Seoul City Gas Co., Ltd. (KRX:017390)
South Korea flag South Korea · Delayed Price · Currency is KRW
62,000
+900 (1.47%)
At close: Apr 8, 2026

Seoul City Gas 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
33,34248,22829,35049,39350,148
Short-Term Investments
--76,89321,28830,541
Trading Asset Securities
612,547589,897532,138553,165379,295
Cash & Short-Term Investments
645,889638,125638,380623,846459,984
Cash Growth
1.22%-0.04%2.33%35.62%-25.35%
Accounts Receivable
354,876359,798361,128428,264268,785
Other Receivables
5,1425,8455,6863,8022,110
Receivables
360,018365,643366,814432,065270,895
Inventory
1,5601,7631,6391,4521,345
Prepaid Expenses
3,1703,9103,5834,5541,958
Other Current Assets
407.863,088504.661,0343,459
Total Current Assets
1,011,0451,012,5281,010,9211,062,951737,642
Property, Plant & Equipment
608,628609,042607,481604,108606,953
Long-Term Investments
21,71210,7149,41764,029176,581
Goodwill
8,379----
Other Intangible Assets
4,5465,2086,4777,60110,384
Long-Term Accounts Receivable
1,9681,074000
Other Long-Term Assets
141,410127,397142,924132,653131,042
Total Assets
1,797,6881,765,9621,777,2201,871,3421,662,602
Accounts Payable
342,111345,509378,138493,233305,797
Accrued Expenses
13,14811,4239,1398,6838,074
Current Portion of Long-Term Debt
1,2961,2961,3751,2571,316
Current Portion of Leases
4,9684,8135,0594,9025,084
Current Income Taxes Payable
7,9981,0063,0363,543334.46
Other Current Liabilities
54,79347,41950,03745,78841,719
Total Current Liabilities
424,314411,465446,785557,407362,324
Long-Term Debt
4,2705,5666,8627,7358,992
Long-Term Leases
44,18944,29842,96441,55441,483
Pension & Post-Retirement Benefits
42.3937.0521.87151.84-0
Long-Term Deferred Tax Liabilities
24,55824,50126,64128,62831,091
Other Long-Term Liabilities
179,081182,377186,150182,898179,940
Total Liabilities
676,455668,245709,423818,374623,831
Common Stock
35,00035,00035,00035,00035,000
Additional Paid-In Capital
23,60423,60623,15023,09323,093
Retained Earnings
1,097,2761,074,2981,051,3051,039,7851,026,332
Treasury Stock
-43,411-43,411-45,445-45,445-45,445
Comprehensive Income & Other
5,5465,148-2,084-3,348-4,062
Total Common Equity
1,118,0151,094,6411,061,9251,049,0851,034,917
Minority Interest
3,2183,0765,8723,8843,854
Shareholders' Equity
1,121,2331,097,7171,067,7971,052,9691,038,771
Total Liabilities & Equity
1,797,6881,765,9621,777,2201,871,3421,662,602
Total Debt
54,72355,97256,26055,44956,875
Net Cash (Debt)
591,166582,152582,121568,397403,109
Net Cash Growth
1.55%0.01%2.41%41.00%-26.62%
Net Cash Per Share
150325.22149481.63149923.25146388.73103819.35
Filing Date Shares Outstanding
3.933.933.883.883.88
Total Common Shares Outstanding
3.933.933.883.883.88
Working Capital
586,731601,063564,136505,545375,318
Book Value Per Share
284342.52278336.77273495.24270188.21266539.46
Tangible Book Value
1,105,0911,089,4331,055,4481,041,4841,024,534
Tangible Book Value Per Share
281055.34277012.64271827.14268230.62263865.15
Land
130,399130,099129,376127,774127,430
Buildings
71,09970,79470,79270,22570,206
Machinery
1,038,7151,020,895989,968956,886933,513
Construction In Progress
8,9933,8137,2535,4113,864
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.