Samyang Packaging Corporation

KRX:272550.KS

13860 (KRW) • At close July 31, 2025
Overview | Financials

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

202420232022202120202019201820172016
Assets:
Current Assets:
Cash & Cash Equivalents 36,499.17421,943.39728,089.9520,894.12146,112.99835,777.49416,884.7725,056.12617,477.817
Short Term Investments 36,00015,000.02252,560.65372,789.89613,571.8388.124379.651309.568196.285
Cash and Short Term Investments 72,499.17436,943.41980,650.60393,684.01859,684.83635,785.61817,264.42125,365.69417,674.102
Net Receivables 63,682.98170,249.37365,522.23264,361.18163,971.4270000
Inventory 33,026.08330,858.14928,154.17823,921.68515,203.36320,186.19819,518.67516,935.48713,476.15
Other Current Assets 2,084.3894,779.4783,063.1453,197.2614,890.11859,508.828908.22660,333.5358,537.41
Total Current Assets 171,292.626142,326.722177,390.158185,164.145143,749.744115,480.64494,454.791102,634.71189,687.662
Non-Current Assets:
Property, Plant & Equipment, Net 301,855.192308,199.191268,352.123234,062.766243,289.755268,683.841269,333.492197,468.502203,331.909
Goodwill 164,589.946164,589.946164,589.946164,589.946164,589.946164,589.946164,589.946164,589.946164,589.946
Intangible Assets 6,703.2459,525.01912,307.50213,266.84310,455.1612,506.28214,597.78316,539.54118,714.818
Goodwill and Intangible Assets 171,293.191174,114.965176,897.448177,856.789175,045.107177,096.228179,187.73181,129.488183,304.764
Long Term Investments -35,014.884943.79-51,663.492-72,781.605-13,560.83428.612-341.3021,270.133872.851
Tax Assets 37.401030.13688,184.41815,980.5582,568.83014,891.37214,755.717
Other Non-Current Assets 57,813.69316,455.88671,554.63100-03,329.76500
Total Non-Current Assets 495,984.593499,713.832465,170.847427,322.369420,754.585448,377.511451,509.684394,759.494402,265.241
Total Assets 667,277.22642,040.554642,561.004612,486.514564,504.328563,858.154545,964.474497,394.205491,952.903
Liabilities & Equity:
Current Liabilities:
Account Payables 15,561.03913,637.09712,655.75517,798.1110,962.46415,376.62922,287.38318,434.39214,265.893
Short Term Debt 47,533.04128,920.73829,179.116125,143.68180,412.78731,791.23214,955.79629,977.34929,840.787
Tax Payables 2,712.671,414.91431.5513,373.7138,442.8155,963.3622,342.7155,302.2526,488.109
Deferred Revenue 00204.18136,642.59937,110.95631,089.6662,342.71530,061.329,350.178
Other Current Liabilities 35,183.9839,044.76438,852.50333,268.88628,668.14225,126.30527,626.41124,759.04822,862.07
Total Current Liabilities 100,990.729183,017.50981,118.925179,584.39128,486.20878,257.52867,928.67978,473.04173,456.859
Non-Current Liabilities:
Long Term Debt 151,239.06856,439.709175,282.07393,839.016114,428.916186,998.63202,797.709166,666.042192,093.189
Deferred Revenue Non-Current 002004,859.0594,000.2533,412.4273,327.9793,401.5283,648.238
Deferred Tax Liabilities Non-Current 31,873.05525,053.17922,621.34812,963.3449,847.368,969.2415,606.2183,083.1761,086.879
Other Non-Current Liabilities 3,587.3052,955.6725,085.64417,822.40200.001872.650.0010
Total Non-Current Liabilities 186,699.42784,448.557200,367.717111,661.418128,276.528199,380.298212,604.556173,150.746200,476.545
Total Liabilities 287,690.157267,466.067281,486.642291,245.808256,762.736277,637.826280,533.235251,623.787273,933.404
Equity:
Preferred Stock 000000000
Common Stock 78,943.35578,943.35578,943.35571,049.0271,049.0271,049.0271,049.0271,049.0271,049.02
Retained Earnings 21,601.60325,385.234136,446.877134,488.728120,989.58398,755.21678,677.37459,017.19431,263.552
Accumulated Other Comprehensive Income/Loss 00120,131.772106,698.2488,777.27271,513.3752.1281.4871.228
Other Total Stockholders Equity 279,042.105270,245.899145,771.359115,702.717115,702.989115,702.717115,702.717115,704.204115,705.7
Total Shareholders Equity 379,587.063374,574.488361,074.362321,240.705307,741.592286,220.329265,431.24245,770.418218,019.499
Total Equity 379,587.063374,574.488361,074.362321,240.705307,741.592286,220.329265,431.24245,770.418218,019.499
Total Liabilities & Shareholders Equity 667,277.22642,040.554642,561.004612,486.514564,504.328563,858.154545,964.474497,394.205491,952.903