Rothwell International Co., Limited (KOSDAQ:900260)
South Korea flag South Korea · Delayed Price · Currency is KRW
1,648.00
+55.00 (3.45%)
At close: Jun 10, 2026

Rothwell International 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
44,93634,73617,218172,409137,473176,381
Short-Term Investments
193,462396,996404,7801,9526,51813,322
Trading Asset Securities
27,17722,28132,239---
Cash & Short-Term Investments
265,575454,013454,237174,361143,991189,703
Cash Growth
-24.97%-0.05%160.51%21.09%-24.10%6.28%
Accounts Receivable
227,296153,637352,284135,62332,66314,390
Other Receivables
7,8195,4573,7403,737123.6199.16
Receivables
235,115159,095356,023139,35932,78717,786
Inventory
180,333201,096136,10131,78725,65510,650
Prepaid Expenses
12,33711,7356,870--14.91
Other Current Assets
18,25165,530327.15237.53,0292,149
Total Current Assets
711,611891,468953,558345,745205,461220,303
Property, Plant & Equipment
68,12965,53470,98369,03071,84860,569
Long-Term Investments
2,1872,048-963.93990.881,048
Other Intangible Assets
412.86434.54546.96520.32668.98837.69
Long-Term Deferred Tax Assets
344.18318.07727.41---
Other Long-Term Assets
0---0528.29
Total Assets
788,712965,5751,025,815416,260278,970283,286
Accounts Payable
308,892535,201620,085139,53842,3125,845
Accrued Expenses
13,6878,254926.171,525687.19475.45
Short-Term Debt
69,10963,680118,95120,25410,88634,831
Current Portion of Long-Term Debt
13,90513,1016,9208,590--
Current Portion of Leases
294.24274.38210.65-179.89-
Current Income Taxes Payable
5,7724,3502,687506.97--
Other Current Liabilities
46,54839,1303,1646,5592,37321,474
Total Current Liabilities
458,207663,991752,944176,97256,43862,625
Long-Term Debt
18,63116,86813,83924,86921,3553,166
Long-Term Leases
--113.71-188.99-
Long-Term Unearned Revenue
162.19163.43216.73245.12296.48356.26
Other Long-Term Liabilities
351.11328.732,8112,5694,2856,929
Total Liabilities
477,352681,351769,924204,65682,56573,077
Common Stock
225,187210,834202,016181,511182,113186,951
Additional Paid-In Capital
-3,136-2,936-282.27-253.61--261.22
Retained Earnings
85,71271,50450,26028,56113,89629,970
Treasury Stock
---2,665-2,394-2,402-2,461
Comprehensive Income & Other
3,5974,8226,5614,1812,798-3,989
Shareholders' Equity
311,361284,224255,891211,604196,405210,210
Total Liabilities & Equity
788,712965,5751,025,815416,260278,970283,286
Total Debt
101,93993,923140,03453,71332,61137,997
Net Cash (Debt)
163,636360,089314,203120,648111,380151,706
Net Cash Growth
-43.00%14.60%160.43%8.32%-26.58%37.20%
Net Cash Per Share
3985.389332.768585.293368.393109.294779.30
Filing Date Shares Outstanding
45.8846.6335.8235.8235.8235.82
Total Common Shares Outstanding
45.8846.6335.8235.8235.8235.82
Working Capital
253,404227,477200,614168,773149,023157,678
Book Value Per Share
6786.996095.517144.245907.805483.455868.22
Tangible Book Value
310,948283,789255,344211,084195,736209,372
Tangible Book Value Per Share
6777.996086.197128.975893.285464.775844.83
Buildings
87,82682,22880,74672,50769,08770,969
Machinery
25,51923,78223,76122,08220,83111,159
Construction In Progress
394.02328.34285.632,9016,163345.95