Adimmune Corporation (TPE:4142)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
18.05
-0.20 (-1.10%)
Feb 11, 2026, 1:35 PM CST

Adimmune 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
1,7632,3452,4582,8572,6524,087
Short-Term Investments
24.5112.512.5100.5239337.06
Cash & Short-Term Investments
1,7882,4572,4702,9582,8914,425
Cash Growth
-3.29%-0.52%-16.49%2.30%-34.66%302.92%
Accounts Receivable
442.48187.811,308534.9799.64109.75
Other Receivables
38.6839.7630.5143.09111.225.73
Receivables
481.17227.571,339578.06210.86115.48
Inventory
910.15764.59682.33815.94602.1302.05
Prepaid Expenses
13.786.458.194.424165.46
Other Current Assets
190.46154.27200.21135.3488.0239.07
Total Current Assets
3,3833,6104,6994,4913,7965,047
Property, Plant & Equipment
3,9743,8183,6133,6413,4472,352
Long-Term Investments
93.73109.66105.86100.25119.34137.08
Other Intangible Assets
21.8934.4651.1167.9885.82101.69
Long-Term Accounts Receivable
334.93334.93334.93326.66137.37-
Long-Term Deferred Tax Assets
227.42227.42227.6227.59228.03227.89
Long-Term Deferred Charges
8.9413.419.3625.3231.2737.23
Other Long-Term Assets
336.07333.93433.57268.29165.53570.66
Total Assets
8,3818,4819,4849,1498,0108,473
Accounts Payable
51.0931.2542.3548.845.8823.46
Accrued Expenses
171.93164.26126.85192.83145.77120.11
Short-Term Debt
527.550054020--
Current Portion of Long-Term Debt
1,028320.04669.93125.0141.092.07
Current Portion of Leases
21.7819.0214.7116.687.137.23
Current Unearned Revenue
9.399.3921.8111.1123.44167.91
Other Current Liabilities
19.29117.35371.386.0273.73204.63
Total Current Liabilities
1,8291,1611,787500.49297.04525.41
Long-Term Debt
1,6471,7051,8692,0391,2661,307
Long-Term Leases
48.7452.3348.7161.656.347.13
Pension & Post-Retirement Benefits
-----4.11
Other Long-Term Liabilities
2.610.841.942.357.950.77
Total Liabilities
3,5272,9203,7072,6041,5781,845
Common Stock
4,2954,2954,2954,2954,2954,295
Additional Paid-In Capital
829.5829.5835.41849.05855.12830.21
Retained Earnings
-134.93351.19597.611,238944.841,123
Treasury Stock
-292.54-292.54-292.54-292.54--
Comprehensive Income & Other
28.6749.4938.9434.6253.7968.03
Total Common Equity
4,7265,2335,4756,1246,1496,316
Minority Interest
127.28328.97303.07421.07283.72312.5
Shareholders' Equity
4,8535,5625,7786,5456,4336,629
Total Liabilities & Equity
8,3818,4819,4849,1498,0108,473
Total Debt
3,2732,5973,1432,2631,3211,324
Net Cash (Debt)
-1,485-139.56-672.63695.031,5703,101
Net Cash Growth
----55.74%-49.36%-
Net Cash Per Share
-3.52-0.33-1.601.633.667.56
Filing Date Shares Outstanding
421.51421.51421.51421.51429.51429.51
Total Common Shares Outstanding
421.51421.51421.51421.51429.51429.51
Working Capital
1,5552,4492,9123,9913,4994,521
Book Value Per Share
11.2112.4112.9914.5314.3214.71
Tangible Book Value
4,7045,1985,4236,0566,0636,215
Tangible Book Value Per Share
11.1612.3312.8714.3714.1214.47
Land
14.3614.3614.3614.3614.3614.36
Buildings
2,1482,1432,1382,1172,1082,141
Machinery
2,3202,3192,3322,2551,9992,529
Construction In Progress
1,6371,3791,0291,1001,032317.15
Source: S&P Global Market Intelligence. Standard template. Financial Sources.