Yuyu Pharma, Inc. (KRX:000220)
South Korea flag South Korea · Delayed Price · Currency is KRW
3,830.00
+25.00 (0.66%)
At close: Jun 10, 2026

Yuyu Pharma 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
26,04129,09141,83230,60525,83950,263
Trading Asset Securities
3,8463,614817.271,7494,939-
Cash & Short-Term Investments
29,88732,70542,65032,35430,77850,263
Cash Growth
-34.38%-23.32%31.82%5.12%-38.77%145.15%
Accounts Receivable
20,06018,55317,66220,80121,94019,528
Other Receivables
946.871,3292,0693,6532,8763,265
Receivables
21,00719,88219,73124,45524,81622,793
Inventory
39,48642,22138,62844,15239,83225,225
Prepaid Expenses
686.52940.94327.71341.03238.84115.08
Other Current Assets
3,7221,166611.32294.62692.94491.06
Total Current Assets
94,78896,914101,947101,59796,35898,888
Property, Plant & Equipment
95,77693,45789,98781,40381,37180,341
Long-Term Investments
10,18510,2178,6266,8675,9445,712
Goodwill
153.77153.77153.77503.2250.8350.83
Other Intangible Assets
2,5722,6802,9773,7643,6664,087
Long-Term Accounts Receivable
----0493.76345.28
Long-Term Deferred Tax Assets
1,0271,028909.48---
Other Long-Term Assets
2,6802,6732,9884,0796,8263,561
Total Assets
207,281207,223207,687198,214195,205192,985
Accounts Payable
8,8219,3779,47510,95215,8418,982
Accrued Expenses
1,4231,4161,4941,5041,6131,553
Short-Term Debt
25,23827,19131,18624,48236,1648,200
Current Portion of Long-Term Debt
24.9933.321,475448.73718.281,812
Current Portion of Leases
523.44441.66581.1455.55542.86414.94
Current Income Taxes Payable
414.24780.61,043574.8297.04219.32
Other Current Liabilities
20,05219,70819,22611,5589,1408,832
Total Current Liabilities
56,49758,94864,48049,97564,31630,015
Long-Term Debt
--33.3213,6401,60028,456
Long-Term Leases
427.61256.52369.17380.92250.96282.81
Pension & Post-Retirement Benefits
3,2213,1032,8592,2861,7322,491
Long-Term Deferred Tax Liabilities
3,7923,5814,0944,3603,6902,897
Other Long-Term Liabilities
787.16791.74788.347,215242.12158.07
Total Liabilities
64,72466,67972,62477,85871,83164,300
Common Stock
17,60917,60917,60917,60917,60917,609
Additional Paid-In Capital
64,48564,68464,98165,07558,80358,803
Retained Earnings
33,80932,49825,78920,17131,39636,540
Treasury Stock
-7,788-7,788-5,791-5,791-6,156-4,371
Comprehensive Income & Other
20,32620,03620,05012,53112,57213,107
Total Common Equity
128,441127,039122,639109,595114,224121,689
Minority Interest
11,52410,9139,8318,1686,5584,404
Shareholders' Equity
142,557140,544135,063120,356123,374128,685
Total Liabilities & Equity
207,281207,223207,687198,214195,205192,985
Total Debt
26,21427,92333,64439,40739,27639,166
Net Cash (Debt)
3,6724,7839,005-7,053-8,49911,097
Net Cash Growth
-67.96%-46.89%---1907.08%
Net Cash Per Share
183.61237.87529.76-433.55-512.57695.34
Filing Date Shares Outstanding
16.0915.7516.1816.1816.3516.66
Total Common Shares Outstanding
16.0915.7516.1816.1816.3516.66
Working Capital
38,29137,96737,46851,62132,04268,873
Book Value Per Share
7983.198067.267578.446772.386985.777306.09
Tangible Book Value
125,716124,205119,509105,327110,506117,551
Tangible Book Value Per Share
7813.807887.287384.996508.666758.427057.65
Land
39,96239,96239,96230,38030,38030,380
Buildings
54,57054,56153,19253,39752,13848,966
Machinery
45,02144,57842,21739,22937,06733,334
Construction In Progress
6,4083,686385.8259.361,3333,454