Adimmune Corporation (TPE:4142)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
17.15
+0.20 (1.18%)
May 29, 2026, 1:30 PM CST

Adimmune 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
1,7932,1862,3452,4582,8572,652
Short-Term Investments
52.0131112.512.5100.5239
Trading Asset Securities
-0.47----
Cash & Short-Term Investments
1,8452,2182,4572,4702,9582,891
Cash Growth
-13.85%-9.73%-0.52%-16.49%2.30%-34.66%
Accounts Receivable
137.95146.86187.811,308534.9799.64
Other Receivables
-38.6339.7630.5143.09111.22
Receivables
137.95185.5227.571,339578.06210.86
Inventory
592.85692.91764.59682.33815.94602.1
Prepaid Expenses
230.936.446.458.194.424
Other Current Assets
106.5168.31154.27200.21135.3488.02
Total Current Assets
2,9133,2713,6104,6994,4913,796
Property, Plant & Equipment
4,0454,0153,8183,6133,6413,447
Long-Term Investments
110.1191.64109.66105.86100.25119.34
Other Intangible Assets
21.0517.934.4651.1167.9885.82
Long-Term Accounts Receivable
334.93334.93334.93334.93326.66137.37
Long-Term Deferred Tax Assets
227.26227.26227.42227.6227.59228.03
Long-Term Deferred Charges
-7.4513.419.3625.3231.27
Other Long-Term Assets
169.46227.8333.93433.57268.29165.53
Total Assets
7,8218,1938,4819,4849,1498,010
Accounts Payable
30.7417.0431.2542.3548.845.88
Accrued Expenses
-198.41195.15126.85192.83145.77
Short-Term Debt
222.532550054020-
Current Portion of Long-Term Debt
890.8890.8320.04669.93125.0141.09
Current Portion of Leases
22.8720.6219.0214.7116.687.13
Current Unearned Revenue
20.6335.459.3921.8111.1123.44
Other Current Liabilities
197.6158.5386.46371.386.0273.73
Total Current Liabilities
1,3851,5461,1611,787500.49297.04
Long-Term Debt
1,5451,5481,7051,8692,0391,266
Long-Term Leases
40.9745.9152.3348.7161.656.34
Other Long-Term Liabilities
1.661.250.841.942.357.95
Total Liabilities
2,9733,1412,9203,7072,6041,578
Common Stock
4,2954,2954,2954,2954,2954,295
Additional Paid-In Capital
829.5829.5829.5835.41849.05855.12
Retained Earnings
-99.4386.12351.19597.611,238944.84
Treasury Stock
-292.54-292.54-292.54-292.54-292.54-
Comprehensive Income & Other
23.0626.2449.4938.9434.6253.79
Total Common Equity
4,7564,9445,2335,4756,1246,149
Minority Interest
92.32107.32328.97303.07421.07283.72
Shareholders' Equity
4,8485,0525,5625,7786,5456,433
Total Liabilities & Equity
7,8218,1938,4819,4849,1498,010
Total Debt
2,7232,8302,5973,1432,2631,321
Net Cash (Debt)
-877.83-612.29-139.56-672.63695.031,570
Net Cash Growth
-----55.74%-49.36%
Net Cash Per Share
-2.08-1.45-0.33-1.601.633.66
Filing Date Shares Outstanding
421.69421.51421.51421.51421.51429.51
Total Common Shares Outstanding
421.69421.51421.51421.51421.51429.51
Working Capital
1,5281,7252,4492,9123,9913,499
Book Value Per Share
11.2811.7312.4112.9914.5314.32
Tangible Book Value
4,7354,9265,1985,4236,0566,063
Tangible Book Value Per Share
11.2311.6912.3312.8714.3714.12
Land
-14.3614.3614.3614.3614.36
Buildings
-2,1482,1432,1382,1172,108
Machinery
-2,3192,3192,3322,2551,999
Construction In Progress
-1,7181,3791,0291,1001,032