Southeast Cement Co., Ltd. (TPE:1110)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
15.60
-0.35 (-2.19%)
Jul 9, 2026, 1:30 PM CST

Southeast Cement Balance Sheet

Millions TWD. 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
402.35618.25548.45287.89296.37419.5
Short-Term Investments
166.86011093.63164.54161.63
Trading Asset Securities
406.88235.76211.29241.36557.52248.69
Cash & Short-Term Investments
976.03914.01869.73622.871,018829.81
Cash Growth
24.17%5.09%39.63%-38.84%22.73%42.09%
Accounts Receivable
527.77903.44808.47604.21376.3342.9
Other Receivables
56.9274.6960.6652.7527.6315
Receivables
584.69978.13869.13656.96403.93357.9
Inventory
1,2441,2711,1931,1891,016841.07
Prepaid Expenses
4.414.3110.243.53.337.07
Other Current Assets
17.4713.8312.1313.6144.2717.52
Total Current Assets
2,8273,1812,9542,4862,4862,053
Property, Plant & Equipment
1,7071,7231,7211,6082,2931,559
Long-Term Investments
2,2132,1612,2082,0091,8261,871
Other Intangible Assets
3.584.040.750.030.04-
Long-Term Accounts Receivable
2.092.84.16--1.42
Long-Term Deferred Tax Assets
3.393.3627.2651.1175.1681.14
Other Long-Term Assets
6,0335,9865,8075,6675,3095,393
Total Assets
12,79013,06112,72211,82211,99010,959
Accounts Payable
250.85328.06374281.02252.71196.22
Accrued Expenses
53.9653.8868.2995.251.1944.1
Short-Term Debt
1,1661,6111,3391,1931,9501,322
Current Portion of Long-Term Debt
68.7950.610.05---
Current Portion of Leases
32.4436.839.2138.9867.452.95
Current Income Taxes Payable
27.3718.6134.9539.54-3.16
Current Unearned Revenue
73.7146.6827.2543.6818.8730.53
Other Current Liabilities
258.4882.7595.3449.541.1634.51
Total Current Liabilities
1,9322,2281,9781,7412,3811,683
Long-Term Debt
483.16466.62411.32265.9--
Long-Term Leases
437.64444.97484.81504.19568.72235.79
Long-Term Deferred Tax Liabilities
266.37266.47266.72269.19301.45304.61
Other Long-Term Liabilities
11.5410.2715.3216.3311.8323.96
Total Liabilities
3,1303,4173,1562,7963,2632,248
Common Stock
5,7205,7205,7205,7205,7205,720
Additional Paid-In Capital
190.94190.94188.9188.69188.58188.37
Retained Earnings
2,6392,6132,5312,3032,2112,176
Treasury Stock
-8.86-8.86-12.19-12.19-12.19-12.19
Comprehensive Income & Other
941.73952.16988.18723.62523.95551.3
Total Common Equity
9,4829,4679,4168,9248,6328,624
Minority Interest
177.03177.73150.1101.6394.9686.98
Shareholders' Equity
9,6599,6459,5669,0258,7278,711
Total Liabilities & Equity
12,79013,06112,72211,82211,99010,959
Total Debt
2,1882,6102,2742,0022,5861,611
Net Cash (Debt)
-1,212-1,696-1,404-1,379-1,567-780.89
Net Cash Per Share
-2.12-2.97-2.46-2.42-2.75-1.37
Filing Date Shares Outstanding
570.46570.46569.89569.89569.89569.89
Total Common Shares Outstanding
570.46570.46569.89569.89569.89569.89
Working Capital
895.45952.59976.19745105.08369.94
Book Value Per Share
16.6216.6016.5215.6615.1515.13
Tangible Book Value
9,4799,4639,4158,9248,6328,624
Tangible Book Value Per Share
16.6216.5916.5215.6615.1515.13
Land
346.73346.73346.73346.73913.83720.59
Buildings
170.23157.95157.38382.32425.69425.51
Machinery
494.46902.56788.731,3501,3361,131