Miwon Chemicals Co., Ltd. (KRX:134380)
South Korea flag South Korea · Delayed Price · Currency is KRW
95,500
0.00 (0.00%)
Feb 4, 2026, 2:00 PM KST

Miwon Chemicals 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
34,32429,54614,54012,9626,5957,653
Short-Term Investments
42,21019,00012,000---
Cash & Short-Term Investments
76,53448,54626,54012,9626,5957,653
Cash Growth
24.54%82.92%104.75%96.54%-13.83%45.75%
Accounts Receivable
39,46935,00735,30027,97928,33818,033
Other Receivables
1,9751,2491,2141,5821,069739.69
Receivables
41,82936,56636,87429,97829,91019,337
Inventory
20,61219,62616,50817,85815,02311,898
Prepaid Expenses
-356.02363.71333.64603.57285.22
Other Current Assets
688.43217.96394.581,7061,944818.02
Total Current Assets
139,663105,31280,68062,83854,07539,991
Property, Plant & Equipment
72,74977,81879,80281,21575,69681,692
Long-Term Investments
757.4948.18766.72636.58732.74673.59
Other Intangible Assets
646.73646.73646.73622.21656.86524.23
Long-Term Accounts Receivable
-00-00-
Long-Term Deferred Tax Assets
758.74212.45----
Other Long-Term Assets
1,4851,9552,0221,7381,6801,876
Total Assets
216,497187,153164,771147,864133,843125,336
Accounts Payable
18,5212,9532,0911,3181,181551.35
Accrued Expenses
2,5842,5711,178839.07812.18769.47
Short-Term Debt
1,450164.64471.56259.79859.091,185
Current Income Taxes Payable
2,3504,8443,9813,4881,216651.62
Other Current Liabilities
8,8384,5234,392887.051,3342,216
Total Current Liabilities
33,74215,05612,1146,7925,4015,374
Pension & Post-Retirement Benefits
9,1658,3675,8915,0345,8765,600
Long-Term Deferred Tax Liabilities
--846.81,9051,18731.7
Other Long-Term Liabilities
2,9811,3591,4301,4251,4251,425
Total Liabilities
45,88924,78220,28215,15513,88812,431
Common Stock
2,4042,4042,4042,4042,4042,404
Additional Paid-In Capital
35,39535,39535,32435,30535,28435,054
Retained Earnings
148,228136,517119,197104,41191,97685,577
Treasury Stock
-15,444-12,033-12,462-9,444-9,729-10,078
Comprehensive Income & Other
25.8287.6525.5533.4519.75-52.63
Shareholders' Equity
170,608162,371144,489132,709119,955112,905
Total Liabilities & Equity
216,497187,153164,771147,864133,843125,336
Total Debt
1,450164.64471.56259.79859.091,185
Net Cash (Debt)
75,08448,38226,06812,7025,7366,468
Net Cash Growth
22.89%85.60%105.22%121.45%-11.32%56.87%
Net Cash Per Share
37469.6424155.8812860.246217.142815.123195.09
Filing Date Shares Outstanding
1.972.0122.052.042.04
Total Common Shares Outstanding
1.972.0122.052.042.04
Working Capital
105,92090,25668,56656,04648,67434,617
Book Value Per Share
86626.7380809.0572152.7164815.3958717.6955418.52
Tangible Book Value
169,961161,724143,842132,086119,298112,380
Tangible Book Value Per Share
86298.3580487.1971829.7564511.5058396.1655161.20
Land
27,12026,73526,77826,75022,07522,075
Buildings
51,93248,34045,43842,19938,83736,808
Machinery
104,407103,04596,66785,39779,16177,082
Construction In Progress
1,7732,534856.514,5001,9721,081
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.