Cosmax, Inc.

KRX:192820.KS

216500 (KRW) • At close June 2, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) KRW.

20242023202220212020201920182017201620152014
Assets:
Current Assets:
Cash & Cash Equivalents 256,411.938256,890.168169,115.96799,833.72102,513.99676,558.22135,173.04738,980.20768,330.88417,131.77110,500.549
Short Term Investments 32,236.95129,501.71112,258.48184,521.673607.146816.65411,431.6034,518.1632,102.6613,622.0394,367.383
Cash and Short Term Investments 288,648.889286,391.877181,374.448184,355.393103,121.14277,374.87546,604.6543,498.3770,433.54520,753.8114,867.932
Net Receivables 363,175.598299,428.62322,281.527369,665.408310,328.558319,741.077323,593.957253,747.112192,636.316142,028.1398,794.942
Inventory 257,029.474218,401.261202,277.825223,572.134193,315.148208,921.489209,397.804184,657.933125,140.9584,012.34357,690.048
Other Current Assets 33,648.9416,410.091353,500.444384,307.056326,180.387331,987.786339,767.549272,186.277200,671.20412,828.162105,427.699
Total Current Assets 942,502.901821,629.082737,152.717792,234.583622,616.678618,284.15595,770.004500,342.58396,245.699256,000.407177,985.68
Non-Current Assets:
Property, Plant & Equipment, Net 778,436.715546,758.373490,557.497471,227.774437,112.07431,809.273332,554.138307,200.815235,895.092162,571.029132,356.032
Goodwill 40,999.41635,339.75734,749.80633,353.62345,258.37591,778.23486,737.25383,141.628650.133650.1330
Intangible Assets 21,984.03518,984.82714,837.40116,958.40111,554.33911,118.4619,219.8177,517.844,986.6614,748.9753,314.007
Goodwill and Intangible Assets 62,983.45154,324.58449,587.20750,312.02456,812.714102,896.69595,957.0790,659.4685,636.7945,399.1083,314.007
Long Term Investments -3,093.55388,875.11842,814.003-46,600.87517,141.67315,294.2997,021.90415,554.74212,559.313234.647-776.922
Tax Assets 64,250.96838,041.11638,548.57932,898.10626,142.24622,198.1719,565.8766,105.9942,912.0553,622.0394,367.383
Other Non-Current Assets 88,633.0077,449.00237,790.502111,857.16529,217.51713,871.60520,672.16414,155.5312,667.47111,104.8818,455.379
Total Non-Current Assets 991,210.588735,448.193659,297.787619,694.193566,426.22586,070.043465,771.153433,676.548269,670.725182,931.705147,715.878
Total Assets 1,933,713.4891,557,077.2751,396,450.5051,411,928.7761,189,042.8981,204,354.1931,061,541.156934,019.129665,916.424438,932.112325,701.557
Liabilities & Equity:
Current Liabilities:
Account Payables 231,093.306240,823.169175,822.345186,694.436142,889.06179,650.686181,297.749207,611.429125,056.05577,597.73150,006.669
Short Term Debt 526,328.955453,747.974516,985.096448,433.467452,135.221409,400.646371,294.542242,247.598190,000.253176,843.247111,000.571
Tax Payables 52,292.72928,143.78415,531.28835,542.3914,997.11437,766.54713,744.8535,476.4716,024.8726,158.1083,847.773
Deferred Revenue 0020,691.505152,535.649123,063.373127,342.79913,744.85372,205.29868,900.76341,834.73238,285.597
Other Current Liabilities 304,443.05151,099.29103,636.361116,993.263108,066.25989,576.25284,110.40266,728.82752,875.89135,676.62434,437.823
Total Current Liabilities 1,114,158.04873,814.217811,975.09787,663.555718,087.653716,394.132650,447.546522,064.324383,957.071296,275.709199,292.837
Non-Current Liabilities:
Long Term Debt 222,811.23143,288.21390,881.646114,817.839160,078.4141,271.382145,108.498162,980.55559,704.0233,791.34734,042.04
Deferred Revenue Non-Current 00043,964.1270000011,995.3749,271.028
Deferred Tax Liabilities Non-Current 2,059.8840098.68200000349.9462,561.241
Other Non-Current Liabilities 85,873.85181,413.40549,347.21698.68338,976.72930,216.124,138.84220,587.46514,940.82411,995.3749,271.028
Total Non-Current Liabilities 310,744.963324,701.618140,228.862158,880.649199,055.129171,487.482169,247.34183,568.0274,644.84446,136.66745,874.308
Total Liabilities 1,424,903.0031,198,515.836952,203.952946,544.204917,142.783887,881.614819,694.886705,632.344458,601.914342,412.376245,167.145
Equity:
Preferred Stock 00002,045.281000000
Common Stock 5,674.7555,674.7555,674.7555,674.7555,024.7555,024.7555,024.7555,024.7555,024.7554,499.7554,499.755
Retained Earnings 383,575.483284,304.588267,543.932248,087.58173,755.209150,629.425128,555.42265,190.05558,083.93931,949.97715,728.392
Accumulated Other Comprehensive Income/Loss 015,550.82250,022.67329,646.184-2,045.2816,018.5533,147.5752,986.1511,904.7584,245.4040
Other Total Stockholders Equity 84,147.69556,986.782307,906.601307,548.178181,812.817181,799.35131,833.039150,821.089150,820.39359,571.60359,548.701
Total Shareholders Equity 473,397.932362,516.946581,125.288561,310.513342,874.102343,472.083265,413.216218,118.429210,934.82897,860.81880,790.61
Total Equity 508,810.486358,561.439444,246.553465,384.572271,900.115316,472.579241,846.27228,386.785207,314.50996,519.73680,534.412
Total Liabilities & Shareholders Equity 1,898,300.9351,557,077.2751,396,450.5051,411,928.7761,189,042.8981,204,354.1931,061,541.156934,019.129665,916.424438,932.112325,701.557