Yuyu Pharma, Inc. (KRX:000220)
South Korea flag South Korea · Delayed Price · Currency is KRW
4,310.00
+115.00 (2.74%)
Feb 3, 2026, 3:30 PM KST

Yuyu Pharma Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
28,66941,83230,60525,83950,26320,323
Trading Asset Securities
-817.271,7494,939-180
Cash & Short-Term Investments
28,66942,65032,35430,77850,26320,503
Cash Growth
-34.67%31.82%5.12%-38.77%145.15%-23.63%
Accounts Receivable
20,82617,66220,80121,94019,52817,782
Other Receivables
1,0352,0693,6532,8763,2652,125
Receivables
21,86119,73124,45524,81622,79319,908
Inventory
44,31738,62844,15239,83225,22523,689
Prepaid Expenses
265.02327.71341.03238.84115.0897.7
Other Current Assets
1,553611.32294.62692.94491.06269.6
Total Current Assets
96,665101,947101,59796,35898,88864,467
Property, Plant & Equipment
89,73489,98781,40381,37180,34178,073
Long-Term Investments
10,0018,6266,8675,9445,7125,077
Goodwill
153.77153.77503.2250.8350.8350.83
Other Intangible Assets
2,8102,9773,7643,6664,0873,786
Long-Term Accounts Receivable
---0493.76345.28632.98
Long-Term Deferred Tax Assets
991.35909.48----
Other Long-Term Assets
1,9632,9884,0796,8263,5612,814
Total Assets
202,418207,687198,214195,205192,985154,901
Accounts Payable
9,9769,47510,95215,8418,9825,287
Accrued Expenses
1,3901,4941,5041,6131,5531,312
Short-Term Debt
26,56831,18624,48236,1648,2003,500
Current Portion of Long-Term Debt
1,6101,475448.73718.281,812888.5
Current Portion of Leases
499.13581.1455.55542.86414.94589.67
Current Income Taxes Payable
826.71,043574.8297.04219.32-
Other Current Liabilities
13,88819,22611,5589,1408,8326,821
Total Current Liabilities
54,75864,48049,97564,31630,01518,399
Long-Term Debt
33.3233.3213,6401,60028,45614,592
Long-Term Leases
244.09369.17380.92250.96282.81379.95
Pension & Post-Retirement Benefits
3,2232,8592,2861,7322,4912,473
Long-Term Deferred Tax Liabilities
4,2884,0944,3603,6902,8971,809
Other Long-Term Liabilities
774.33788.347,215242.12158.07212.16
Total Liabilities
63,32072,62477,85871,83164,30037,865
Common Stock
17,60917,60917,60917,60917,6098,412
Additional Paid-In Capital
64,98164,97365,07558,80358,80353,467
Retained Earnings
30,56025,78920,17131,39636,54041,914
Treasury Stock
-7,788-5,791-5,791-6,156-4,371-4,371
Comprehensive Income & Other
20,17020,05912,53112,57213,10713,639
Total Common Equity
125,532122,639109,595114,224121,689113,062
Minority Interest
10,9739,8318,1686,5584,4042,677
Shareholders' Equity
139,097135,063120,356123,374128,685117,036
Total Liabilities & Equity
202,418207,687198,214195,205192,985154,901
Total Debt
28,95533,64439,40739,27639,16619,950
Net Cash (Debt)
-286.019,005-7,053-8,49911,097552.89
Net Cash Growth
----1907.08%-
Net Cash Per Share
-16.18535.91-433.55-512.57695.3446.01
Filing Date Shares Outstanding
15.7516.1816.1816.3516.6614.92
Total Common Shares Outstanding
15.7516.1816.1816.3516.6614.92
Working Capital
41,90737,46851,62132,04268,87346,068
Book Value Per Share
7971.557578.446772.386985.777306.097579.20
Tangible Book Value
122,568119,509105,327110,506117,551109,226
Tangible Book Value Per Share
7783.377384.996508.666758.427057.657322.03
Land
39,96239,96230,38030,38030,38030,380
Buildings
54,31453,19253,39752,13848,96648,912
Machinery
42,91642,21739,22937,06733,33430,809
Construction In Progress
685.29385.8259.361,3333,454202.8
Source: S&P Global Market Intelligence. Standard template. Financial Sources.