Clevo Co. (TPE:2362)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
46.10
+0.05 (0.11%)
Jun 24, 2026, 1:30 PM CST

Clevo Co. 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
8,9738,4358,0095,2157,0513,816
Short-Term Investments
8.688.231,5561,965--
Trading Asset Securities
3,3883,8083,2773,0402,1812,527
Cash & Short-Term Investments
12,37012,25112,84110,2209,2336,343
Cash Growth
-5.00%-4.60%25.65%10.69%45.55%-2.68%
Accounts Receivable
2,6422,9533,2762,9972,5733,426
Other Receivables
741.99717.59758.37693.19692.45478.66
Receivables
3,3843,6714,0353,6903,2653,905
Inventory
5,0013,0471,6542,8333,7794,694
Other Current Assets
513.65658.54618.441,093776.16911.66
Total Current Assets
21,26919,62819,14917,83617,05315,854
Property, Plant & Equipment
6,0345,9015,9695,9118,0956,693
Long-Term Investments
5,6655,5894,6293,9902,8692,649
Goodwill
11.0610.7110.8410.3310.4910.34
Other Intangible Assets
27.1131.7737.438.4947.468.09
Long-Term Accounts Receivable
---42.9480.77-
Long-Term Deferred Tax Assets
644.88626.19571.98729.55822.26387.33
Other Long-Term Assets
71,27069,02469,89965,86765,18965,693
Total Assets
104,921100,810100,26594,42594,16791,294
Accounts Payable
2,9862,5103,0523,0032,4772,752
Short-Term Debt
9,3677,2959,2124,8273,3264,746
Current Portion of Long-Term Debt
3,4293,3092,0767,1697,8643,798
Current Portion of Leases
69.5972.6460.08117.44120.462.63
Current Income Taxes Payable
266.56273.98347.53404.79418.27378.03
Current Unearned Revenue
346396.7862.2744.99145.2188.15
Other Current Liabilities
2,6221,5311,8701,9411,7641,935
Total Current Liabilities
19,08615,38816,67917,50616,11513,761
Long-Term Debt
28,65529,57126,46423,28222,98622,872
Long-Term Leases
112.51125.553.75111.84225.53221.39
Long-Term Deferred Tax Liabilities
12,03611,58611,76611,56012,26812,003
Other Long-Term Liabilities
796.22782.17774.81781.62782.441,127
Total Liabilities
60,68557,45255,73753,24252,37749,984
Common Stock
6,2236,2236,3236,3236,3236,498
Additional Paid-In Capital
125.34124.91140.8897.3956.4673.48
Retained Earnings
39,67240,53240,97240,15740,01240,743
Treasury Stock
-873.44-873.44-829.2-829.2-829.2-1,375
Comprehensive Income & Other
-910.97-2,648-2,078-4,564-3,771-4,629
Total Common Equity
44,23643,35844,52841,18341,79041,310
Shareholders' Equity
44,23643,35844,52841,18341,79041,310
Total Liabilities & Equity
104,921100,810100,26594,42594,16791,294
Total Debt
41,63340,37237,86535,50734,52231,701
Net Cash (Debt)
-29,263-28,121-25,024-25,287-25,289-25,357
Net Cash Per Share
-50.30-48.18-42.52-42.92-42.85-42.28
Filing Date Shares Outstanding
578578585.22585.22585.22585.22
Total Common Shares Outstanding
578578585.22585.22585.22585.22
Working Capital
2,1824,2402,470329.59938.592,093
Book Value Per Share
76.5375.0176.0970.3771.4170.59
Tangible Book Value
44,19843,31544,48041,13541,73241,292
Tangible Book Value Per Share
76.4774.9476.0170.2971.3170.56
Buildings
2,2822,2002,1912,0572,1522,052
Machinery
679.06656.37661.42657.61794.58759.87
Construction In Progress
811.54785.85790.55748.092,221728.43
Leasehold Improvements
101.7599.75135.21139.08138.4868.61