PI Advanced Materials Co., Ltd. (KRX:178920)
South Korea flag South Korea · Delayed Price · Currency is KRW
20,500
-1,300 (-5.96%)
Last updated: Jun 8, 2026, 1:55 PM KST

PI Advanced Materials 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
54,25950,68282,81556,41216,40490,464
Short-Term Investments
-0---015,000
Cash & Short-Term Investments
54,25950,68282,81556,41216,404105,464
Cash Growth
-11.57%-38.80%46.80%243.90%-84.45%39.06%
Accounts Receivable
44,06636,14535,74131,72230,01944,374
Other Receivables
58.9362.0249.21127.87108.4226.59
Receivables
44,55736,72836,40332,13230,38444,866
Inventory
37,92733,09139,38238,78583,68542,081
Prepaid Expenses
1,011710.31,388591.491,1573,896
Other Current Assets
923.761,38021.66215.2648.9169.48
Total Current Assets
138,678122,591160,009128,135131,678196,376
Property, Plant & Equipment
317,550324,299347,009369,913346,897259,404
Long-Term Investments
--2555
Other Intangible Assets
9,3809,56410,78712,66013,94813,455
Long-Term Accounts Receivable
-0-0---
Other Long-Term Assets
5,6297,1048,7356,5415,8432,879
Total Assets
472,537464,759527,695517,946498,997472,960
Accounts Payable
12,9817,7099,13610,13013,27123,164
Accrued Expenses
5,0544,9683,9513,9373,9913,127
Short-Term Debt
--24,41553,35920,18227,514
Current Portion of Long-Term Debt
11,95011,95018,875-3,33313,333
Current Portion of Leases
1,2981,6751,7612,0621,9551,583
Current Income Taxes Payable
6,4255,9291,030-4,34615,236
Other Current Liabilities
22,30416,97215,76718,47217,45824,691
Total Current Liabilities
60,01249,20274,93687,95964,536108,648
Long-Term Debt
30,98833,97596,125100,05073,00017,333
Long-Term Leases
3,5233,576522.291,7972,7163,357
Long-Term Deferred Tax Liabilities
19,27219,21716,73612,19616,25916,700
Other Long-Term Liabilities
3,3603,6354,2161,0251,0331,032
Total Liabilities
117,154109,605192,535203,027157,543147,071
Common Stock
14,68314,68314,68314,68314,68314,683
Additional Paid-In Capital
187,505187,505187,505187,505187,505187,505
Retained Earnings
231,375231,096210,844190,827217,361201,797
Comprehensive Income & Other
-78,180-78,129-77,872-78,096-78,096-78,096
Shareholders' Equity
355,383355,154335,160314,919341,453325,889
Total Liabilities & Equity
472,537464,759527,695517,946498,997472,960
Total Debt
47,75851,175141,699157,268101,18663,121
Net Cash (Debt)
6,500-493.28-58,884-100,856-84,78242,343
Net Cash Growth
-----183.56%
Net Cash Per Share
--16.80-2005.17-3434.39-2887.051441.90
Filing Date Shares Outstanding
-29.3729.3729.3729.3729.37
Total Common Shares Outstanding
-29.3729.3729.3729.3729.37
Working Capital
78,66573,38985,07340,17667,14287,728
Book Value Per Share
-12093.9411413.0710723.8111627.3711097.37
Tangible Book Value
346,003345,591324,373302,259327,506312,434
Tangible Book Value Per Share
-11768.2711045.7510292.7111152.4210639.18
Land
12,01712,01712,01712,01711,98311,915
Buildings
88,56688,56686,94364,26263,86546,164
Machinery
495,339495,004491,734426,901425,528346,411
Construction In Progress
1,230465.32,44382,99935,27324,256