 184.05 | 166.16 |
Other Current Liabilities | 14,389 | 30,294 | 44,208 | 13,527 | 26,208 |
Total Current Liabilities | 43,261 | 78,029 | 72,011 | 43,016 | 57,262 |
Long-Term Debt | - | 696.84 | 1,591 | 2,484 | 3,378 |
Long-Term Leases | 314.13 | 435.39 | 517.41 | 185.72 | 78.19 |
Long-Term Unearned Revenue | 93.45 | 271.95 | 497.56 | 493.95 | 594.7 |
Pension & Post-Retirement Benefits | 240.8 | 2,537 | 1,679 | - | - |
Other Long-Term Liabilities | 2,011 | 12,168 | 3,177 | 3,075 | 3,600 |
Total Liabilities | 45,920 | 94,138 | 79,473 | 49,254 | 64,912 |
Common Stock | 9,287 | 9,287 | 9,232 | 9,033 | 9,033 |
Additional Paid-In Capital | 78,589 | 78,684 | 77,610 | 72,124 | 71,776 |
Retained Earnings | 32,259 | 29,687 | 61,262 | 96,970 | 106,634 |
Treasury Stock | -25,215 | -25,424 | -25,424 | -25,424 | -20,066 |
Comprehensive Income & Other | 3,607 | 4,749 | 4,502 | 543.19 | 560.7 |
Total Common Equity | 98,527 | 96,983 | 127,183 | 153,246 | 167,937 |
Minority Interest | -49.9 | 29.64 | - | - | - |
Shareholders' Equity | 98,477 | 97,012 | 127,183 | 153,246 | 167,937 |
Total Liabilities & Equity | 144,397 | 191,150 | 206,656 | 202,500 | 232,849 |
Total Debt | 18,834 | 34,104 | 15,476 | 22,090 | 17,191 |
Net Cash (Debt) | -10,156 | -7,595 | 12,620 | 16,443 | 51,744 |
Net Cash Growth | - | - | -23.25% | -68.22% | 11.47% |
Net Cash Per Share | -624.36 | -466.57 | 784.02 | 1028.94 | 3086.53 |
Filing Date Shares Outstanding | 16.13 | 16.31 | 16.2 | 15.8 | 16.32 |
Total Common Shares Outstanding | 16.13 | 16.31 | 16.2 | 15.8 | 16.32 |
Working Capital | 36,619 | 41,643 | 48,437 | 70,187 | 77,800 |
Book Value Per Share | 6108.25 | 5945.71 | 7849.88 | 9697.59 | 10289.00 |
Tangible Book Value | 95,679 | 93,675 | 123,554 | 149,337 | 164,296 |
Tangible Book Value Per Share | 5931.70 | 5742.92 | 7625.90 | 9450.25 | 10065.94 |
Land | 9,097 | 9,097 | 9,055 | 9,055 | 8,500 |
Buildings | 32,810 | 32,810 | 35,800 | 35,800 | 35,752 |
Machinery | 37,640 | 37,089 | 37,205 | 35,492 | 31,547 |
Construction In Progress | 12,415 | 12,415 | 10,279 | 6,729 | 385.95 |
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.