Miwon Chemicals Co., Ltd. (KRX:134380)
South Korea flag South Korea · Delayed Price · Currency is KRW
111,000
+600 (0.54%)
Mar 18, 2026, 3:30 PM KST

Miwon Chemicals 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
16,84829,54614,54012,9626,595
Short-Term Investments
33,00019,00012,000--
Cash & Short-Term Investments
49,84848,54626,54012,9626,595
Cash Growth
2.68%82.92%104.75%96.54%-13.83%
Accounts Receivable
43,52135,00735,30027,97928,338
Other Receivables
2,0321,2491,2141,5821,069
Receivables
45,96136,56636,87429,97829,910
Inventory
21,50819,62616,50817,85815,023
Prepaid Expenses
589.03356.02363.71333.64603.57
Other Current Assets
346.19217.96394.581,7061,944
Total Current Assets
118,253105,31280,68062,83854,075
Property, Plant & Equipment
72,54377,81879,80281,21575,696
Long-Term Investments
926.36948.18766.72636.58732.74
Other Intangible Assets
572.71646.73646.73622.21656.86
Long-Term Accounts Receivable
-00-00
Long-Term Deferred Tax Assets
1,638212.45---
Other Long-Term Assets
1,4701,9552,0221,7381,680
Total Assets
195,734187,153164,771147,864133,843
Accounts Payable
509.372,9532,0911,3181,181
Accrued Expenses
1,2232,5711,178839.07812.18
Short-Term Debt
524.08164.64471.56259.79859.09
Current Income Taxes Payable
4,0164,8443,9813,4881,216
Other Current Liabilities
3,1674,5234,392887.051,334
Total Current Liabilities
9,43915,05612,1146,7925,401
Pension & Post-Retirement Benefits
9,7538,3675,8915,0345,876
Long-Term Deferred Tax Liabilities
--846.81,9051,187
Other Long-Term Liabilities
2,9901,3591,4301,4251,425
Total Liabilities
22,18224,78220,28215,15513,888
Common Stock
2,4042,4042,4042,4042,404
Additional Paid-In Capital
35,48835,39535,32435,30535,284
Retained Earnings
152,887136,517119,197104,41191,976
Treasury Stock
-17,276-12,033-12,462-9,444-9,729
Comprehensive Income & Other
48.6687.6525.5533.4519.75
Shareholders' Equity
173,552162,371144,489132,709119,955
Total Liabilities & Equity
195,734187,153164,771147,864133,843
Total Debt
524.08164.64471.56259.79859.09
Net Cash (Debt)
49,32448,38226,06812,7025,736
Net Cash Growth
1.95%85.60%105.22%121.45%-11.32%
Net Cash Per Share
-24155.8812860.246217.142815.12
Filing Date Shares Outstanding
-2.0122.052.04
Total Common Shares Outstanding
-2.0122.052.04
Working Capital
108,81490,25668,56656,04648,674
Book Value Per Share
-80809.0572152.7164815.3958717.69
Tangible Book Value
172,979161,724143,842132,086119,298
Tangible Book Value Per Share
-80487.1971829.7564511.5058396.16
Land
27,12026,73526,77826,75022,075
Buildings
51,71548,34045,43842,19938,837
Machinery
103,699103,04596,66785,39779,161
Construction In Progress
4,4542,534856.514,5001,972
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.