SJM Co., Ltd. (KRX:123700)
South Korea flag South Korea · Delayed Price · Currency is KRW
3,250.00
+110.00 (3.50%)
Jun 9, 2026, 3:30 PM KST

SJM Co., Ltd. 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
81,54270,22757,56648,13433,80838,495
Short-Term Investments
12,22212,4064,8204,0413,9254,003
Trading Asset Securities
13,50713,38112,5704,0009,1565,000
Cash & Short-Term Investments
107,27196,01474,95656,17546,89047,498
Cash Growth
45.98%28.09%33.43%19.80%-1.28%-26.92%
Accounts Receivable
50,20250,34449,84350,47948,63139,974
Other Receivables
7,1567,4226,9444,4121,4642,315
Receivables
57,35857,76656,78754,89150,09542,290
Inventory
61,29160,06478,47768,15067,35064,030
Prepaid Expenses
499.79524.13649.96787.58977.1348.14
Other Current Assets
536.13458.22795.92332.15420.161,241
Total Current Assets
226,956214,826211,666180,335165,732155,407
Property, Plant & Equipment
60,75858,83358,84153,93659,74265,677
Long-Term Investments
4,9222,6841,2302,4482,2212,527
Goodwill
--13.2413.2413.2913.29
Other Intangible Assets
7,3607,62411,05512,45413,67214,895
Long-Term Deferred Tax Assets
1,067-477.77612.56-1,115
Other Long-Term Assets
1,9191,8641,7341,7531,8941,632
Total Assets
302,998285,847285,111251,635243,275241,266
Accounts Payable
21,49214,95224,06420,88519,50216,132
Accrued Expenses
3,8106,8565,9147,4367,4057,602
Short-Term Debt
3,5003,5004,5405,5682,713125
Current Portion of Long-Term Debt
136.25129.18-16.643,4221,094
Current Portion of Leases
2,1111,9601,7191,5021,1781,988
Current Income Taxes Payable
2,5011,7792,116983.81923.98799.08
Current Unearned Revenue
--2.1737.53155.7367.38
Other Current Liabilities
8,1404,5065,9496,4666,3298,434
Total Current Liabilities
41,69033,68344,30442,89641,62836,242
Long-Term Debt
209.04232.32518.12-16.6466.56
Long-Term Leases
3,9413,8765,0704,0209,11311,416
Long-Term Unearned Revenue
215.58218.44203.85208.96218.37-
Pension & Post-Retirement Benefits
5,6385,0023,3621,466514.873,061
Long-Term Deferred Tax Liabilities
2,0791,0272,6042,6253,1613,229
Other Long-Term Liabilities
765.23789.63959.67634.48624.65820.45
Total Liabilities
54,53844,82857,02251,85155,27654,836
Common Stock
7,8027,8027,8027,8027,8027,802
Additional Paid-In Capital
59,38559,38559,38559,38559,38559,023
Retained Earnings
175,551172,209162,600144,701129,370124,923
Comprehensive Income & Other
-3,594-7,583-12,121-22,097-19,411-18,035
Total Common Equity
239,145231,814217,666189,792177,147173,713
Minority Interest
8,4638,3689,6449,14410,04012,011
Shareholders' Equity
248,461241,019228,089199,783187,999186,430
Total Liabilities & Equity
302,998285,847285,111251,635243,275241,266
Total Debt
9,8989,69811,84811,10716,44214,690
Net Cash (Debt)
97,37486,31663,10845,06730,44832,808
Net Cash Growth
54.17%36.78%40.03%48.02%-7.19%-36.29%
Net Cash Per Share
6243.465531.364044.242888.031951.172102.39
Filing Date Shares Outstanding
15.5915.615.615.615.615.6
Total Common Shares Outstanding
15.5915.615.615.615.615.6
Working Capital
185,266181,143167,363137,439124,104119,164
Book Value Per Share
15338.0914855.2213948.6012162.3111352.0011131.95
Tangible Book Value
231,785224,190206,598177,324163,461158,805
Tangible Book Value Per Share
14866.0214366.6613239.2911363.3510474.9910176.62
Land
23,42123,34623,42923,46223,45723,396
Buildings
10,87010,4518,3428,1978,49615,135
Machinery
18,32215,58617,18015,30616,40168,664
Construction In Progress
3,3924,9393,1561,5491,6031,035