Seoul City Gas Co., Ltd. (KRX:017390)
South Korea flag South Korea · Delayed Price · Currency is KRW
65,600
-400 (-0.61%)
Feb 5, 2026, 3:30 PM KST

Seoul City Gas 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
41,40248,22829,35049,39350,14830,819
Short-Term Investments
38,48823,36176,89321,28830,54128,818
Trading Asset Securities
592,353566,536532,138553,165379,295556,569
Cash & Short-Term Investments
672,243638,125638,380623,846459,984616,206
Cash Growth
0.11%-0.04%2.33%35.62%-25.35%31.26%
Accounts Receivable
105,367359,798361,128428,264268,785245,294
Other Receivables
2,7675,8455,6863,8022,1101,804
Receivables
108,134365,643366,814432,065270,895247,098
Inventory
1,6151,7631,6391,4521,3451,123
Prepaid Expenses
440.43,9103,5834,5541,9581,282
Other Current Assets
5,4613,088504.661,0343,459284.08
Total Current Assets
787,8931,012,5281,010,9211,062,951737,642865,993
Property, Plant & Equipment
606,753609,042607,481604,108606,953629,301
Long-Term Investments
10,94010,7149,41764,029176,58161,985
Goodwill
8,379-----
Other Intangible Assets
4,5875,2086,4777,60110,38411,124
Long-Term Accounts Receivable
2,0411,074000-0
Other Long-Term Assets
128,616127,397142,924132,653131,042121,311
Total Assets
1,549,2091,765,9621,777,2201,871,3421,662,6021,689,713
Accounts Payable
111,678345,509378,138493,233305,797249,751
Accrued Expenses
8,38111,4239,1398,6838,0748,192
Current Portion of Long-Term Debt
1,2961,2961,3751,2571,3161,284
Current Portion of Leases
4,9604,8135,0594,9025,0844,966
Current Income Taxes Payable
6,7791,0063,0363,543334.4667,014
Other Current Liabilities
51,80247,41950,03745,78841,71952,124
Total Current Liabilities
184,896411,465446,785557,407362,324383,332
Long-Term Debt
4,5945,5666,8627,7358,99210,309
Long-Term Leases
41,79144,29842,96441,55441,48350,334
Pension & Post-Retirement Benefits
562.6737.0521.87151.84-0-0
Long-Term Deferred Tax Liabilities
24,88224,50126,64128,62831,09133,165
Other Long-Term Liabilities
180,473182,377186,150182,898179,940178,088
Total Liabilities
437,198668,245709,423818,374623,831655,228
Common Stock
35,00035,00035,00035,00035,00035,000
Additional Paid-In Capital
23,60423,60623,15023,09323,09323,065
Retained Earnings
1,089,6981,074,2981,051,3051,039,7851,026,3321,023,338
Treasury Stock
-43,411-43,411-45,445-45,445-45,445-45,445
Comprehensive Income & Other
3,8475,148-2,084-3,348-4,062-5,428
Total Common Equity
1,108,7381,094,6411,061,9251,049,0851,034,9171,030,529
Minority Interest
3,2733,0765,8723,8843,8543,955
Shareholders' Equity
1,112,0111,097,7171,067,7971,052,9691,038,7711,034,485
Total Liabilities & Equity
1,549,2091,765,9621,777,2201,871,3421,662,6021,689,713
Total Debt
52,64055,97256,26055,44956,87566,893
Net Cash (Debt)
619,602582,152582,121568,397403,109549,313
Net Cash Growth
0.10%0.01%2.41%41.00%-26.62%37.16%
Net Cash Per Share
157583.29149484.28149923.25146388.73103819.35141432.16
Filing Date Shares Outstanding
3.933.933.883.883.883.88
Total Common Shares Outstanding
3.933.933.883.883.883.88
Working Capital
602,997601,063564,136505,545375,318482,661
Book Value Per Share
281921.29278336.77273495.24270188.21266539.46265409.39
Tangible Book Value
1,095,7721,089,4331,055,4481,041,4841,024,5341,019,406
Tangible Book Value Per Share
278624.37277012.64271827.14268230.62263865.15262544.53
Land
130,226130,099129,376127,774127,430131,391
Buildings
71,09170,79470,79270,22570,20673,967
Machinery
1,041,9741,020,895989,968956,886933,513908,267
Construction In Progress
4,6073,8137,2535,4113,8649,269
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.