Osung Advanced Materials Co., Ltd. (KOSDAQ:052420)
South Korea flag South Korea · Delayed Price · Currency is KRW
1,539.00
+37.00 (2.46%)
At close: Apr 17, 2026

Osung Advanced Materials 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
119,38782,20872,74466,30566,478
Short-Term Investments
2,9018,9986,0006,0006,000
Trading Asset Securities
---743.68,005
Cash & Short-Term Investments
122,28891,20678,74473,04880,483
Cash Growth
34.08%15.83%7.80%-9.24%24.94%
Accounts Receivable
28,57921,39313,32417,80516,836
Other Receivables
3,6732,8312,1181,8612,250
Receivables
32,32324,24617,45421,67819,098
Inventory
8,5948,74714,59720,26135,401
Prepaid Expenses
42.95102.9281.984.9371.03
Other Current Assets
546.771,174396.43539.05935.8
Total Current Assets
163,795125,476111,274115,612135,988
Property, Plant & Equipment
30,89732,08233,04434,35736,415
Long-Term Investments
88,35567,56167,51555,71964,438
Other Intangible Assets
235.96241.81289.0963.1396.13
Long-Term Deferred Tax Assets
11,2194,9505,0064,5843,819
Long-Term Deferred Charges
---64.24160.6
Other Long-Term Assets
47,43566,43072,28870,25363,938
Total Assets
342,396297,086289,621280,850304,954
Accounts Payable
8,9968,5353,6954,2074,768
Accrued Expenses
930.14531.986.99129.13197.4
Short-Term Debt
12,671-2,80019,80023,686
Current Portion of Long-Term Debt
-3,9338,3923,3651,076
Current Portion of Leases
193.84156.01122.41133.2387.61
Other Current Liabilities
7,3697,2571,6271,6363,062
Total Current Liabilities
30,16020,41316,72429,27232,877
Long-Term Debt
15,51918,26930,01036,86267,028
Long-Term Leases
234.98231.94186.02112.2447.88
Pension & Post-Retirement Benefits
320.17275.65174.3755.53397.56
Long-Term Deferred Tax Liabilities
1,1541,1541,2951,3011,658
Other Long-Term Liabilities
12,99713,87013,70713,057692.55
Total Liabilities
60,38554,21462,09680,660102,701
Common Stock
50,08944,54443,03736,14536,145
Additional Paid-In Capital
173,900164,446161,652148,874148,682
Retained Earnings
69,52041,59929,56617,55421,602
Treasury Stock
-4,981-5,980-3,797--891.65
Comprehensive Income & Other
-7,216-3,701-4,179-3,942-5,194
Total Common Equity
281,313240,906226,280198,632200,343
Minority Interest
698.591,9661,2451,5581,910
Shareholders' Equity
282,011242,872227,525200,190202,253
Total Liabilities & Equity
342,396297,086289,621280,850304,954
Total Debt
28,61922,58941,51060,27391,926
Net Cash (Debt)
93,67068,61637,23412,775-11,443
Net Cash Growth
36.51%84.29%191.45%--
Net Cash Per Share
1060.81835.52471.72179.51-165.97
Filing Date Shares Outstanding
90.982.6481.0969.5271.67
Total Common Shares Outstanding
90.982.6481.0969.5271.67
Working Capital
133,635105,06394,54986,341103,111
Book Value Per Share
3094.692914.972790.532857.282795.46
Tangible Book Value
281,077240,665225,991198,569200,247
Tangible Book Value Per Share
3092.092912.042786.962856.382794.12
Land
3,6123,3723,3723,3723,372
Buildings
18,55718,74218,74618,69719,015
Machinery
49,55248,76048,08446,45345,566
Construction In Progress
--271.92297.6190.52
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.