Miwon Commercial Co., Ltd. (KRX:002840)
South Korea flag South Korea · Delayed Price · Currency is KRW
154,300
+1,100 (0.72%)
Feb 24, 2026, 3:30 PM KST

Miwon Commercial 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
18,42435,32737,42225,26421,67122,221
Short-Term Investments
2,8046,955----
Cash & Short-Term Investments
21,22842,28237,42225,26421,67122,221
Cash Growth
-35.69%12.99%48.12%16.58%-2.48%141.68%
Accounts Receivable
70,58863,00258,06664,09059,82850,061
Other Receivables
3,7763,8573,4883,1963,0411,431
Receivables
76,59767,68362,75068,61864,04152,726
Inventory
120,047111,02095,868102,74485,52462,321
Prepaid Expenses
761.69743.57662.64484.2185.4213.36
Other Current Assets
2,437491.1128.6387.12141.21214.25
Total Current Assets
221,071222,220196,731197,197171,562137,696
Property, Plant & Equipment
188,295187,404186,524156,827142,195137,233
Long-Term Investments
47,28747,51756,35655,90053,08449,112
Other Intangible Assets
2,4202,3472,1892,0462,1661,745
Long-Term Accounts Receivable
0-81.53---
Other Long-Term Assets
17,64916,1512,8431,5701,5541,570
Total Assets
481,194478,696447,566415,619372,414328,955
Accounts Payable
16,94320,79816,10516,17324,93316,119
Accrued Expenses
4,0654,6694,2603,7843,0272,707
Short-Term Debt
9.47147.21549.19613.85430.31696.47
Current Portion of Long-Term Debt
-----1.18-
Current Portion of Leases
124.13---58.32-
Current Income Taxes Payable
4,2189,0856,39413,9608,4215,791
Other Current Liabilities
13,61813,09512,17413,5769,78110,308
Total Current Liabilities
38,97847,79439,48348,10746,64935,622
Long-Term Leases
31.87-----
Pension & Post-Retirement Benefits
29,48226,15221,36916,31816,68615,096
Long-Term Deferred Tax Liabilities
-1,8668,2169,01312,76110,278
Other Long-Term Liabilities
2,5652,420531.62332.32331384.11
Total Liabilities
71,05678,23269,59973,77176,42761,381
Common Stock
6,6626,6626,6626,6626,6626,662
Additional Paid-In Capital
4,7934,7934,7664,8254,9704,984
Retained Earnings
426,294402,499363,948328,791283,822252,707
Treasury Stock
-31,575-18,222-1,402-2,101-4,255-
Comprehensive Income & Other
3,9644,7313,9933,6714,7883,221
Total Common Equity
410,138400,464377,967341,849295,987267,574
Shareholders' Equity
410,138400,464377,967341,849295,987267,574
Total Liabilities & Equity
481,194478,696447,566415,619372,414328,955
Total Debt
165.47147.21549.19613.85487.46696.47
Net Cash (Debt)
21,06342,13536,87324,65021,18321,524
Net Cash Growth
-35.63%14.27%49.58%16.37%-1.59%150.18%
Net Cash Per Share
4551.808993.527717.735035.394270.634304.76
Filing Date Shares Outstanding
4.584.654.744.844.954.97
Total Common Shares Outstanding
4.584.654.744.844.954.97
Working Capital
182,093174,426157,248149,090124,913102,074
Book Value Per Share
89598.5286039.0579711.4270659.0759795.3753837.85
Tangible Book Value
407,718398,116375,778339,802293,821265,829
Tangible Book Value Per Share
89069.8185534.7379249.7570236.1259357.7553486.72
Land
22,26022,13737,15421,86621,79321,774
Buildings
81,54875,75260,74059,43249,56846,597
Machinery
340,879325,388265,036248,659222,432194,953
Construction In Progress
22,48513,05339,88314,0178,25110,470
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.