KleanNara Co., Ltd. (KRX:004540)
South Korea flag South Korea · Delayed Price · Currency is KRW
1,565.00
-56.00 (-3.45%)
At close: Jun 10, 2026

KleanNara 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
8,23910,14412,25431,8047,0989,563
Short-Term Investments
3,7224,1877,3239,50025,754200
Trading Asset Securities
--1,420450900-
Cash & Short-Term Investments
11,96014,33120,99741,75433,7529,763
Cash Growth
-8.73%-31.75%-49.71%23.71%245.72%87.78%
Accounts Receivable
59,92062,43663,92261,34661,22370,975
Other Receivables
1,9543,1893,9053,2862,7144,155
Receivables
61,87465,62567,82764,63263,96875,279
Inventory
54,77467,65862,81058,23479,26246,113
Prepaid Expenses
776.48642.381,5171,216759.48748.39
Other Current Assets
2,5971,7246,3302,883720.3420.73
Total Current Assets
131,982149,981159,481168,719178,461132,325
Property, Plant & Equipment
420,968431,240416,228422,337436,944425,594
Long-Term Investments
17,58517,54912,40312,62412,01612,091
Other Intangible Assets
3,9924,4145,6466,2456,7445,280
Long-Term Deferred Tax Assets
19.619.6----
Other Long-Term Assets
39,45729,99526,94231,23526,56623,291
Total Assets
618,149637,296621,077641,522661,047598,691
Accounts Payable
38,78441,74832,49646,51346,84651,375
Accrued Expenses
9,7048,8696,6756,42832,47030,096
Short-Term Debt
114,033124,678156,38569,82950,21113,548
Current Portion of Long-Term Debt
75,99349,903104,976119,50485,25358,958
Current Portion of Leases
2,3262,3242,5893,4673,2972,318
Current Income Taxes Payable
42.84194.35----
Current Unearned Revenue
961.51961.51961.51961.72961.51961.51
Other Current Liabilities
38,67335,52036,17232,3113,1536,719
Total Current Liabilities
280,517264,198340,255279,014222,191163,975
Long-Term Debt
131,757162,38455,685113,540157,520156,039
Long-Term Leases
7,8468,38710,35613,95413,39313,181
Long-Term Unearned Revenue
5,8716,1117,0728,0348,9969,957
Pension & Post-Retirement Benefits
7,9503,895--2,27315,023
Long-Term Deferred Tax Liabilities
15,57715,51712,04813,43713,75910,102
Other Long-Term Liabilities
6,1946,1165,5251,9401,568928.01
Total Liabilities
455,712466,607430,942429,920419,699369,205
Common Stock
37,24137,24137,24137,24137,24137,241
Additional Paid-In Capital
26,33496,02496,02496,02496,02496,024
Retained Earnings
6,248-55,191-3,07522,97952,41350,056
Treasury Stock
-61.29-61.29-61.29-61.29-61.29-61.29
Comprehensive Income & Other
92,31092,31059,64055,05355,36545,861
Total Common Equity
162,071170,322189,769211,236240,981229,120
Shareholders' Equity
162,437170,689190,135211,602241,348229,487
Total Liabilities & Equity
618,149637,296621,077641,522661,047598,691
Total Debt
331,955347,676329,992320,295309,674244,043
Net Cash (Debt)
-319,995-333,345-308,995-278,541-275,922-234,280
Net Cash Per Share
-8691.98-8951.44-8219.30-7479.76-7409.45-6291.22
Filing Date Shares Outstanding
35.9337.2437.2437.2437.2437.24
Total Common Shares Outstanding
35.9337.2437.2437.2437.2437.24
Working Capital
-148,535-114,217-180,774-110,295-43,730-31,650
Book Value Per Share
4510.384573.735095.945672.416471.176152.66
Tangible Book Value
158,079165,909184,122204,992234,238223,841
Tangible Book Value Per Share
4399.294455.214944.315504.726290.086010.88
Land
135,576137,295132,159124,946124,485113,306
Buildings
151,661163,632164,675162,898158,136146,243
Machinery
474,711472,047491,649494,089478,518386,895
Construction In Progress
58,00254,17520,2836,37015,10021,344