Pulmuone Corporate (KRX:017810)
South Korea flag South Korea · Delayed Price · Currency is KRW
9,700.00
+640.00 (7.06%)
Jun 9, 2026, 12:30 PM KST

Pulmuone Corporate Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
146,135129,844170,347127,285132,586121,790
Short-Term Investments
8,689---09,418
Trading Asset Securities
62,877125,602115,149120,961123,047140,330
Cash & Short-Term Investments
217,702255,446285,496248,247255,633271,539
Cash Growth
-6.70%-10.53%15.00%-2.89%-5.86%9.23%
Accounts Receivable
340,192303,543288,175269,719245,054221,443
Other Receivables
5,5586,4936,6886,05810,95214,329
Receivables
347,193310,971296,721275,777256,006235,832
Inventory
210,054188,518187,079164,853168,726141,498
Prepaid Expenses
14,1928,4898,8119,5245,0244,087
Other Current Assets
43,88234,99430,22731,73566,95658,041
Total Current Assets
833,023798,418808,334730,136752,346710,996
Property, Plant & Equipment
1,293,5131,280,0761,247,7341,196,6771,086,4051,085,064
Long-Term Investments
19,64719,53416,84723,21820,94014,936
Goodwill
48,15147,18847,53540,91340,69443,402
Other Intangible Assets
70,66372,54575,37754,10257,07259,398
Long-Term Accounts Receivable
82.9884.47140.8446.21671.121,344
Long-Term Deferred Tax Assets
32,69232,08637,53423,52016,31021,056
Other Long-Term Assets
88,75397,47297,65687,77774,77933,176
Total Assets
2,387,2752,348,1532,331,1582,156,7902,049,2181,969,373
Accounts Payable
256,368216,144208,825203,169206,976185,250
Accrued Expenses
23,74515,67120,83720,8239,42421,260
Short-Term Debt
545,879471,562444,460433,390361,521320,391
Current Portion of Long-Term Debt
59,970125,801180,48258,355106,80785,474
Current Portion of Leases
68,70068,04358,43150,99435,82336,163
Current Income Taxes Payable
9,8525,5499,8658,6259,2307,966
Current Unearned Revenue
1,0981,081958.041,142375.02656.57
Other Current Liabilities
178,794203,634221,258201,303162,514146,681
Total Current Liabilities
1,144,4061,107,4841,145,117977,801892,670803,842
Long-Term Debt
208,622206,507190,568330,420320,006274,797
Long-Term Leases
371,005375,256356,925315,219219,171216,588
Long-Term Unearned Revenue
876.321,1132,045---
Pension & Post-Retirement Benefits
33,62326,22137,72815,67514,84427,755
Long-Term Deferred Tax Liabilities
3,1213,2125,088668.46627.24616.83
Other Long-Term Liabilities
11,45510,63610,24710,46255,25355,983
Total Liabilities
1,773,1081,730,4291,747,7181,650,2451,502,5711,379,582
Common Stock
19,06019,06019,06019,06019,06019,060
Additional Paid-In Capital
-15,247-15,021-15,20538,29246,71982,386
Retained Earnings
158,311161,284151,772145,076222,694247,174
Treasury Stock
-11,794-11,794-12,081-12,970-12,970-12,970
Comprehensive Income & Other
173,958154,556158,077126,135134,739128,920
Total Common Equity
324,288308,086301,623315,594410,243464,570
Minority Interest
287,862307,621279,799188,933134,387123,204
Shareholders' Equity
614,167617,725583,439506,545546,647589,791
Total Liabilities & Equity
2,387,2752,348,1532,331,1582,156,7902,049,2181,969,373
Total Debt
1,254,1761,247,1691,230,8671,188,3781,043,328933,412
Net Cash (Debt)
-1,036,474-991,723-945,371-940,131-787,695-661,874
Net Cash Per Share
-15248.89-26773.96-20616.80-20582.14-21421.73-17978.92
Filing Date Shares Outstanding
132.8236.8936.8636.7736.7736.77
Total Common Shares Outstanding
132.8236.8936.8636.7736.7736.77
Working Capital
-311,383-309,067-336,783-247,665-140,324-92,846
Book Value Per Share
2441.488350.748182.208582.7311156.7412634.20
Tangible Book Value
205,474188,353178,711220,580312,476361,769
Tangible Book Value Per Share
1546.965105.364847.945998.778497.949838.48
Land
92,09591,14992,27785,85881,66583,429
Buildings
432,390731,281727,721712,027670,083594,443
Machinery
289,643893,460884,827803,527750,759655,145
Construction In Progress
119,718105,50141,06044,96757,929138,005