HS Ad Inc. (KRX:035000)
South Korea flag South Korea · Delayed Price · Currency is KRW
8,720.00
0.00 (0.00%)
At close: Feb 20, 2026

HS Ad 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
42,51263,210108,67967,25261,13369,256
Short-Term Investments
1,63522,5808,71721,68923,40028,651
Cash & Short-Term Investments
44,14885,790117,39688,94184,53397,907
Cash Growth
-9.86%-26.92%31.99%5.21%-13.66%-1.18%
Accounts Receivable
277,073385,840333,015351,044359,807328,380
Other Receivables
262.81425.1698.67433.151,069425.74
Receivables
277,336386,265333,713351,477360,876328,806
Prepaid Expenses
2,2691,6741,6761,2351,2091,388
Other Current Assets
90,87522,33550,84950,01369,53661,021
Total Current Assets
414,628496,064503,634491,666516,154489,122
Property, Plant & Equipment
12,57517,99713,56916,26616,25511,479
Long-Term Investments
2,326326.34312.29237.81237.99240.35
Goodwill
7,5847,5846,2976,2976,2976,297
Other Intangible Assets
13,43612,5017,8318,3748,6898,385
Long-Term Accounts Receivable
0-00-00-0
Long-Term Deferred Tax Assets
15,15314,59215,18113,83516,25014,559
Other Long-Term Assets
3,6664,008947.655,4751,014282.52
Total Assets
469,367553,073547,773542,151564,897530,367
Accounts Payable
169,542270,611275,156260,026271,469280,372
Accrued Expenses
17,50727,51322,23722,42121,2229,950
Short-Term Debt
3,063656.482,10715,91110,1002,052
Current Portion of Leases
3,6716,6235,9245,9525,5105,053
Current Income Taxes Payable
537.79951.434,3634,7616,8135,326
Current Unearned Revenue
0.460.450.390.720.70.71
Other Current Liabilities
75,58432,76346,83551,52579,15274,462
Total Current Liabilities
269,905339,119356,622360,596394,267377,217
Long-Term Leases
3,9044,6914,1975,4756,0952,317
Pension & Post-Retirement Benefits
4,7201,834975.271,0131,5163,382
Long-Term Deferred Tax Liabilities
2,5133,1721,699---
Other Long-Term Liabilities
1,8361,3341,5001,1411,8552,123
Total Liabilities
282,877350,151364,993368,225403,733385,038
Common Stock
17,57117,57117,57117,57117,57117,571
Additional Paid-In Capital
55,02455,02455,02455,02455,02455,024
Retained Earnings
116,890132,676118,280109,15497,86484,389
Treasury Stock
-7,091-7,091-7,091-7,091-7,091-7,091
Comprehensive Income & Other
4,0704,712-1,036-767.29-2,236-4,587
Total Common Equity
186,465202,894182,750173,892161,133145,307
Minority Interest
24.8328.3730.3433.5431.4422.09
Shareholders' Equity
186,490202,922182,780173,925161,164145,329
Total Liabilities & Equity
469,367553,073547,773542,151564,897530,367
Total Debt
10,63711,97112,22827,33821,7059,422
Net Cash (Debt)
33,51073,819105,16861,60362,82888,485
Net Cash Growth
-12.44%-29.81%70.72%-1.95%-29.00%-4.04%
Net Cash Per Share
2069.864554.606488.783800.883876.435459.46
Filing Date Shares Outstanding
16.2116.2116.2116.2116.2116.21
Total Common Shares Outstanding
16.2116.2116.2116.2116.2116.21
Working Capital
144,723156,945147,012131,070121,887111,906
Book Value Per Share
11504.7712518.3911275.5110728.999941.798965.34
Tangible Book Value
165,445182,809168,621159,220146,146130,624
Tangible Book Value Per Share
10207.8511279.1710403.829823.779017.128059.42
Machinery
24,37926,11320,82522,07821,06119,334
Construction In Progress
---44.74--
Source: S&P Global Market Intelligence. Standard template. Financial Sources.