Aprogen Biologics Inc. (KRX:003060)
South Korea flag South Korea · Delayed Price · Currency is KRW
369.00
+10.00 (2.79%)
Last updated: Feb 26, 2026, 10:27 AM KST

Aprogen Biologics 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
21,50312,30610,05323,60935,07464,796
Short-Term Investments
---39075,000140,000
Trading Asset Securities
26,06726,013-75,07514,861279.12
Cash & Short-Term Investments
47,56938,31910,05399,074124,935205,075
Cash Growth
-21.87%281.15%-89.85%-20.70%-39.08%121.68%
Accounts Receivable
14,36916,60714,80717,76912,82512,620
Other Receivables
5,1751,6821,8284,2568,2595,185
Receivables
77,74322,97223,37382,060215,755119,490
Inventory
53,11952,28648,12852,31310,42010,040
Prepaid Expenses
-895.052,490558.1410.6714
Other Current Assets
2,578729.2812.786,6042,3541,904
Total Current Assets
181,009115,20084,857240,608353,474336,523
Property, Plant & Equipment
324,223321,458318,212323,77318,85719,801
Long-Term Investments
42,33391,994137,64757,79384,232104,099
Other Intangible Assets
5,5885,1166,2416,4582,7963,157
Long-Term Accounts Receivable
----20,577-
Long-Term Deferred Tax Assets
---662.84755.7658.89
Long-Term Deferred Charges
-----478
Other Long-Term Assets
24,4583,6763,79310,0999,22931,082
Total Assets
603,424590,984589,397684,140614,621615,309
Accounts Payable
2,8401,9961,3333,809652.59808.22
Accrued Expenses
4,6183,7563,7474,9681,201720.94
Short-Term Debt
152,174103,630129,360134,2632,1622,621
Current Portion of Leases
-2,1911,360345.5199.49185.77
Current Income Taxes Payable
---4.18273.93461.17
Current Unearned Revenue
----119.99119.99
Other Current Liabilities
51,80535,93622,13817,7164,8403,758
Total Current Liabilities
211,437147,509157,938161,1069,4498,675
Long-Term Debt
40,00032,00032,000---
Long-Term Leases
-16,19718,277129.06120163.92
Pension & Post-Retirement Benefits
11,83410,2457,7327,5645,6006,188
Long-Term Deferred Tax Liabilities
3,8743,8742,9323,1081,093927.58
Other Long-Term Liabilities
21,1222,4701,8271,8231,178998.31
Total Liabilities
288,267212,294220,705173,73017,44016,953
Common Stock
99,20499,204332,877292,877199,288199,288
Additional Paid-In Capital
704,331704,331358,030335,850327,715327,715
Retained Earnings
-373,676-239,199-133,310-8,085-21,115-30,114
Treasury Stock
-4,485-4,485-4,463-41.27-41.27-41.27
Comprehensive Income & Other
-181,647-181,360-184,443-194,0792,0928,547
Total Common Equity
243,727378,491368,691426,521507,939505,395
Minority Interest
71,430199.28-83,89089,24292,961
Shareholders' Equity
315,157378,691368,691510,411597,181598,356
Total Liabilities & Equity
603,424590,984589,397684,140614,621615,309
Total Debt
192,174154,017180,997134,7382,4812,971
Net Cash (Debt)
-144,605-115,698-170,944-35,664122,454202,104
Net Cash Growth
-----39.41%127.99%
Net Cash Per Share
-731.60-919.78-2709.80-882.323072.336364.69
Filing Date Shares Outstanding
197.57197.5765.7558.5739.8639.86
Total Common Shares Outstanding
197.57197.5765.7558.5739.8639.86
Working Capital
-30,428-32,308-73,08179,502344,025327,848
Book Value Per Share
1233.611915.715607.217281.6312744.0112680.19
Tangible Book Value
238,139373,376362,451420,063505,142502,238
Tangible Book Value Per Share
1205.321889.815512.307171.3812673.8512600.98
Land
36,32529,66425,15628,3159,3138,463
Buildings
81,24497,59997,507101,3789,64710,460
Machinery
119,046179,320118,620145,73810,2589,494
Construction In Progress
69,77664,463108,99690,433-392
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.