SCI Pharmtech, Inc. (TPE:4119)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
52.70
+0.40 (0.76%)
Mar 26, 2026, 1:30 PM CST

SCI Pharmtech Balance Sheet

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
60.63582.38942.06166.83332.23
Trading Asset Securities
14.17110.378997.55360.4
Cash & Short-Term Investments
74.8692.761,031264.37692.63
Cash Growth
-89.20%-32.81%290.00%-61.83%9.42%
Accounts Receivable
247.93289.51307.37173.5782.98
Other Receivables
1.17-0.1531.1265.59
Receivables
249.1289.51307.52204.67348.56
Inventory
728.3620.9529.53513.43294.18
Other Current Assets
38.2357.2285.1359.9361.93
Total Current Assets
1,0901,6601,9531,0421,397
Property, Plant & Equipment
5,1374,8033,9123,1942,100
Long-Term Investments
187.05237.52241.62208.04124.97
Other Intangible Assets
29.6537.7746.1554.5860.29
Long-Term Deferred Tax Assets
161.56143.82153.28167.25241.55
Other Long-Term Assets
281.26318.06384.69294.11265.64
Total Assets
6,8877,2016,6914,9614,190
Accounts Payable
60.9558.4444.2548.6433.78
Accrued Expenses
-116.05110.72128.35121.46
Short-Term Debt
318.60.1175112-
Current Portion of Long-Term Debt
-403.4420--
Current Portion of Leases
5.622.471.950.831.58
Current Income Taxes Payable
42.8985.2511.543.86-
Current Unearned Revenue
36.1194.9238.3731.7741.76
Other Current Liabilities
572.2253.72168.07444.86549.35
Total Current Liabilities
1,0361,014569.89770.32747.94
Long-Term Debt
258.39578.01842.67432.36-
Long-Term Leases
44.466.372.860.20.57
Long-Term Unearned Revenue
---4.11-
Pension & Post-Retirement Benefits
-11.9621.5419.5316.95
Long-Term Deferred Tax Liabilities
104.52104.45146103.81103.81
Other Long-Term Liabilities
48.638.687.841-
Total Liabilities
1,4921,7241,5911,331869.26
Common Stock
1,1951,1951,195953.82953.82
Additional Paid-In Capital
2,2352,2352,2341,3571,348
Retained Earnings
1,9682,0371,6461,3731,067
Comprehensive Income & Other
-3.4410.0725.46-54.73-48.93
Shareholders' Equity
5,3945,4775,1003,6293,321
Total Liabilities & Equity
6,8877,2016,6914,9614,190
Total Debt
627.07990.391,042545.382.16
Net Cash (Debt)
-552.28-297.63-11.42-281.01690.48
Net Cash Growth
----9.52%
Net Cash Per Share
-4.63-2.48-0.10-2.616.42
Filing Date Shares Outstanding
118.69119.51119.51107.3107.3
Total Common Shares Outstanding
118.69119.51119.51107.3107.3
Working Capital
54.05646.011,383272.08649.37
Book Value Per Share
45.4545.8342.6733.8230.95
Tangible Book Value
5,3655,4395,0543,5753,260
Tangible Book Value Per Share
45.2045.5142.2933.3130.38
Land
-687.88687.88687.88825.68
Buildings
-722.9707700.23684.47
Machinery
-2,4671,7861,185577.08
Construction In Progress
-1,9651,5651,323633.3
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.