KleanNara Co., Ltd. (KRX:004540)
South Korea flag South Korea · Delayed Price · Currency is KRW
1,898.00
-28.00 (-1.45%)
Last updated: Feb 5, 2026, 12:59 PM KST

KleanNara 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
19,08012,25431,8047,0989,5634,999
Short-Term Investments
3,5027,3239,50025,754200200
Trading Asset Securities
8401,420450900--
Cash & Short-Term Investments
23,42120,99741,75433,7529,7635,199
Cash Growth
-33.37%-49.71%23.71%245.72%87.78%-31.48%
Accounts Receivable
63,96563,92261,34661,22370,97562,806
Other Receivables
4,2353,9053,2862,7144,1552,109
Receivables
70,67167,82764,63263,96875,27964,915
Inventory
73,75462,81058,23479,26246,11346,622
Prepaid Expenses
1,0011,5171,216759.48748.39737.16
Other Current Assets
892.996,3302,883720.3420.731,700
Total Current Assets
169,741159,481168,719178,461132,325119,172
Property, Plant & Equipment
426,512416,228422,337436,944425,594412,051
Long-Term Investments
13,00912,40312,62412,01612,0919,774
Other Intangible Assets
4,6385,6466,2456,7445,2802,434
Long-Term Deferred Tax Assets
13.86-----
Other Long-Term Assets
26,18826,94231,23526,56623,29119,570
Total Assets
640,899621,077641,522661,047598,691563,050
Accounts Payable
37,95032,49646,51346,84651,37549,289
Accrued Expenses
8,3266,6756,42832,47030,09628,618
Short-Term Debt
157,849156,38569,82950,21113,54852,151
Current Portion of Long-Term Debt
34,887104,976119,50485,25358,95831,647
Current Portion of Leases
2,3142,5893,4673,2972,3187,670
Current Income Taxes Payable
-----157.19
Current Unearned Revenue
961.51961.51961.72961.51961.51882.49
Other Current Liabilities
36,67436,17232,3113,1536,71910,813
Total Current Liabilities
278,961340,255279,014222,191163,975181,228
Long-Term Debt
134,78355,685113,540157,520156,039109,611
Long-Term Leases
8,94910,35613,95413,39313,18114,525
Long-Term Unearned Revenue
6,3517,0728,0348,9969,95710,013
Pension & Post-Retirement Benefits
1,534--2,27315,02319,720
Long-Term Deferred Tax Liabilities
12,62912,04813,43713,75910,1025,174
Other Long-Term Liabilities
5,5455,5251,9401,568928.015,969
Total Liabilities
448,752430,942429,920419,699369,205346,241
Common Stock
37,24137,24137,24137,24137,24137,241
Additional Paid-In Capital
96,02496,02496,02496,02496,02496,024
Retained Earnings
-30,843-3,07522,97952,41350,05643,461
Treasury Stock
-61.29-61.29-61.29-61.29-61.29-61.29
Comprehensive Income & Other
89,42059,64055,05355,36545,86139,779
Total Common Equity
191,781189,769211,236240,981229,120216,444
Shareholders' Equity
192,147190,135211,602241,348229,487216,810
Total Liabilities & Equity
640,899621,077641,522661,047598,691563,050
Total Debt
338,781329,992320,295309,674244,043215,604
Net Cash (Debt)
-315,359-308,995-278,541-275,922-234,280-210,405
Net Cash Per Share
-8531.49-8297.57-7479.76-7409.45-6291.22-5650.10
Filing Date Shares Outstanding
37.2437.2437.2437.2437.2437.24
Total Common Shares Outstanding
37.2437.2437.2437.2437.2437.24
Working Capital
-109,220-180,774-110,295-43,730-31,650-62,056
Book Value Per Share
5149.975095.945672.416471.176152.665812.24
Tangible Book Value
187,143184,122204,992234,238223,841214,010
Tangible Book Value Per Share
5025.434944.315504.726290.086010.885746.89
Land
132,457132,159124,946124,485113,306106,123
Buildings
165,205164,675162,898158,136146,243135,098
Machinery
494,050491,649494,089478,518386,895397,709
Construction In Progress
46,66220,2836,37015,10021,3449,225
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.