KPX Chemical Co.,Ltd. (KRX:025000)
South Korea flag South Korea · Delayed Price · Currency is KRW
49,200
-500 (-1.01%)
Mar 19, 2026, 9:20 AM KST

KPX Chemical 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
42,857109,61485,54361,43457,108
Short-Term Investments
9,0095,90528,13927,87159,499
Trading Asset Securities
116,53091,16265,28550,92065,004
Cash & Short-Term Investments
168,396206,681178,967140,225181,611
Cash Growth
-18.52%15.49%27.63%-22.79%12.49%
Accounts Receivable
111,728134,823135,587138,222150,608
Other Receivables
8,3441,1641,0121,1131,816
Receivables
120,090136,013136,635139,380152,434
Inventory
115,946131,109112,052112,198115,550
Prepaid Expenses
3,2883,2783,5114,3612,968
Other Current Assets
558.09609.24292.4830.02774.64
Total Current Assets
408,279477,690431,457396,994453,337
Property, Plant & Equipment
179,417206,836236,398231,438194,143
Long-Term Investments
165,269153,655135,314133,193121,035
Goodwill
2,3272,0202,020--
Other Intangible Assets
8,7938,7008,2256,6375,926
Long-Term Deferred Tax Assets
---0.521.78
Other Long-Term Assets
102,27131,7048,9898,4042,512
Total Assets
875,369880,647822,466776,778777,143
Accounts Payable
50,04157,29165,96568,87669,664
Accrued Expenses
3,0673,5632,5111,4631,389
Short-Term Debt
94,54268,09659,94459,50087,199
Current Portion of Long-Term Debt
1,4271,508---
Current Portion of Leases
2,1063,0042,8342,9001,806
Current Income Taxes Payable
7,5056,9499,9505,3274,294
Other Current Liabilities
34,89823,41817,39228,47924,161
Total Current Liabilities
193,587163,828158,596166,545188,513
Long-Term Debt
713.642,2626,9306,317-
Long-Term Leases
664.851,5031,4883,1222,248
Pension & Post-Retirement Benefits
0-000476.36
Long-Term Deferred Tax Liabilities
14,23010,5517,7044,2977,173
Other Long-Term Liabilities
855.551,2391,1751,311665.88
Total Liabilities
210,050179,384175,894181,591199,075
Common Stock
21,89424,20024,20024,20024,200
Additional Paid-In Capital
1,3052,4312,4312,4312,431
Retained Earnings
667,879631,664583,508531,545511,620
Treasury Stock
-11,695-5,143-5,143-5,143-5,143
Comprehensive Income & Other
-23,19539,16731,84230,79533,332
Total Common Equity
656,187692,318636,837583,827566,440
Minority Interest
9,1328,9459,73611,35911,628
Shareholders' Equity
665,319701,263646,573595,187578,068
Total Liabilities & Equity
875,369880,647822,466776,778777,143
Total Debt
99,45376,37371,19771,83991,253
Net Cash (Debt)
68,943130,308107,77068,38690,358
Net Cash Growth
-47.09%20.91%57.59%-24.32%-39.15%
Net Cash Per Share
14499.8627402.9225181.7615979.1121113.22
Filing Date Shares Outstanding
4.754.284.284.284.28
Total Common Shares Outstanding
4.754.284.284.284.28
Working Capital
214,692313,862272,862230,449264,824
Book Value Per Share
138007.11161767.93148804.18136417.87132355.09
Tangible Book Value
645,067681,599626,593577,190560,514
Tangible Book Value Per Share
135668.42159263.20146410.48134866.98130970.53
Land
56,25061,79085,20061,81461,814
Buildings
110,475117,631115,373109,30297,884
Machinery
221,809245,276230,661219,654196,245
Construction In Progress
8,3463,9042,39017,4187,551
Source: S&P Global Market Intelligence. Standard template. Financial Sources.