Clevo Co. (TPE:2362)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
37.30
+0.05 (0.13%)
Feb 2, 2026, 1:35 PM CST

Clevo Co. 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
6,4918,0095,2157,0513,8164,918
Short-Term Investments
5.71,5561,965---
Trading Asset Securities
3,6793,2773,0402,1812,5271,600
Cash & Short-Term Investments
10,17612,84110,2209,2336,3436,518
Cash Growth
-14.56%25.65%10.69%45.55%-2.68%-28.13%
Accounts Receivable
3,9533,2762,9972,5733,4262,249
Other Receivables
705.37758.37693.19692.45478.66230.88
Receivables
4,6584,0353,6903,2653,9052,480
Inventory
2,9331,6542,8333,7794,6943,709
Other Current Assets
889.35618.441,093776.16911.661,529
Total Current Assets
18,65619,14917,83617,05315,85414,236
Property, Plant & Equipment
5,6825,9695,9118,0956,6939,239
Long-Term Investments
4,9404,6293,9902,8692,6493,448
Goodwill
10.2310.8410.3310.4910.3410.25
Other Intangible Assets
34.4337.438.4947.468.0920.45
Long-Term Accounts Receivable
--42.9480.77--
Long-Term Deferred Tax Assets
616.67571.98729.55822.26387.33612.83
Other Long-Term Assets
66,32669,89965,86765,18965,69366,699
Total Assets
96,265100,26594,42594,16791,29494,266
Accounts Payable
2,4133,0523,0032,4772,7522,110
Short-Term Debt
8,0319,2124,8273,3264,7466,856
Current Portion of Long-Term Debt
3,2192,0767,1697,8643,7986,595
Current Portion of Leases
75.0660.08117.44120.462.6315.96
Current Income Taxes Payable
343.72347.53404.79418.27378.03189.55
Current Unearned Revenue
80.962.2744.99145.2188.15179.64
Other Current Liabilities
1,4661,8701,9411,7641,9351,870
Total Current Liabilities
15,62916,67917,50616,11513,76117,815
Long-Term Debt
28,11026,46423,28222,98622,87223,493
Long-Term Leases
141.9853.75111.84225.53221.3996.31
Pension & Post-Retirement Benefits
-----8.9
Long-Term Deferred Tax Liabilities
11,05511,76611,56012,26812,00312,209
Other Long-Term Liabilities
686.68774.81781.62782.441,127765.41
Total Liabilities
55,62355,73753,24252,37749,98454,387
Common Stock
6,2236,3236,3236,3236,4986,698
Additional Paid-In Capital
124.91140.8897.3956.4673.4895.86
Retained Earnings
40,24140,97240,15740,01240,74339,667
Treasury Stock
-873.44-829.2-829.2-829.2-1,375-1,654
Comprehensive Income & Other
-5,073-2,078-4,564-3,771-4,629-4,928
Total Common Equity
40,64244,52841,18341,79041,31039,879
Shareholders' Equity
40,64244,52841,18341,79041,31039,879
Total Liabilities & Equity
96,265100,26594,42594,16791,29494,266
Total Debt
39,57837,86535,50734,52231,70137,055
Net Cash (Debt)
-29,402-25,024-25,287-25,289-25,357-30,537
Net Cash Per Share
-50.24-42.52-42.92-42.85-42.28-50.73
Filing Date Shares Outstanding
578585.22585.22585.22585.22595.22
Total Common Shares Outstanding
578585.22585.22585.22585.22595.22
Working Capital
3,0272,470329.59938.592,093-3,579
Book Value Per Share
70.3276.0970.3771.4170.5967.00
Tangible Book Value
40,59744,48041,13541,73241,29239,848
Tangible Book Value Per Share
70.2476.0170.2971.3170.5666.95
Land
-----186.56
Buildings
2,0942,1912,0572,1522,0523,112
Machinery
610.09661.42657.61794.58759.87969.86
Construction In Progress
745.8790.55748.092,221728.431,589
Leasehold Improvements
99.63135.21139.08138.4868.6147.86
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.