Tian An China Investments Company Limited (TIACF)
OTCMKTS · Delayed Price · Currency is USD
0.5732
-0.1137 (-16.55%)
At close: Nov 12, 2025

TIACF Balance Sheet

Millions HKD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
9,21710,5728,0405,1593,6454,893
Short-Term Investments
1,754---98.55-
Trading Asset Securities
100.25103.47230.08226.66106.77312.15
Cash & Short-Term Investments
11,07210,6768,2705,3853,8505,205
Cash Growth
54.47%29.09%53.57%39.87%-26.03%71.65%
Accounts Receivable
200.45181.76101.8336.345.9641
Other Receivables
754.5632.041,4361,4512,5591,591
Receivables
1,0301,0861,8582,2273,4633,112
Inventory
9,09810,8506,9666,2527,7787,278
Prepaid Expenses
7585.73318.254.5653.853.75
Other Current Assets
8.791,7461,0173,969602.110.71
Total Current Assets
21,21624,94318,43017,83815,74715,600
Property, Plant & Equipment
2,1432,1022,084329.67356.99297.51
Long-Term Investments
15,41013,86113,05112,91911,72910,978
Other Intangible Assets
6.416.416.414.264.264.26
Long-Term Deferred Tax Assets
183.3162.31163.69157.33116.44125.7
Other Long-Term Assets
17,12617,33719,72417,77118,75215,404
Total Assets
56,08558,41153,45849,24847,19242,621
Accounts Payable
1,1311,4521,1531,1711,248576.56
Short-Term Debt
1,8333,3683,1871,5641,9822,727
Current Portion of Long-Term Debt
2,196829.27628.23506.691,951826.75
Current Portion of Leases
1.191.543.39---
Current Income Taxes Payable
3,4962,0862,1522,1041,9731,595
Current Unearned Revenue
7,95814,0967,1787,4632,9661,717
Other Current Liabilities
1,7931,2631,3451,127846.07805.96
Total Current Liabilities
18,40923,09615,64713,93510,9658,248
Long-Term Debt
3,6343,8705,2994,5334,4414,569
Long-Term Leases
0.21.2835.19---
Long-Term Unearned Revenue
5.125.878.1--8.46
Long-Term Deferred Tax Liabilities
3,2453,2583,5043,2573,5462,799
Other Long-Term Liabilities
54.6517.2817.8318.9128.2823.59
Total Liabilities
25,34830,24824,51121,74418,98115,648
Common Stock
3,7893,7893,7893,7893,7893,789
Retained Earnings
25,730--23,54222,31719,924
Comprehensive Income & Other
-570.2422,59823,429-448.791,4901,946
Total Common Equity
28,94926,38727,21826,88227,59525,659
Minority Interest
1,7881,7761,729621.81616.361,314
Shareholders' Equity
30,73728,16328,94727,50428,21226,973
Total Liabilities & Equity
56,08558,41153,45849,24847,19242,621
Total Debt
7,6658,0709,1536,6048,3748,122
Net Cash (Debt)
3,4072,606-883.1-1,218-4,523-2,917
Net Cash Per Share
2.321.78-0.60-0.83-3.04-1.94
Filing Date Shares Outstanding
1,4661,4661,4661,4661,4661,501
Total Common Shares Outstanding
1,4661,4661,4661,4661,4661,501
Working Capital
2,8071,8472,7833,9034,7817,352
Book Value Per Share
19.7518.0018.5618.3418.8217.10
Tangible Book Value
28,94226,38127,21126,87827,59125,655
Tangible Book Value Per Share
19.7417.9918.5618.3318.8217.10
Buildings
-1,0621,050---
Machinery
-38.5341.9643.3446.5844.18
Construction In Progress
-295.88163.62---
Leasehold Improvements
-541.69546.97192.94189.76182.61
Source: S&P Global Market Intelligence. Standard template. Financial Sources.