HDC Hyundai Engineering Plastics Co., Ltd. (KRX:089470)
South Korea flag South Korea · Delayed Price · Currency is KRW
5,020.00
+170.00 (3.51%)
Last updated: Apr 8, 2026, 1:51 PM KST

KRX:089470 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
67,49162,75056,23247,33250,704
Short-Term Investments
2,8064,65611,539443.993,425
Cash & Short-Term Investments
70,29867,40667,77147,77654,129
Cash Growth
4.29%-0.54%41.85%-11.74%-39.61%
Accounts Receivable
180,639172,487179,729193,022186,064
Other Receivables
5,4384,6784,3583,6927,440
Receivables
186,206177,165184,087196,713193,504
Inventory
168,242167,557152,530145,422130,188
Prepaid Expenses
542.93453.03438.14369.44395.43
Other Current Assets
3,6674,7952,2553,7214,476
Total Current Assets
428,955417,375407,082394,001382,692
Property, Plant & Equipment
175,570159,973142,384149,414147,276
Long-Term Investments
3,6966,60010,00713,1284,344
Goodwill
3,0013,0013,0013,0013,001
Other Intangible Assets
2,5822,5582,2932,0771,853
Long-Term Accounts Receivable
-16.84-01,403-0
Long-Term Deferred Tax Assets
7,3842,3032,7331,9443,555
Other Long-Term Assets
39,95339,16337,94138,36340,167
Total Assets
661,227630,989605,440603,330582,888
Accounts Payable
91,872101,461106,831101,86291,711
Accrued Expenses
416.13353.012,116316.21253.62
Short-Term Debt
91,36569,28636,58347,96826,217
Current Portion of Long-Term Debt
36,36433,41558,37925,80140,108
Current Portion of Leases
1,1641,189984.051,006879.41
Current Income Taxes Payable
5,7183,9676,0422,3113,316
Other Current Liabilities
35,29333,60333,72326,22226,088
Total Current Liabilities
262,192243,274244,657205,486188,573
Long-Term Debt
27,82940,25030,41566,74168,713
Long-Term Leases
597.731,285643.611,112512.24
Pension & Post-Retirement Benefits
463.32402.08--2,110
Long-Term Deferred Tax Liabilities
14,32011,48710,6098,7428,173
Other Long-Term Liabilities
2,4121,5812,2387,7847,154
Total Liabilities
307,814298,279288,563289,864275,234
Common Stock
17,20017,20017,20017,20017,200
Additional Paid-In Capital
25,49825,49825,49825,49825,498
Retained Earnings
344,946316,716303,040286,168276,725
Treasury Stock
-33,498-33,498-29,103-19,785-19,785
Comprehensive Income & Other
2,5557,177-2,319-2,223315.89
Total Common Equity
356,701333,094314,317306,858299,954
Minority Interest
-3,287-383.522,5616,6087,700
Shareholders' Equity
353,413332,710316,878313,466307,654
Total Liabilities & Equity
661,227630,989605,440603,330582,888
Total Debt
157,320145,425127,003142,627136,430
Net Cash (Debt)
-87,022-78,020-59,233-94,851-82,301
Net Cash Per Share
-3359.42-2937.55-2108.04-3282.05-2847.78
Filing Date Shares Outstanding
25.9225.926.928.928.9
Total Common Shares Outstanding
25.9225.926.928.928.9
Working Capital
166,763174,101162,424188,516194,119
Book Value Per Share
13763.9012860.7611684.6410617.9310379.04
Tangible Book Value
351,118327,535309,023301,780295,100
Tangible Book Value Per Share
13548.4712646.1311487.8510442.2210211.08
Land
66,47662,51862,46062,45361,970
Buildings
93,64661,65658,42565,69965,186
Machinery
43,231112,179107,245116,880113,607
Construction In Progress
867.6317,5751,0381,2921,741
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.