Rayence Co., Ltd. (KOSDAQ:228850)
South Korea flag South Korea · Delayed Price · Currency is KRW
6,710.00
-90.00 (-1.32%)
At close: Jun 17, 2026

Rayence 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
47,65247,52455,02054,15453,23140,201
Short-Term Investments
104,000104,00093,00094,50077,50078,124
Trading Asset Securities
--2,188---
Cash & Short-Term Investments
151,652151,524150,207148,654130,731118,325
Cash Growth
-0.69%0.88%1.04%13.71%10.48%16.63%
Accounts Receivable
37,64529,81932,42039,45240,39038,747
Other Receivables
2,0811,3521,4941,6561,071594.93
Receivables
40,01131,18934,00741,14341,51439,367
Inventory
32,98134,25735,89835,48438,67932,872
Prepaid Expenses
1,1551,1071,3303,893676.23869.43
Other Current Assets
3,0162,3492,1992,6322,3642,438
Total Current Assets
228,816220,427223,641231,807213,964193,871
Property, Plant & Equipment
28,53226,50727,64223,88223,74532,979
Long-Term Investments
2,5102,8032,1532,8932,727-
Other Intangible Assets
7,6387,6517,9216,7376,4236,807
Long-Term Deferred Tax Assets
2,3132,4022,2976,1959,4264,024
Long-Term Deferred Charges
-----3,160
Other Long-Term Assets
1,091998.355,1675,9035,680896.77
Total Assets
271,396261,216269,216277,488261,999241,798
Accounts Payable
8,5245,8394,8485,6594,4917,661
Accrued Expenses
1,1031,1171,1811,2161,0241,230
Short-Term Debt
8608601,1612,0612,29014,822
Current Portion of Leases
1,4491,055999.49636.85612.35904.71
Current Income Taxes Payable
986.5484.331,7961,5764,9135,040
Current Unearned Revenue
5073.642068.73-8
Other Current Liabilities
7,9415,7145,87518,83118,0057,197
Total Current Liabilities
20,91514,74315,88130,04831,33536,862
Long-Term Leases
3,5152,7632,5791,148395.75645.66
Pension & Post-Retirement Benefits
3,2982,8862,9442,0781,5301,905
Other Long-Term Liabilities
3,7313,4593,1433,4163,2402,807
Total Liabilities
31,45823,85024,54736,68936,50142,220
Common Stock
8,2968,2968,2968,2968,2968,296
Additional Paid-In Capital
107,225107,225107,198109,273109,273105,662
Retained Earnings
142,230138,916145,624139,622123,433102,253
Treasury Stock
-15,991-15,991-15,991-15,991-15,991-15,991
Comprehensive Income & Other
-2,214-1,488-729.71-978.93-263.52356.79
Total Common Equity
239,545236,957244,397240,221224,748200,576
Minority Interest
392.4408.6271.83576.98750.77-997.81
Shareholders' Equity
239,938237,366244,668240,798225,498199,578
Total Liabilities & Equity
271,396261,216269,216277,488261,999241,798
Total Debt
5,8244,6784,7403,8453,29816,372
Net Cash (Debt)
145,828146,846145,468144,809127,433101,953
Net Cash Growth
-1.02%0.95%0.46%13.63%24.99%19.30%
Net Cash Per Share
9280.489331.629243.999202.138097.956478.79
Filing Date Shares Outstanding
15.7615.7415.7415.7415.7415.74
Total Common Shares Outstanding
15.7615.7415.7415.7415.7415.74
Working Capital
207,901205,683207,761201,759182,628157,009
Book Value Per Share
15204.0015057.8615530.6115265.3014281.9912745.95
Tangible Book Value
231,907229,306236,476233,485218,325193,769
Tangible Book Value Per Share
14719.1914571.6815027.2614837.1913873.8612313.38
Land
10,26510,2655,2415,2415,24111,028
Buildings
13,63013,63013,63013,63013,63016,032
Machinery
19,70618,76639,32333,19531,79430,961
Construction In Progress
615.4637.03599.05774.661,020510.75