SCI Pharmtech, Inc. (TPE:4119)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
45.50
+0.75 (1.68%)
At close: Jul 9, 2026

SCI Pharmtech 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
51.9560.63582.38942.06166.83332.23
Trading Asset Securities
1.0114.17110.378997.55360.4
Cash & Short-Term Investments
52.9674.8692.761,031264.37692.63
Cash Growth
-89.64%-89.20%-32.81%290.00%-61.83%9.42%
Accounts Receivable
331.63247.93289.51307.37173.5782.98
Other Receivables
0.161.17-0.1531.1265.59
Receivables
331.79249.1289.51307.52204.67348.56
Inventory
680.32728.3620.9529.53513.43294.18
Other Current Assets
39.5138.2357.2285.1359.9361.93
Total Current Assets
1,1051,0901,6601,9531,0421,397
Property, Plant & Equipment
5,1555,1374,8033,9123,1942,100
Long-Term Investments
220.9187.05237.52241.62208.04124.97
Other Intangible Assets
27.5629.6537.7746.1554.5860.29
Long-Term Deferred Tax Assets
161.56161.56143.82153.28167.25241.55
Other Long-Term Assets
285.3281.26318.06384.69294.11265.64
Total Assets
6,9556,8877,2016,6914,9614,190
Accounts Payable
43.9960.9558.4444.2548.6433.78
Accrued Expenses
40.2460.399.04110.72128.35121.46
Short-Term Debt
390318.60.1175112-
Current Portion of Long-Term Debt
348.6360.11403.4420--
Current Portion of Leases
5.665.622.471.950.831.58
Current Income Taxes Payable
51.3742.8985.2511.543.86-
Current Unearned Revenue
35.436.1194.9238.3731.7741.76
Other Current Liabilities
138.06151.79270.73168.07444.86549.35
Total Current Liabilities
1,0531,0361,014569.89770.32747.94
Long-Term Debt
300.4258.39578.01842.67432.36-
Long-Term Leases
43.0344.466.372.860.20.57
Long-Term Unearned Revenue
----4.11-
Pension & Post-Retirement Benefits
7.397.611.9621.5419.5316.95
Long-Term Deferred Tax Liabilities
104.52104.52104.45146103.81103.81
Other Long-Term Liabilities
35.5441.028.687.841-
Total Liabilities
1,5441,4921,7241,5911,331869.26
Common Stock
1,1951,1951,1951,195953.82953.82
Additional Paid-In Capital
2,2352,2352,2352,2341,3571,348
Retained Earnings
1,9881,9682,0371,6461,3731,067
Comprehensive Income & Other
-7.41-3.4410.0725.46-54.73-48.93
Shareholders' Equity
5,4115,3945,4775,1003,6293,321
Total Liabilities & Equity
6,9556,8877,2016,6914,9614,190
Total Debt
1,088987.18990.391,042545.382.16
Net Cash (Debt)
-1,035-912.39-297.63-11.42-281.01690.48
Net Cash Growth
-----9.52%
Net Cash Per Share
-8.64-7.62-2.48-0.10-2.616.42
Filing Date Shares Outstanding
119.51119.51119.51119.51107.3107.3
Total Common Shares Outstanding
119.51119.51119.51119.51107.3107.3
Working Capital
51.2654.05646.011,383272.08649.37
Book Value Per Share
45.2745.1445.8342.6733.8230.95
Tangible Book Value
5,3835,3655,4395,0543,5753,260
Tangible Book Value Per Share
45.0444.8945.5142.2933.3130.38
Land
687.88687.88687.88687.88687.88825.68
Buildings
723.09723.37722.9707700.23684.47
Machinery
2,4912,5102,4671,7861,185577.08
Construction In Progress
2,5182,4521,9651,5651,323633.3