GlobalWafers Co., Ltd. (LUX:GLOBW)
Luxembourg flag Luxembourg · Delayed Price · Currency is EUR · Price in USD
14.70
-0.10 (-0.68%)
At close: Mar 20, 2026

GlobalWafers Balance Sheet

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
19,48438,92926,16583,45865,894
Short-Term Investments
26,9357,59831,7315,5063,753
Cash & Short-Term Investments
46,41946,52757,89688,96469,647
Cash Growth
-0.23%-19.64%-34.92%27.73%107.19%
Accounts Receivable
10,11210,26410,11610,1609,117
Other Receivables
0.881.080.330.410.87
Receivables
10,11310,26510,11610,1609,118
Inventory
10,39911,2509,4198,9687,295
Other Current Assets
19,69812,45012,6701,5062,605
Total Current Assets
86,62980,49290,101109,59888,665
Property, Plant & Equipment
108,027119,94473,18140,09434,649
Long-Term Investments
14,88814,39814,91010,43821,387
Goodwill
2,2502,3732,2522,2992,106
Other Intangible Assets
43.6139.4546.3413.01190.79
Long-Term Deferred Tax Assets
5,0163,8383,3622,5451,887
Long-Term Deferred Charges
24.9335.6447.7758.3968.64
Other Long-Term Assets
1,4643,4605,0884,4511,692
Total Assets
218,343224,581188,988169,496150,645
Accounts Payable
4,0894,9324,2974,0664,214
Accrued Expenses
2,7282,6273,0692,7352,432
Short-Term Debt
18,57127,11725,2236,5446,264
Current Portion of Long-Term Debt
12,4392,02115,352--
Current Portion of Leases
146.91135.11150.0487.17150.94
Current Income Taxes Payable
1,8022,1603,9464,8872,112
Current Unearned Revenue
8,02310,63410,03110,3127,322
Other Current Liabilities
6,31015,43812,2067,1638,563
Total Current Liabilities
54,10965,06574,27435,79431,058
Long-Term Debt
43,24437,67814,54242,78045,125
Long-Term Leases
649.36749.46789.93523.26560.23
Long-Term Unearned Revenue
15,45219,88023,97028,01621,313
Pension & Post-Retirement Benefits
1,2461,5121,6021,5391,836
Long-Term Deferred Tax Liabilities
7,6676,7715,9084,5894,798
Other Long-Term Liabilities
2,6801,8981,4481,931323.69
Total Liabilities
125,048133,553122,534115,172105,013
Common Stock
4,7814,7814,3614,3524,373
Additional Paid-In Capital
44,76445,72024,24923,81925,174
Retained Earnings
52,13947,64145,30032,69922,797
Treasury Stock
-----576.78
Comprehensive Income & Other
-8,386-7,111-7,460-6,547-6,136
Total Common Equity
93,29991,03166,45054,32445,632
Minority Interest
-3.49-3.134.06--
Shareholders' Equity
93,29591,02866,45454,32445,632
Total Liabilities & Equity
218,343224,581188,988169,496150,645
Total Debt
75,05167,70056,05649,93452,100
Net Cash (Debt)
-21,230-14,66114,16448,17635,721
Net Cash Growth
---70.60%34.87%54.81%
Net Cash Per Share
-44.30-30.5631.33104.0077.16
Filing Date Shares Outstanding
478.11478.11436.11435.24435.24
Total Common Shares Outstanding
478.11478.11436.11435.24435.24
Working Capital
32,52115,42715,82773,80457,606
Book Value Per Share
195.14190.40152.37124.81104.84
Tangible Book Value
91,00588,61864,15152,01243,335
Tangible Book Value Per Share
190.34185.35147.10119.5099.57
Land
3,5352,6612,6542,7102,491
Buildings
32,56330,20621,48217,27816,447
Machinery
77,21965,91057,58551,93046,077
Construction In Progress
47,27967,40732,7946,5033,545
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.