Pulmuone Corporate (KRX:017810)
South Korea flag South Korea · Delayed Price · Currency is KRW
12,030
+130 (1.09%)
Last updated: Apr 8, 2026, 1:55 PM KST

Pulmuone Corporate 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
129,844170,347127,285132,586121,790
Short-Term Investments
---09,418
Trading Asset Securities
125,602115,149120,961123,047140,330
Cash & Short-Term Investments
255,446285,496248,247255,633271,539
Cash Growth
-10.53%15.00%-2.89%-5.86%9.23%
Accounts Receivable
303,543288,175269,719245,054221,443
Other Receivables
6,4936,6886,05810,95214,329
Receivables
310,971296,721275,777256,006235,832
Inventory
188,518187,079164,853168,726141,498
Prepaid Expenses
8,4898,8119,5245,0244,087
Other Current Assets
34,99430,22731,73566,95658,041
Total Current Assets
798,418808,334730,136752,346710,996
Property, Plant & Equipment
1,280,0761,247,7341,196,6771,086,4051,085,064
Long-Term Investments
19,53416,84723,21820,94014,936
Goodwill
47,18847,53540,91340,69443,402
Other Intangible Assets
72,54575,37754,10257,07259,398
Long-Term Accounts Receivable
84.47140.8446.21671.121,344
Long-Term Deferred Tax Assets
32,08637,53423,52016,31021,056
Other Long-Term Assets
97,47297,65687,77774,77933,176
Total Assets
2,348,1532,331,1582,156,7902,049,2181,969,373
Accounts Payable
216,144208,825203,169206,976185,250
Accrued Expenses
15,67120,83720,8239,42421,260
Short-Term Debt
471,562444,460433,390361,521320,391
Current Portion of Long-Term Debt
125,801180,48258,355106,80785,474
Current Portion of Leases
68,04358,43150,99435,82336,163
Current Income Taxes Payable
5,5499,8658,6259,2307,966
Current Unearned Revenue
1,081958.041,142375.02656.57
Other Current Liabilities
203,634221,258201,303162,514146,681
Total Current Liabilities
1,107,4841,145,117977,801892,670803,842
Long-Term Debt
206,507190,568330,420320,006274,797
Long-Term Leases
375,256356,925315,219219,171216,588
Long-Term Unearned Revenue
1,1132,045---
Pension & Post-Retirement Benefits
26,22137,72815,67514,84427,755
Long-Term Deferred Tax Liabilities
3,2125,088668.46627.24616.83
Other Long-Term Liabilities
10,63610,24710,46255,25355,983
Total Liabilities
1,730,4291,747,7181,650,2451,502,5711,379,582
Common Stock
19,06019,06019,06019,06019,060
Additional Paid-In Capital
-15,021-15,20538,29246,71982,386
Retained Earnings
161,284151,772145,076222,694247,174
Treasury Stock
-11,794-12,081-12,970-12,970-12,970
Comprehensive Income & Other
154,556158,077126,135134,739128,920
Total Common Equity
308,086301,623315,594410,243464,570
Minority Interest
307,621279,799188,933134,387123,204
Shareholders' Equity
617,725583,439506,545546,647589,791
Total Liabilities & Equity
2,348,1532,331,1582,156,7902,049,2181,969,373
Total Debt
1,247,1691,230,8671,188,3781,043,328933,412
Net Cash (Debt)
-991,723-945,371-940,131-787,695-661,874
Net Cash Per Share
-4549.03-14580.02-20582.14-21421.73-17978.92
Filing Date Shares Outstanding
36.8936.8636.7736.7736.77
Total Common Shares Outstanding
36.8936.8636.7736.7736.77
Working Capital
-309,067-336,783-247,665-140,324-92,846
Book Value Per Share
8350.748182.208582.7311156.7412634.20
Tangible Book Value
188,353178,711220,580312,476361,769
Tangible Book Value Per Share
5105.364847.945998.778497.949838.48
Land
91,14992,27785,85881,66583,429
Buildings
731,281727,721712,027670,083594,443
Machinery
893,460884,827803,527750,759655,145
Construction In Progress
105,50141,06044,96757,929138,005
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.