Taiwan Glass Ind. Corp. (TPE:1802)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
47.05
+4.25 (9.93%)
At close: Feb 11, 2026

Taiwan Glass Ind. Balance Sheet

Millions TWD. 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
8,0128,6336,6748,3748,1746,709
Short-Term Investments
137.68173.82256.97-575.41165.05
Trading Asset Securities
1,8002,0074,0223,4837,1091,927
Cash & Short-Term Investments
9,94910,81410,95211,85815,8598,801
Cash Growth
-12.34%-1.26%-7.64%-25.23%80.20%26.46%
Accounts Receivable
12,86712,19712,74412,02117,06416,134
Other Receivables
391.05460.27579.99475.65201.13207.11
Receivables
13,25812,65813,32412,49717,26516,341
Inventory
11,17011,86911,81514,10510,2988,161
Prepaid Expenses
409.87423.04430.61545.821,2361,422
Other Current Assets
565.72632.44873.56876.73999.95777.51
Total Current Assets
35,35336,39637,39539,88245,65835,502
Property, Plant & Equipment
43,10044,65544,20044,84146,65348,836
Long-Term Investments
6,8737,8367,6976,9665,9154,869
Other Intangible Assets
2.183.3533.4334.6635.3536.93
Long-Term Deferred Tax Assets
367.28364.72372.09404.43464.49343.49
Other Long-Term Assets
1,1701,121780.76902.28730.02342.57
Total Assets
86,86690,37690,47893,03099,45589,930
Accounts Payable
7,8368,8739,4889,6719,4107,520
Accrued Expenses
906.48761.73612.25---
Short-Term Debt
11,0229,6818,9678,4905,76810,536
Current Portion of Long-Term Debt
7,6888,0804,4378,1886,1046,579
Current Portion of Leases
38.350.9648.429.0950.9544.07
Current Income Taxes Payable
32.156.17103.55273.16438.01231.11
Current Unearned Revenue
1,3871,3331,2051,1091,1261,040
Other Current Liabilities
2,3812,3602,7193,5254,0784,105
Total Current Liabilities
31,29131,19527,58031,28526,97530,055
Long-Term Debt
6,3325,82010,1908,07012,58210,873
Long-Term Leases
35.461.1698.1444.2563.4484.23
Long-Term Unearned Revenue
905.63999.391,0261,0611,0631,186
Pension & Post-Retirement Benefits
---1.037.04149.65
Long-Term Deferred Tax Liabilities
758.84759.94702.45758.76754.62560.73
Other Long-Term Liabilities
137.81172.7170.33148.07236.01221.73
Total Liabilities
39,46039,00839,76741,36941,68143,130
Common Stock
29,08129,08129,08129,08129,08129,081
Additional Paid-In Capital
1,8951,9251,9251,9251,9251,925
Retained Earnings
17,87918,83920,41720,45226,56016,253
Comprehensive Income & Other
-4,070-1,408-3,867-3,019-3,522-3,451
Total Common Equity
44,78548,43747,55548,43854,04443,808
Minority Interest
2,6212,9313,1563,2233,7302,993
Shareholders' Equity
47,40551,36750,71151,66157,77446,800
Total Liabilities & Equity
86,86690,37690,47893,03099,45589,930
Total Debt
25,11623,69323,74124,82224,56828,115
Net Cash (Debt)
-15,166-12,879-12,789-12,964-8,709-19,315
Net Cash Per Share
-5.22-4.43-4.40-4.46-2.99-6.64
Filing Date Shares Outstanding
2,9082,9082,9082,9082,9082,908
Total Common Shares Outstanding
2,9082,9082,9082,9082,9082,908
Working Capital
4,0625,2009,8158,59718,6835,448
Book Value Per Share
15.4016.6616.3516.6618.5815.06
Tangible Book Value
44,78248,43347,52248,40454,00943,771
Tangible Book Value Per Share
15.4016.6516.3416.6418.5715.05
Land
3,8063,8073,8063,8063,8053,805
Buildings
29,12329,31228,11828,34828,98529,228
Machinery
87,14286,52782,08381,63482,65781,699
Construction In Progress
2,4165,4774,5452,8611,9511,804
Leasehold Improvements
23.5323.5323.5323.5322.08-
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.