Ta Ann Holdings Berhad (KLSE:TAANN)
Malaysia flag Malaysia · Delayed Price · Currency is MYR
4.610
-0.090 (-1.91%)
At close: Feb 6, 2026

Ta Ann Holdings Berhad Balance Sheet

Millions MYR. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
492.57372.67486.39523.63454.94271.36
Short-Term Investments
3.3665.1116.944.765.085.62
Cash & Short-Term Investments
495.92437.79503.33528.39460.03276.98
Cash Growth
7.29%-13.02%-4.74%14.86%66.09%140.30%
Accounts Receivable
83.6438.0442.8833.6341.5744.25
Other Receivables
2.673.597.311.0911.657.57
Receivables
86.341.6350.1844.7353.2251.82
Inventory
336.56289.98237.58273.8261.16248.89
Prepaid Expenses
13.628.9912.6810.397.839.31
Other Current Assets
5.36.474.742.332.590.65
Total Current Assets
937.7784.86808.51859.64784.83587.65
Property, Plant & Equipment
1,3551,3791,4201,4331,4511,491
Long-Term Investments
331.72307.23296.64283.9266.88225.23
Goodwill
79.6679.6679.6679.6679.6679.66
Other Intangible Assets
4.134.745.566.387.210.81
Long-Term Deferred Tax Assets
8.138.268.38.8627.0529.7
Other Long-Term Assets
112.89109.23110.44118.76124.96121.69
Total Assets
2,8292,6732,7302,7902,7422,546
Accounts Payable
177.28106.7996.4990.6685.9966.21
Accrued Expenses
1.4538.3132.4652.5865.2260.91
Short-Term Debt
108.638.629.422.7310.8123.26
Current Portion of Long-Term Debt
2.59101.33147.88207.31215.89246.18
Current Portion of Leases
9.988.239.4712.1312.378.9
Current Income Taxes Payable
49.4137.6528.3839.0738.2214.83
Current Unearned Revenue
2.192.252.532.412.452.5
Other Current Liabilities
-15.3782.8666.39103.8359.23
Total Current Liabilities
351.54318.54409.49473.28534.76482.02
Long-Term Debt
6.956.9515.560.42142.21220.08
Long-Term Leases
17.2714.559.210.636.8213
Long-Term Unearned Revenue
15.4317.0721.7223.1826.0529.15
Pension & Post-Retirement Benefits
44.5842.0939.341.837.9537.28
Long-Term Deferred Tax Liabilities
255.36237.04227.39231.87217.51200.07
Total Liabilities
691.13636.23722.59841.18965.3981.59
Common Stock
444.84444.84444.84444.84444.84444.84
Retained Earnings
1,4741,3911,3641,3111,167998.03
Treasury Stock
-10.42-10.42-10.42-10.42-10.42-10.42
Comprehensive Income & Other
14.2114.2213.2712.1812.414.1
Total Common Equity
1,9221,8401,8121,7581,6141,447
Minority Interest
215.84197.42194.76191.05162.75118
Shareholders' Equity
2,1382,0372,0071,9491,7761,565
Total Liabilities & Equity
2,8292,6732,7302,7902,7422,546
Total Debt
145.41139.67191.45293.22388.1511.42
Net Cash (Debt)
350.51298.11311.88235.1871.93-234.44
Net Cash Growth
12.09%-4.41%32.61%226.96%--
Net Cash Per Share
0.800.680.710.530.16-0.53
Filing Date Shares Outstanding
440.46440.46440.46440.46440.46440.46
Total Common Shares Outstanding
440.46440.46440.46440.46440.46440.46
Working Capital
586.16466.32399.02386.36250.06105.63
Book Value Per Share
4.364.184.113.993.663.28
Tangible Book Value
1,8381,7551,7271,6721,5271,356
Tangible Book Value Per Share
4.173.983.923.803.473.08
Land
-7.096.876.386.967
Machinery
-782.89798.16788.6771.09760.91
Construction In Progress
-12.8518.2910.815.3115.2
Source: S&P Global Market Intelligence. Standard template. Financial Sources.