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Prostemics Co Ltd
KOSDAQ:203690

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Prostemics Co Ltd
KOSDAQ:203690
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Price: 4 425 KRW -1.67% Market Closed
Market Cap: ₩58.3B

Balance Sheet

Balance Sheet Decomposition
Prostemics Co Ltd

Balance Sheet
Prostemics Co Ltd

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Balance Sheet
Currency: KRW
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024
Assets
Cash & Cash Equivalents
302
6 668
3 611
6 517
4 337
6 063
9 785
1 376
3 037
8 183
9 658
Cash
0
0
3 611
6 517
4 337
0
0
0
0
0
0
Cash Equivalents
302
6 668
0
0
0
6 063
9 785
1 376
3 037
8 183
9 658
Short-Term Investments
21 530
20 934
25 072
11 321
10 426
6 931
6 573
4 887
100
0
9 164
Total Receivables
146
1 179
652
768
609
1 034
7 581
4 709
3 867
7 299
3 793
Accounts Receivables
145
1 179
624
582
361
679
7 328
4 508
3 188
3 963
3 687
Other Receivables
1
0
28
186
248
355
253
201
680
3 337
105
Inventory
0
668
1 077
1 159
652
653
4 783
3 751
5 677
4 559
3 787
Other Current Assets
5
688
351
489
661
533
688
638
664
21 738
432
Total Current Assets
21 983
30 137
30 763
20 255
16 685
15 214
29 411
15 361
13 244
41 779
26 833
PP&E Net
4
7 429
11 432
12 374
11 582
14 199
21 315
30 951
21 264
25 118
24 913
PP&E Gross
0
0
11 432
12 374
11 582
14 199
21 315
30 951
21 264
25 118
24 913
Accumulated Depreciation
0
0
2 558
3 715
4 979
6 129
11 417
12 835
11 620
7 830
7 934
Intangible Assets
0
611
918
979
843
469
2 843
2 424
2 288
698
72
Goodwill
0
0
0
0
0
0
4 484
1 657
1 657
0
0
Note Receivable
0
0
0
0
0
116
148
73
354
0
0
Long-Term Investments
0
5 107
3 619
4 233
2 493
1 406
1 290
2 235
17 781
8 766
8 647
Other Long-Term Assets
30
0
328
2 743
1 710
434
684
460
478
828
582
Other Assets
0
0
0
0
0
0
4 484
1 657
1 657
0
0
Total Assets
22 017
N/A
43 284
+97%
47 061
+9%
40 584
-14%
33 313
-18%
31 839
-4%
60 175
+89%
53 162
-12%
57 066
+7%
77 189
+35%
61 048
-21%
Liabilities
Accounts Payable
0
28
255
131
137
0
1 659
2 464
4 080
1 383
1 241
Accrued Liabilities
0
0
238
232
134
137
199
170
236
452
436
Short-Term Debt
0
0
0
0
0
0
0
3 000
9 200
6 500
11 000
Current Portion of Long-Term Debt
0
0
0
0
0
286
466
486
16 702
26 804
15 589
Other Current Liabilities
3
1 458
1 493
830
947
1 165
31 398
29 214
7 725
7 484
3 890
Total Current Liabilities
3
1 486
1 986
1 192
1 218
1 589
33 721
35 334
37 943
42 623
32 156
Long-Term Debt
1 537
1 600
0
0
0
1 291
4 593
2 868
3 093
2 761
30
Deferred Income Tax
85
611
0
0
0
0
0
210
1 275
1 074
2 520
Other Liabilities
0
210
219
234
206
605
388
822
466
298
398
Total Liabilities
1 626
N/A
3 907
+140%
2 204
-44%
1 426
-35%
1 425
0%
3 485
+145%
38 702
+1 011%
39 233
+1%
42 777
+9%
46 757
+9%
35 105
-25%
Equity
Common Stock
1 052
4 339
4 517
4 517
4 537
4 568
4 576
4 576
4 591
6 211
7 387
Retained Earnings
35
9 925
4 058
26 035
19 738
17 311
10 269
2 919
2 270
26 576
36 140
Additional Paid In Capital
19 304
31 829
32 971
7 971
8 203
9 032
9 281
9 281
10 566
44 378
50 197
Unrealized Security Profit/Loss
0
0
2 212
1 751
910
383
622
661
3 592
8 900
6 981
Treasury Stock
0
0
0
3 307
3 307
3 307
3 307
3 307
3 307
3 320
3 320
Other Equity
0
13 135
1 099
2 190
1 806
1 134
1 277
1 121
1 116
839
839
Total Equity
20 391
N/A
39 377
+93%
44 856
+14%
39 157
-13%
31 888
-19%
28 354
-11%
21 473
-24%
13 929
-35%
14 289
+3%
30 432
+113%
25 943
-15%
Total Liabilities & Equity
22 017
N/A
43 284
+97%
47 061
+9%
40 584
-14%
33 313
-18%
31 839
-4%
60 175
+89%
53 162
-12%
57 066
+7%
77 189
+35%
61 048
-21%
Shares Outstanding
Common Shares Outstanding
11
43
45
44
45
45
45
9
9
9
15
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