Raonsecure Co., Ltd. (KOSDAQ:042510)
South Korea flag South Korea · Delayed Price · Currency is KRW
7,450.00
+730.00 (10.86%)
At close: Jun 29, 2026

Raonsecure 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
3,52919,28019,1687,84520,32836,811
Short-Term Investments
18,2703,7582,2645,90712,8472,637
Trading Asset Securities
1,997-1,3563,97113,5317,899
Cash & Short-Term Investments
23,79723,03822,78817,72446,70747,347
Cash Growth
-6.03%1.09%28.57%-62.05%-1.35%86.63%
Accounts Receivable
4,0259,63211,47113,7028,0118,930
Other Receivables
-59.5238.38141.19833.3448.69
Receivables
4,0259,69111,51013,8438,8448,979
Inventory
21.9526.52105.84261.97287.91-
Prepaid Expenses
-599.25507.281,116367.05297.18
Other Current Assets
4,0693,0662,2971,323441.9754.63
Total Current Assets
31,91336,42137,20834,26856,64856,677
Property, Plant & Equipment
7,5847,89910,97313,2022,1028,121
Long-Term Investments
9,02911,9228,51815,5029,6202,728
Goodwill
841,0121,0121,1728484
Other Intangible Assets
2,0242,1111,5361,7431,1401,672
Long-Term Deferred Tax Assets
10,52710,5277,9615,9684,4943,297
Other Long-Term Assets
8,4844,5984,2993,7402,8031,720
Total Assets
69,64574,48971,50875,59576,89174,300
Accounts Payable
1,4403,0742,7707,9646,3726,686
Accrued Expenses
-3,6053,4313,0732,0961,804
Short-Term Debt
-1,0001,0001,00016,847-
Current Portion of Long-Term Debt
-350-65.65--
Current Portion of Leases
2,8282,6752,6432,615735.771,226
Current Income Taxes Payable
33.0433.04-190.29--
Current Unearned Revenue
-180.6--695.75-
Other Current Liabilities
9,0145,2144,8806,8114,7052,645
Total Current Liabilities
13,31616,13114,72421,72031,45212,362
Long-Term Debt
--350--15,444
Long-Term Leases
3,1093,1995,2587,032115.385,142
Long-Term Deferred Tax Liabilities
-31.5534.8238.08--
Other Long-Term Liabilities
1,1031,030664.99919.762295,248
Total Liabilities
17,52820,39121,03229,71031,79638,197
Common Stock
28,01328,01328,01328,01319,33319,333
Additional Paid-In Capital
16,65216,65216,65216,65216,49316,493
Retained Earnings
11,53013,66810,2866,2672,104-4,489
Treasury Stock
-4,994-4,994-4,936-4,922--
Comprehensive Income & Other
532.09424.58296.79101.2572.57-203.67
Total Common Equity
51,73353,76350,31146,11238,00331,134
Minority Interest
384.44334.33164.41-226.727,0934,969
Shareholders' Equity
52,11754,09750,47645,88545,09536,103
Total Liabilities & Equity
69,64574,48971,50875,59576,89174,300
Total Debt
5,9377,2259,25110,71317,69821,813
Net Cash (Debt)
17,86015,81313,5387,01129,00825,534
Net Cash Growth
7.75%16.81%93.10%-75.83%13.61%26.36%
Net Cash Per Share
1652.461463.131252.14877.153212.452626.38
Filing Date Shares Outstanding
10.8110.8110.8110.817.737.73
Total Common Shares Outstanding
10.8110.8110.8110.817.737.73
Working Capital
18,59720,29022,48412,54825,19644,315
Book Value Per Share
4787.474975.364653.424264.564914.124025.91
Tangible Book Value
49,62550,64047,76343,19736,77929,378
Tangible Book Value Per Share
4592.404686.384417.713995.014755.873798.83
Land
-273.56281.14---
Buildings
-134.18137.9---
Machinery
2,5752,5902,2033,4392,7452,316
Construction In Progress
90.95197.25508.84433.36--