KPX Chemical Co.,Ltd. (KRX: 025000)
South Korea flag South Korea · Delayed Price · Currency is KRW
44,900
-50 (-0.11%)
Dec 20, 2024, 3:30 PM KST

KPX Chemical Co.,Ltd. Balance Sheet

Millions KRW. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 2018 - 2014
Period Ending
Sep '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19 2018 - 2014
Cash & Equivalents
103,51285,54361,43457,10846,0893,762
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Short-Term Investments
14,10928,13927,87159,49931,50131,112
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Trading Asset Securities
80,88165,28550,92065,00483,85940,523
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Cash & Short-Term Investments
198,502178,967140,225181,611161,44875,397
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Cash Growth
40.82%27.63%-22.79%12.49%114.13%-29.09%
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Accounts Receivable
125,581135,587138,222150,608125,144117,015
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Other Receivables
1,0651,0121,1131,816892.741,157
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Receivables
126,656136,635139,380152,434126,084118,230
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Inventory
145,908112,052112,198115,55065,60777,471
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Prepaid Expenses
4,8743,5114,3612,968610.772,207
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Other Current Assets
330.34292.4830.02774.64480.981,424
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Total Current Assets
476,271431,457396,994453,337354,231274,728
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Property, Plant & Equipment
230,409236,398231,438194,143159,427154,338
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Long-Term Investments
135,943135,314133,193121,035115,08499,887
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Goodwill
2,0202,020----
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Other Intangible Assets
8,8288,2256,6375,9265,4665,645
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Long-Term Deferred Tax Assets
36.93-0.521.7881.62465.85
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Other Long-Term Assets
7,9978,9898,4042,5122,5122,576
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Total Assets
861,570822,466776,778777,143637,004537,886
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Accounts Payable
59,89065,96568,87669,66453,48521,928
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Accrued Expenses
4,3962,5111,4631,3892,9512,931
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Short-Term Debt
65,68659,94459,50087,1999,3955,579
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Current Portion of Leases
2,8302,8342,9001,8061,8381,877
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Current Income Taxes Payable
4,9909,9505,3274,29410,9776,352
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Other Current Liabilities
24,65617,39228,47924,16115,02410,981
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Total Current Liabilities
163,850158,596166,545188,51393,67049,647
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Long-Term Debt
4,5636,9306,317---
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Long-Term Leases
1,8221,4883,1222,2481,7211,927
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Long-Term Deferred Tax Liabilities
9,5987,7044,2977,1733,911678.72
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Other Long-Term Liabilities
1,3201,1751,311665.88997.36950.86
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Total Liabilities
181,155175,894181,591199,075103,37355,559
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Common Stock
24,20024,20024,20024,20024,20024,200
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Additional Paid-In Capital
2,4312,4312,4312,4312,4312,431
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Retained Earnings
614,388583,508531,545511,620475,693424,133
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Treasury Stock
-5,143-5,143-5,143-5,143-5,143-5,143
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Comprehensive Income & Other
35,45231,84230,79533,33226,36027,058
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Total Common Equity
671,328636,837583,827566,440523,540472,679
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Minority Interest
9,0889,73611,35911,62810,0919,648
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Shareholders' Equity
680,416646,573595,187578,068533,631482,326
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Total Liabilities & Equity
861,570822,466776,778777,143637,004537,886
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Total Debt
76,30371,19771,83991,25312,9549,383
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Net Cash (Debt)
122,200107,77068,38690,358148,49466,014
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Net Cash Growth
53.27%57.59%-24.32%-39.15%124.94%-19.90%
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Net Cash Per Share
25698.0022663.5914381.2019001.9031227.6713882.45
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Filing Date Shares Outstanding
4.764.764.764.764.764.76
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Total Common Shares Outstanding
4.764.764.764.764.764.76
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Working Capital
312,421272,862230,449264,824260,561225,081
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Book Value Per Share
141176.97133923.77122776.09119119.59110097.9799402.03
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Tangible Book Value
660,480626,593577,190560,514518,074467,033
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Tangible Book Value Per Share
138895.78131769.43121380.28117873.48108948.4898214.83
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Land
85,17685,20061,81461,81456,59456,594
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Buildings
117,306115,373109,30297,88477,44975,479
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Machinery
236,700230,661219,654196,245167,937165,023
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Construction In Progress
4,6712,39017,4187,55112,325650.11
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Source: S&P Capital IQ. Standard template. Financial Sources.