Pulmuone Corporate (KRX:017810)
South Korea flag South Korea · Delayed Price · Currency is KRW
13,100
-120 (-0.91%)
At close: Jan 30, 2026

Pulmuone Corporate 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
207,080170,347127,285132,586121,79098,982
Short-Term Investments
---09,41810,483
Trading Asset Securities
64,623115,149120,961123,047140,330139,116
Cash & Short-Term Investments
271,704285,496248,247255,633271,539248,581
Cash Growth
18.56%15.00%-2.89%-5.86%9.23%82.07%
Accounts Receivable
325,755288,175269,719245,054221,443200,923
Other Receivables
5,7096,6886,05810,95214,32910,185
Receivables
333,324296,721275,777256,006235,832211,113
Inventory
174,386187,079164,853168,726141,498123,111
Prepaid Expenses
12,1188,8119,5245,0244,0873,722
Other Current Assets
48,34630,22731,73566,95658,04143,855
Total Current Assets
839,877808,334730,136752,346710,996630,383
Property, Plant & Equipment
1,273,9561,247,7341,196,6771,086,4051,085,064907,714
Long-Term Investments
17,22416,84723,21820,94014,93642,585
Goodwill
47,10947,53540,91340,69443,40219,904
Other Intangible Assets
72,13075,37754,10257,07259,39828,269
Long-Term Accounts Receivable
87.98140.8446.21671.121,344794.78
Long-Term Deferred Tax Assets
37,57837,53423,52016,31021,05626,533
Other Long-Term Assets
89,38997,65687,77774,77933,17637,391
Total Assets
2,377,6522,331,1582,156,7902,049,2181,969,3731,693,573
Accounts Payable
216,882208,825203,169206,976185,250154,188
Accrued Expenses
38,85220,83720,8239,42421,26017,996
Short-Term Debt
545,671444,460433,390361,521320,391296,041
Current Portion of Long-Term Debt
-180,48258,355106,80785,474143,859
Current Portion of Leases
66,96058,43150,99435,82336,16324,839
Current Income Taxes Payable
5,3659,8658,6259,2307,96610,876
Current Unearned Revenue
1,058958.041,142375.02656.57810.19
Other Current Liabilities
191,540221,258201,303162,514146,681128,223
Total Current Liabilities
1,066,3281,145,117977,801892,670803,842776,833
Long-Term Debt
266,577190,568330,420320,006274,797136,158
Long-Term Leases
381,786356,925315,219219,171216,588209,102
Long-Term Unearned Revenue
1,3522,045----
Pension & Post-Retirement Benefits
46,76437,72815,67514,84427,75529,208
Long-Term Deferred Tax Liabilities
5,1265,088668.46627.24616.83226.12
Other Long-Term Liabilities
10,49710,24710,46255,25355,98329,108
Total Liabilities
1,778,4291,747,7181,650,2451,502,5711,379,5821,180,635
Common Stock
19,06019,06019,06019,06019,06019,060
Additional Paid-In Capital
-15,205-15,20538,29246,71982,38676,344
Retained Earnings
151,442151,772145,076222,694247,174242,589
Treasury Stock
-11,649-12,081-12,970-12,970-12,970-4,231
Comprehensive Income & Other
146,311158,077126,135134,739128,920114,306
Total Common Equity
289,959301,623315,594410,243464,570448,068
Minority Interest
307,246279,799188,933134,387123,20462,853
Shareholders' Equity
599,222583,439506,545546,647589,791512,939
Total Liabilities & Equity
2,377,6522,331,1582,156,7902,049,2181,969,3731,693,573
Total Debt
1,260,9941,230,8671,188,3781,043,328933,412809,998
Net Cash (Debt)
-989,291-945,371-940,131-787,695-661,874-561,417
Net Cash Per Share
-25181.43-20616.80-20582.14-21421.73-17978.92-13597.07
Filing Date Shares Outstanding
36.8936.8636.7736.7736.7737.27
Total Common Shares Outstanding
36.8936.8636.7736.7736.7737.27
Working Capital
-226,450-336,783-247,665-140,324-92,846-146,450
Book Value Per Share
7859.408182.208582.7311156.7412634.2012021.94
Tangible Book Value
170,720178,711220,580312,476361,769399,895
Tangible Book Value Per Share
4627.404847.945998.778497.949838.4810729.44
Land
91,86792,27785,85881,66583,42981,090
Buildings
431,220727,721712,027670,083594,443505,463
Machinery
289,145884,827803,527750,759655,145540,510
Construction In Progress
88,52141,06044,96757,929138,00566,605
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.