Kumyang Co., Ltd. (KRX:001570)
South Korea flag South Korea · Delayed Price · Currency is KRW
9,900.00
-480.00 (-4.62%)
Mar 21, 2025, 4:50 PM KST

Kumyang 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
9,2186,28619,95556,30219,40236,098
Short-Term Investments
6,7506,1748,195-6,873-
Trading Asset Securities
-----3,040
Cash & Short-Term Investments
15,96812,46028,15056,30226,27539,138
Cash Growth
-28.16%-55.74%-50.00%114.28%-32.87%66.44%
Accounts Receivable
20,25320,89827,77121,58936,69258,846
Other Receivables
11,27810,11613,04014,84710,2068,006
Receivables
31,53331,01040,75936,43849,09767,076
Inventory
15,13419,31826,63420,81952,01960,031
Prepaid Expenses
100.32114.01244.4503.41398.58368.84
Other Current Assets
16,19914,9839,0008,26013,81028,497
Total Current Assets
78,93477,886104,788122,322141,599195,111
Property, Plant & Equipment
1,042,1771,046,5731,043,748334,962123,96277,430
Long-Term Investments
37,23037,06645,40491,7133,8821,456
Goodwill
---17,095--
Other Intangible Assets
31,04231,48436,194113,5880.880.88
Long-Term Accounts Receivable
00-0---
Long-Term Deferred Tax Assets
729.39729.39765.02852.75,6381,872
Long-Term Deferred Charges
----1,009-
Other Long-Term Assets
31,72128,32926,03522,7392,26038,672
Total Assets
1,221,8341,222,0681,256,934703,467278,599314,832
Accounts Payable
23,17420,18420,94316,50920,66224,103
Accrued Expenses
37,82733,22222,4814,7593,3292,322
Short-Term Debt
179,083176,018245,369266,14247,65273,325
Current Portion of Long-Term Debt
52,98952,78626,32934,48621,46711,686
Current Portion of Leases
84.3483.65206.36128.3474.23306.28
Current Income Taxes Payable
47,87548,46449,76219,338-6,004
Current Unearned Revenue
198.93198.93277.38252.63174.74236.4
Other Current Liabilities
320,211318,148342,19368,93810,5769,768
Total Current Liabilities
661,443649,104707,560410,554103,934127,750
Long-Term Debt
85,79486,09042,37037,10844,69453,816
Long-Term Leases
127.62149.14263.03223.5165.7955.31
Pension & Post-Retirement Benefits
1,1591,4263,4831,6421,5052,525
Long-Term Deferred Tax Liabilities
18,72618,2562,6822,790565.13-
Other Long-Term Liabilities
7,1026,4656,0404,61510,07913,278
Total Liabilities
774,352761,491762,398456,932160,842197,425
Common Stock
31,98431,98431,98429,02529,02524,403
Additional Paid-In Capital
612,556612,556581,593206,52069,00835,076
Retained Earnings
-281,165-262,355-198,449-57,8362,86935,523
Treasury Stock
-0.94-0.94-17.13-76.27-1,423-1,472
Comprehensive Income & Other
83,33476,59974,81217,99818,27723,878
Total Common Equity
446,707458,783489,923195,630117,757117,407
Minority Interest
773.961,7944,61450,905--
Shareholders' Equity
447,481460,577494,536246,535117,757117,407
Total Liabilities & Equity
1,221,8341,222,0681,256,934703,467278,599314,832
Total Debt
318,078315,127314,537338,088113,952139,188
Net Cash (Debt)
-302,111-302,667-286,387-281,786-87,677-100,050
Net Cash Per Share
-4915.23-4926.72-4934.23-4852.15-1730.60-2176.27
Filing Date Shares Outstanding
61.4763.8461.6957.9355.7346.4
Total Common Shares Outstanding
61.4763.8461.6957.9355.7346.4
Working Capital
-582,509-571,218-602,773-288,23237,66567,361
Book Value Per Share
7267.027186.167941.363377.282113.172530.26
Tangible Book Value
415,665427,299453,72964,947117,756117,407
Tangible Book Value Per Share
6762.036693.017354.681121.212113.152530.24
Land
186,006185,916185,960126,22337,00829,915
Buildings
102,554100,22799,84149,14030,52928,011
Machinery
101,82499,310102,68872,65543,39634,995
Construction In Progress
716,065719,100700,620121,95443,40810,635