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KPX Chemical Co Ltd
KRX:025000

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KPX Chemical Co Ltd
KRX:025000
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Price: 51 500 KRW 4.67% Market Closed
Market Cap: ₩225.6B

Balance Sheet

Balance Sheet Decomposition
KPX Chemical Co Ltd

Balance Sheet
KPX Chemical Co Ltd

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Balance Sheet
Currency: KRW
Dec-2001 Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 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
1 470
2 562
3 866
5 959
6 550
5 187
7 313
18 856
12 441
42 408
46 914
40 947
24 616
48 549
29 835
62 299
38 278
9 888
3 762
46 089
57 108
61 434
85 543
109 614
Cash Equivalents
1 470
2 562
3 866
5 959
6 550
5 187
7 313
18 856
12 441
42 408
46 914
40 947
24 616
48 549
29 835
62 299
38 278
9 888
3 762
46 089
57 108
61 434
85 543
109 614
Short-Term Investments
47 043
62 839
65 836
49 584
89 747
522
27 840
43 045
63 510
65 110
72 820
65 011
57 566
73 118
75 055
92 820
110 894
96 446
71 635
115 360
124 503
78 791
93 424
97 067
Total Receivables
54 250
56 146
60 788
75 532
82 882
70 612
77 162
70 404
73 819
89 423
130 731
126 994
126 381
126 717
111 620
120 536
119 282
120 948
118 957
126 084
152 434
139 501
136 643
136 185
Accounts Receivables
53 261
55 118
60 278
73 914
81 955
69 247
75 477
68 673
73 001
88 613
130 038
126 370
125 747
125 973
110 063
119 436
113 224
119 167
117 529
125 350
151 050
138 752
135 929
135 050
Other Receivables
989
1 028
510
1 618
927
1 365
1 685
1 731
818
810
693
624
634
744
1 557
1 100
6 058
1 781
1 428
734
1 384
750
714
1 134
Inventory
16 477
20 380
27 021
23 126
27 484
35 661
30 836
38 063
37 808
36 637
64 657
56 670
65 686
81 101
87 970
80 048
91 146
88 542
77 471
65 607
115 550
112 198
112 052
131 109
Other Current Assets
278
137
174
190
775
6 156
1 002
5 318
6 046
2 512
4 627
5 504
8 461
4 349
4 040
3 940
4 522
3 522
2 903
1 092
3 742
5 069
3 795
3 716
Total Current Assets
119 520
142 064
157 686
154 392
207 438
118 139
144 154
175 686
193 625
236 089
319 749
295 127
282 709
333 834
308 521
359 642
364 122
319 346
274 728
354 231
453 337
396 994
431 457
477 690
PP&E Net
35 957
36 844
41 586
42 223
50 180
66 735
63 852
75 532
80 499
103 449
104 226
100 283
100 260
108 771
124 721
130 772
135 502
149 510
154 338
159 427
194 143
231 438
236 398
206 836
PP&E Gross
35 957
36 844
41 586
42 223
50 180
66 735
63 852
75 532
80 499
103 449
104 226
100 283
100 260
108 771
124 721
130 772
135 502
149 510
154 338
159 427
194 143
231 438
236 398
206 836
Accumulated Depreciation
37 030
39 635
32 427
37 298
43 728
46 240
54 950
67 509
76 194
66 397
77 127
86 778
97 517
107 810
120 097
129 531
141 721
157 242
179 618
192 813
212 567
224 812
248 263
274 755
Intangible Assets
155
110
99
91
79
1 499
1 260
1 440
1 310
3 783
3 783
3 816
14 943
15 628
8 651
6 394
6 154
5 912
5 645
5 466
5 926
6 637
8 225
8 700
Goodwill
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2 020
2 020
Note Receivable
1 228
980
803
1 037
1 219
1 139
1 048
1 013
968
932
706
604
461
469
451
551
445
354
245
202
190
111
64
41
Long-Term Investments
23 241
17 419
24 940
50 183
33 092
802
195
5 195
10 502
13 180
14 184
47 934
70 713
50 300
61 303
30 713
37 556
54 217
99 887
115 084
121 035
133 193
135 314
177 591
Other Long-Term Assets
3 451
4 621
4 687
5 204
5 221
2 506
3 012
3 448
5 446
2 246
2 342
2 610
2 577
3 060
3 954
3 892
4 336
5 933
3 042
2 593
2 514
8 405
8 989
7 768
Other Assets
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2 020
2 020
Total Assets
183 552
N/A
202 038
+10%
229 801
+14%
253 130
+10%
297 229
+17%
190 820
-36%
213 522
+12%
262 314
+23%
292 349
+11%
359 679
+23%
444 990
+24%
450 374
+1%
471 663
+5%
512 062
+9%
507 601
-1%
531 964
+5%
548 114
+3%
535 273
-2%
537 886
+0%
637 004
+18%
777 143
+22%
776 778
0%
822 466
+6%
880 647
+7%
Liabilities
Accounts Payable
14 373
16 965
18 827
23 440
28 460
40 182
32 774
22 742
40 469
45 113
77 289
51 870
49 207
45 617
30 951
35 408
53 854
40 506
21 928
53 485
69 664
68 876
65 965
57 291
Accrued Liabilities
4 759
4 658
3 810
4 123
3 131
2 348
3 131
155
2 248
3 570
3 644
4 021
1 876
2 283
2 370
1 452
1 122
3 123
3 188
4 169
2 613
2 030
2 600
3 840
Short-Term Debt
0
0
0
2 740
116
10 112
12 845
25 497
26 320
32 319
36 605
35 829
47 385
52 160
41 201
27 479
24 240
21 963
5 579
9 395
87 199
59 500
59 944
68 096
Current Portion of Long-Term Debt
8
11
13
16
19
21
24
27
0
0
0
0
0
0
0
0
0
0
1 877
1 838
1 806
2 900
2 834
4 512
Other Current Liabilities
9 015
10 594
6 814
7 046
8 660
8 119
9 818
37 373
16 590
10 161
11 952
12 695
14 374
20 200
18 352
25 701
20 425
16 111
17 076
24 784
27 230
33 239
27 254
30 090
Total Current Liabilities
28 156
32 228
29 465
37 364
40 385
60 782
58 592
85 794
85 628
91 164
129 490
104 415
112 842
120 260
92 874
90 040
99 641
81 703
49 647
93 670
188 513
166 545
158 596
163 828
Long-Term Debt
518
507
494
478
460
438
414
387
0
0
0
0
0
0
0
4 158
0
1 953
1 927
1 721
2 248
9 439
8 419
3 765
Deferred Income Tax
1 992
1 842
3 360
4 255
7 832
2 197
1 478
574
161
4 229
5 164
6 334
6 476
5 475
5 868
5 480
5 116
5 367
6 943
3 911
7 173
4 297
7 704
10 551
Minority Interest
0
0
0
0
12 175
2 855
2 317
2 784
2 077
4 147
5 228
4 853
5 149
6 116
8 091
8 407
8 234
8 661
9 648
10 091
11 628
11 359
9 736
8 945
Other Liabilities
2 211
2 228
2 400
3 145
3 062
2 557
2 321
1 700
334
1 530
3 003
2 425
3 100
3 816
2 258
2 277
543
2 598
3 306
4 070
1 142
1 311
1 175
1 239
Total Liabilities
32 877
N/A
36 805
+12%
35 718
-3%
45 243
+27%
63 913
+41%
68 829
+8%
65 122
-5%
91 238
+40%
88 200
-3%
101 070
+15%
142 885
+41%
118 027
-17%
127 567
+8%
135 668
+6%
109 090
-20%
110 362
+1%
113 534
+3%
100 283
-12%
71 471
-29%
113 464
+59%
210 703
+86%
192 951
-8%
185 629
-4%
188 329
+1%
Equity
Common Stock
25 000
25 000
25 000
27 000
30 000
21 000
23 000
23 000
24 200
24 200
24 200
24 200
24 200
24 200
24 200
24 200
24 200
24 200
24 200
24 200
24 200
24 200
24 200
24 200
Retained Earnings
80 162
99 559
126 005
148 473
174 181
196 633
94 790
113 353
145 980
200 923
243 121
273 333
284 036
314 962
340 799
365 433
382 274
387 189
417 869
475 693
511 620
531 545
583 508
631 664
Additional Paid In Capital
36 669
37 076
37 076
35 076
27 069
32 166
30 166
30 166
28 966
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Unrealized Security Profit/Loss
12 020
5 345
8 842
437
6 103
0
0
0
1 154
26 840
26 885
28 258
29 110
29 924
25 632
25 675
28 990
24 707
24 682
24 071
25 563
24 205
25 927
25 598
Treasury Stock
3 177
1 748
2 841
3 099
4 037
0
80
80
125
0
0
0
0
0
0
0
5 143
5 143
5 143
5 143
5 143
5 143
5 143
5 143
Other Equity
0
0
0
0
0
127 807
525
4 637
3 975
6 645
7 899
6 555
6 750
7 308
7 880
6 294
4 259
4 038
4 807
4 719
10 200
9 021
8 346
16 000
Total Equity
150 675
N/A
165 233
+10%
194 082
+17%
207 887
+7%
233 316
+12%
121 991
-48%
148 400
+22%
171 076
+15%
204 150
+19%
258 609
+27%
302 105
+17%
332 347
+10%
344 095
+4%
376 394
+9%
398 511
+6%
421 602
+6%
434 580
+3%
434 990
+0%
466 415
+7%
523 540
+12%
566 440
+8%
583 827
+3%
636 837
+9%
692 318
+9%
Total Liabilities & Equity
183 552
N/A
202 038
+10%
229 801
+14%
253 130
+10%
297 229
+17%
190 820
-36%
213 522
+12%
262 314
+23%
292 349
+11%
359 679
+23%
444 990
+24%
450 374
+1%
471 663
+5%
512 062
+9%
507 601
-1%
531 964
+5%
548 114
+3%
535 273
-2%
537 886
+0%
637 004
+18%
777 143
+22%
776 778
0%
822 466
+6%
880 647
+7%
Shares Outstanding
Common Shares Outstanding
6
6
6
6
6
4
4
4
4
4
4
4
4
4
4
4
4
4
4
4
4
4
4
4
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