Jinan Acetate Chemical Co., Ltd. (TPE:4763)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
42.20
-0.70 (-1.63%)
Apr 2, 2026, 1:30 PM CST

Jinan Acetate Chemical 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
8,51013,2598,1161,941646.17
Short-Term Investments
4,4711,127437.5164.47164.16
Cash & Short-Term Investments
12,98114,3868,5542,005810.32
Cash Growth
-9.77%68.18%326.52%147.49%-2.53%
Accounts Receivable
1,493923.42355.7220.4444.02
Other Receivables
108.38239.37108.6399.49107.93
Receivables
1,6021,163464.32319.89551.94
Inventory
2,3781,084579.26546.64455.38
Prepaid Expenses
448.7194.7285.3876.6978.29
Other Current Assets
107.2476.51173.7456.8250.29
Total Current Assets
17,51716,8049,8563,4062,146
Property, Plant & Equipment
4,1393,7931,8651,5841,343
Long-Term Investments
84.9966.6457.3337.2324.06
Long-Term Deferred Tax Assets
2.8925.0330.3753.6744.06
Other Long-Term Assets
93.49291.56189.97332.0777.47
Total Assets
21,83820,98011,9995,4123,635
Accounts Payable
460.77268.88179.71288.99140.06
Accrued Expenses
-421.25303.17175.39104.47
Short-Term Debt
---365.45489.42
Current Portion of Long-Term Debt
---87.03390.69
Current Income Taxes Payable
191.92421.86318.4142.44-
Current Unearned Revenue
326.56815.8708.15344.43126.9
Other Current Liabilities
786.522,653167.1400.89120.83
Total Current Liabilities
1,7664,5811,6771,7051,372
Long-Term Debt
---54.87572.32
Long-Term Deferred Tax Liabilities
--0.01-9.61
Other Long-Term Liabilities
----43.38
Total Liabilities
1,7664,5811,6771,7591,998
Common Stock
989.15989.15862.86703.26585.76
Additional Paid-In Capital
3,9893,9893,8961,609433.58
Retained Earnings
14,70911,1515,7491,404729.27
Treasury Stock
---38.08-80.87-153.99
Comprehensive Income & Other
214.7193.11-271.22-130.24-77.7
Total Common Equity
19,90116,22210,1993,5051,517
Minority Interest
170.83177.09123.67147.45120.62
Shareholders' Equity
20,07216,39910,3233,6531,638
Total Liabilities & Equity
21,83820,98011,9995,4123,635
Total Debt
---507.351,452
Net Cash (Debt)
12,98114,3868,5541,498-642.1
Net Cash Growth
-9.77%68.18%470.96%--
Net Cash Per Share
13.1114.548.891.57-0.73
Filing Date Shares Outstanding
987.15989.15987.71911.49749.24
Total Common Shares Outstanding
987.15989.15987.71911.49749.24
Working Capital
15,75112,2238,1801,701773.87
Book Value Per Share
20.1616.4010.333.852.02
Tangible Book Value
19,90116,22210,1993,5051,517
Tangible Book Value Per Share
20.1616.4010.333.852.02
Buildings
-669.73459.64299.01276.13
Machinery
-2,9122,3121,7951,646
Construction In Progress
-1,07693.76337.5881.55
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.