Castles Technology Co., Ltd. (TPE:5258)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
51.10
-3.70 (-6.75%)
At close: Feb 11, 2026

Castles Technology 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
1,9591,6881,8871,010867.24434.45
Short-Term Investments
130.72175.1126.5877.08-29.89
Cash & Short-Term Investments
2,0901,8632,0131,087867.24464.34
Cash Growth
3.80%-7.44%85.16%25.38%86.77%-18.36%
Accounts Receivable
2,9292,5241,9551,9691,056935.42
Other Receivables
106.1250.2670.9456.138.627.29
Receivables
3,0352,5742,0262,0251,095962.72
Inventory
1,9042,2751,8422,2741,6571,239
Prepaid Expenses
156.14173.0387.0162.4341.3453.9
Other Current Assets
120.78110.08-9.383.369.36
Total Current Assets
7,3076,9965,9685,4583,7442,790
Property, Plant & Equipment
589.65596.88550.7485.06414.73398.65
Long-Term Investments
51.1951.2229.5818.261.582.65
Goodwill
131.31131.31----
Other Intangible Assets
134.7154.2333.1747.1165.6864.51
Long-Term Deferred Tax Assets
290.07258.05253.75256.65246.92248.99
Other Long-Term Assets
214.82157.68154.76125.35110.74128.64
Total Assets
8,7198,3466,9906,3904,5843,633
Accounts Payable
1,4471,2711,0841,6061,118627.26
Accrued Expenses
439.54498.12368.02270.67136.11110.88
Short-Term Debt
1,6571,282762668908.39735.8
Current Portion of Long-Term Debt
15.997.9988.6173.0157.8157.12
Current Portion of Leases
44.0643.3327.224.4417.9317.87
Current Income Taxes Payable
199.69127.5262.05146.7183.8958.93
Current Unearned Revenue
80.9791.18101.4876.5690.3729.13
Other Current Liabilities
130.31158.12122.18126.8595.0777.85
Total Current Liabilities
4,0153,4802,8152,9932,5071,715
Long-Term Debt
135.9151.89206.77272.9308.35337.94
Long-Term Leases
117.06127.2396.32108.2844.1722.08
Pension & Post-Retirement Benefits
16.1616.1618.0217.8417.4217.05
Long-Term Deferred Tax Liabilities
66.482.6426.1539.795.1513.37
Other Long-Term Liabilities
29.981.921.483.6515.274.68
Total Liabilities
4,3803,8603,1643,4352,8982,110
Common Stock
1,1041,1041,048995.43895.43895.43
Additional Paid-In Capital
806.04760.71723.89694.51325.01325.01
Retained Earnings
2,3362,4411,9211,150442.16272.65
Treasury Stock
-49.91-18.05-18.05-18.05-18.05-18.05
Comprehensive Income & Other
27.5253.8414.987.73-29.11-11.45
Total Common Equity
4,2244,3413,6902,8301,6151,464
Minority Interest
114.82145.37135.57125.4170.4259.44
Shareholders' Equity
4,3384,4863,8262,9551,6861,523
Total Liabilities & Equity
8,7198,3466,9906,3904,5843,633
Total Debt
1,9701,6121,1811,1471,3371,171
Net Cash (Debt)
120.09250.99832.36-59.32-469.41-706.46
Net Cash Growth
-67.90%-69.84%----
Net Cash Per Share
1.082.277.56-0.57-4.76-7.13
Filing Date Shares Outstanding
109.58109.59109.28108.997.8797.87
Total Common Shares Outstanding
109.58109.59109.28108.997.8797.87
Working Capital
3,2923,5173,1522,4651,2371,075
Book Value Per Share
38.5439.6133.7725.9816.5114.95
Tangible Book Value
3,9584,0553,6572,7821,5501,399
Tangible Book Value Per Share
36.1237.0033.4625.5515.8314.30
Land
148.77148.77148.77148.77148.77148.77
Buildings
197.38110.49118.15118.04117.29117.49
Machinery
489.38484.69422.8274.16238.92209.92
Construction In Progress
13.818.2----
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.