KPX Chemical Co.,Ltd. (KRX:025000)
South Korea flag South Korea · Delayed Price · Currency is KRW
49,600
+2,100 (4.42%)
Last updated: Jun 9, 2026, 2:00 PM KST

KPX Chemical 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
51,07942,857109,61485,54361,43457,108
Short-Term Investments
-9,0095,90528,13927,87159,499
Trading Asset Securities
118,442116,53091,16265,28550,92065,004
Cash & Short-Term Investments
169,520168,396206,681178,967140,225181,611
Cash Growth
-5.75%-18.52%15.49%27.63%-22.79%12.49%
Accounts Receivable
121,240111,728134,823135,587138,222150,608
Other Receivables
2,1918,3441,1641,0121,1131,816
Receivables
123,445120,090136,013136,635139,380152,434
Inventory
118,298115,946131,109112,052112,198115,550
Prepaid Expenses
4,7503,2883,2783,5114,3612,968
Other Current Assets
1,583558.09609.24292.4830.02774.64
Total Current Assets
417,598408,279477,690431,457396,994453,337
Property, Plant & Equipment
181,259179,417206,836236,398231,438194,143
Long-Term Investments
177,505165,269153,655135,314133,193121,035
Goodwill
2,3642,3272,0202,020--
Other Intangible Assets
8,7598,7938,7008,2256,6375,926
Long-Term Deferred Tax Assets
----0.521.78
Other Long-Term Assets
97,863102,27131,7048,9898,4042,512
Total Assets
895,359875,369880,647822,466776,778777,143
Accounts Payable
52,34750,04157,29165,96568,87669,664
Accrued Expenses
4,5683,0673,5632,5111,4631,389
Short-Term Debt
95,96094,54268,09659,94459,50087,199
Current Portion of Long-Term Debt
1,5001,4271,508---
Current Portion of Leases
2,4582,1063,0042,8342,9001,806
Current Income Taxes Payable
3,0427,5056,9499,9505,3274,294
Other Current Liabilities
43,23534,89823,41817,39228,47924,161
Total Current Liabilities
203,110193,587163,828158,596166,545188,513
Long-Term Debt
375.12713.642,2626,9306,317-
Long-Term Leases
2,055664.851,5031,4883,1222,248
Pension & Post-Retirement Benefits
-0-000476.36
Long-Term Deferred Tax Liabilities
16,46114,23010,5517,7044,2977,173
Other Long-Term Liabilities
3,755855.551,2391,1751,311665.88
Total Liabilities
225,756210,050179,384175,894181,591199,075
Common Stock
21,89421,89424,20024,20024,20024,200
Additional Paid-In Capital
1,3051,3052,4312,4312,4312,431
Retained Earnings
665,142667,879631,664583,508531,545511,620
Treasury Stock
-11,733-11,695-5,143-5,143-5,143-5,143
Comprehensive Income & Other
-16,841-23,19539,16731,84230,79533,332
Total Common Equity
659,766656,187692,318636,837583,827566,440
Minority Interest
9,8379,1328,9459,73611,35911,628
Shareholders' Equity
669,603665,319701,263646,573595,187578,068
Total Liabilities & Equity
895,359875,369880,647822,466776,778777,143
Total Debt
102,34899,45376,37371,19771,83991,253
Net Cash (Debt)
67,17268,943130,308107,77068,38690,358
Net Cash Growth
-42.36%-47.09%20.91%57.59%-24.32%-39.15%
Net Cash Per Share
14594.8914500.4527402.9225181.7615979.1121113.22
Filing Date Shares Outstanding
4.154.154.284.284.284.28
Total Common Shares Outstanding
4.154.154.284.284.284.28
Working Capital
214,488214,692313,862272,862230,449264,824
Book Value Per Share
159123.54158213.72161767.93148804.18136417.87132355.09
Tangible Book Value
648,644645,067681,599626,593577,190560,514
Tangible Book Value Per Share
156441.08155532.61159263.20146410.48134866.98130970.53
Land
56,25056,25061,79085,20061,81461,814
Buildings
111,879110,475117,631115,373109,30297,884
Machinery
228,905221,809245,276230,661219,654196,245
Construction In Progress
8,7878,3463,9042,39017,4187,551