Ta Ann Holdings Berhad (KLSE:TAANN)
Malaysia flag Malaysia · Delayed Price · Currency is MYR
5.27
-0.05 (-0.94%)
At close: Jun 8, 2026

Ta Ann Holdings Berhad Balance Sheet

Millions MYR. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
530.92498.27372.67486.39523.63454.94
Short-Term Investments
2.0238.3765.1116.944.765.08
Cash & Short-Term Investments
532.93536.64437.79503.33528.39460.03
Cash Growth
29.46%22.58%-13.02%-4.74%14.86%66.09%
Accounts Receivable
60.4678.9638.0442.8833.6341.57
Other Receivables
3.433.913.597.311.0911.65
Receivables
63.8982.8841.6350.1844.7353.22
Inventory
347.73317.47289.98237.58273.8261.16
Prepaid Expenses
5.576.668.9912.6810.397.83
Other Current Assets
3.226.76.474.742.332.59
Total Current Assets
953.34950.35784.86808.51859.64784.83
Property, Plant & Equipment
1,3441,3471,3791,4201,4331,451
Long-Term Investments
340.05332.17307.23296.64283.9266.88
Goodwill
79.6679.6679.6679.6679.6679.66
Other Intangible Assets
4.064.094.745.566.387.2
Long-Term Deferred Tax Assets
4.375.78.268.38.8627.05
Other Long-Term Assets
113.88113.04109.23110.44118.76124.96
Total Assets
2,8392,8322,6732,7302,7902,742
Accounts Payable
160.64121.98106.7996.4990.6685.99
Accrued Expenses
2.5749.638.3132.4652.5865.22
Short-Term Debt
101.3422.598.629.422.7310.81
Current Portion of Long-Term Debt
3.8895.84101.33147.88207.31215.89
Current Portion of Leases
14.1513.648.239.4712.1312.37
Current Income Taxes Payable
32.8252.9137.6528.3839.0738.22
Current Unearned Revenue
2.242.192.252.532.412.45
Other Current Liabilities
44.0518.6715.3782.8666.39103.83
Total Current Liabilities
361.67377.42318.54409.49473.28534.76
Long-Term Debt
3.913.916.9515.560.42142.21
Long-Term Leases
13.3813.0214.559.210.636.82
Long-Term Unearned Revenue
14.2214.4517.0721.7223.1826.05
Pension & Post-Retirement Benefits
51.4950.442.0939.341.837.95
Long-Term Deferred Tax Liabilities
257.01250.06237.04227.39231.87217.51
Total Liabilities
701.68709.26636.23722.59841.18965.3
Common Stock
444.84444.84444.84444.84444.84444.84
Retained Earnings
1,4791,4731,3911,3641,3111,167
Treasury Stock
-10.42-10.42-10.42-10.42-10.42-10.42
Comprehensive Income & Other
14.0514.7214.2213.2712.1812.4
Total Common Equity
1,9281,9231,8401,8121,7581,614
Minority Interest
209.74199.77197.42194.76191.05162.75
Shareholders' Equity
2,1372,1222,0372,0071,9491,776
Total Liabilities & Equity
2,8392,8322,6732,7302,7902,742
Total Debt
136.65149139.67191.45293.22388.1
Net Cash (Debt)
396.28387.64298.11311.88235.1871.93
Net Cash Growth
28.79%30.03%-4.41%32.61%226.96%-
Net Cash Per Share
0.900.880.680.710.530.16
Filing Date Shares Outstanding
440.46440.46440.46440.46440.46440.46
Total Common Shares Outstanding
440.46440.46440.46440.46440.46440.46
Working Capital
591.67572.93466.32399.02386.36250.06
Book Value Per Share
4.384.364.184.113.993.66
Tangible Book Value
1,8441,8391,7551,7271,6721,527
Tangible Book Value Per Share
4.194.173.983.923.803.47
Land
-7.037.096.876.386.96
Machinery
-788.86782.89798.16788.6771.09
Construction In Progress
-11.6112.8518.2910.815.31