Clevo Co. (TPE:2362)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
50.40
-1.50 (-2.89%)
Jun 3, 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
17.98717.59758.37693.19692.45478.66
Receivables
2,6603,6714,0353,6903,2653,905
Inventory
5,0013,0471,6542,8333,7794,694
Other Current Assets
1,238658.54618.441,093776.16911.66
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
-10.7110.8410.3310.4910.34
Other Intangible Assets
38.1731.7737.438.4947.468.09
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
-3,3092,0767,1697,8643,798
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
6,0501,5311,8701,9411,7641,935
Total Current Liabilities
19,08615,38816,67917,50616,11513,761
Long-Term Debt
28,20229,57126,46423,28222,98622,872
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
1,249782.17774.81781.62782.441,127
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
37,75240,37237,86535,50734,52231,701
Net Cash (Debt)
-25,382-28,121-25,024-25,287-25,289-25,357
Net Cash Per Share
-43.91-48.18-42.52-42.92-42.85-42.28
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
-2,2002,1912,0572,1522,052
Machinery
-656.37661.42657.61794.58759.87
Construction In Progress
-785.85790.55748.092,221728.43
Leasehold Improvements
-99.75135.21139.08138.4868.61