SPC Samlip Co., Ltd. (KRX:005610)
South Korea flag South Korea · Delayed Price · Currency is KRW
49,550
+350 (0.71%)
At close: Apr 8, 2026

SPC Samlip Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
25,60339,3006,2646,0415,308
Short-Term Investments
23,41113,22216,8665,45616,624
Cash & Short-Term Investments
49,01552,52223,13011,49721,932
Cash Growth
-6.68%127.07%101.18%-47.58%39.39%
Accounts Receivable
308,822321,428327,386273,092277,802
Other Receivables
5,3082,0186,2322,7064,483
Receivables
314,130323,446333,618275,798282,284
Inventory
204,113173,353224,415244,818131,806
Prepaid Expenses
791.141,5191,9121,2864,327
Other Current Assets
3,9182,9892,8546,1214,772
Total Current Assets
571,967553,829585,928539,519445,121
Property, Plant & Equipment
540,004567,681583,713624,243680,769
Long-Term Investments
9,22523,64615,73632,28512,037
Goodwill
10,09310,09310,09310,09310,093
Other Intangible Assets
22,4468,7469,3319,1415,559
Long-Term Accounts Receivable
2,011----
Long-Term Deferred Tax Assets
18,30117,54114,12715,92016,576
Other Long-Term Assets
70,82759,26174,80564,19852,830
Total Assets
1,244,8731,240,7971,293,7321,295,4001,222,983
Accounts Payable
268,496246,970242,734215,984196,576
Accrued Expenses
36,42890,84290,48197,08994,885
Short-Term Debt
87,30380,464226,895231,339188,265
Current Portion of Long-Term Debt
--30,000--
Current Portion of Leases
50,35653,98054,74752,39150,795
Current Income Taxes Payable
239.0613,4492,68411,7679,915
Current Unearned Revenue
4.193.963.961.8741.79
Other Current Liabilities
87,01939,60435,92940,91036,708
Total Current Liabilities
529,844525,313683,474649,483577,185
Long-Term Debt
69,89269,811-30,00030,000
Long-Term Leases
151,244156,445181,358219,294266,727
Pension & Post-Retirement Benefits
----6,597
Other Long-Term Liabilities
12,3389,3989,8887,5147,444
Total Liabilities
763,318760,967874,720906,291887,952
Common Stock
43,14543,14543,14543,14543,145
Additional Paid-In Capital
12,51612,51612,51612,51612,516
Retained Earnings
464,556462,616396,226364,261316,801
Treasury Stock
-50,432-50,432-50,432-50,432-50,432
Comprehensive Income & Other
11,77011,98517,55819,61913,003
Total Common Equity
481,555479,830419,013389,109335,033
Minority Interest
-----2.38
Shareholders' Equity
481,555479,830419,013389,109335,031
Total Liabilities & Equity
1,244,8731,240,7971,293,7321,295,4001,222,983
Total Debt
358,795360,700493,001533,024535,787
Net Cash (Debt)
-309,780-308,178-469,871-521,527-513,855
Net Cash Per Share
-38219.83-38022.09-57971.36-64344.52-63350.64
Filing Date Shares Outstanding
8.118.118.118.118.11
Total Common Shares Outstanding
8.118.118.118.118.11
Working Capital
42,12228,516-97,545-109,963-132,064
Book Value Per Share
59412.9259200.0751696.6348007.1841335.46
Tangible Book Value
449,017460,992399,589369,875319,382
Tangible Book Value Per Share
55398.4356875.8749300.1845634.2039404.47
Land
32,77732,75732,94033,76033,823
Buildings
251,286251,679246,248226,342220,874
Machinery
504,614495,131477,699459,771493,709
Construction In Progress
12,37517,3659,02024,11021,457
Source: S&P Global Market Intelligence. Standard template. Financial Sources.