Jinan Acetate Chemical Co., Ltd. (TPE:4763)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
42.80
0.00 (0.00%)
Apr 24, 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
290.22239.37108.6399.49107.93
Receivables
1,7831,163464.32319.89551.94
Inventory
2,4451,084579.26546.64455.38
Prepaid Expenses
199.5294.7285.3876.6978.29
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
478.07421.25303.17175.39104.47
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
308.462,653167.1400.89120.83
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
989.15989.15987.71911.49749.24
Total Common Shares Outstanding
989.15989.15987.71911.49749.24
Working Capital
15,75112,2238,1801,701773.87
Book Value Per Share
20.1216.4010.333.852.02
Tangible Book Value
19,90116,22210,1993,5051,517
Tangible Book Value Per Share
20.1216.4010.333.852.02
Buildings
1,069669.73459.64299.01276.13
Machinery
3,9392,9122,3121,7951,646
Construction In Progress
276.921,07693.76337.5881.55
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.