Castles Technology Co., Ltd. (TPE:5258)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
73.90
0.00 (0.00%)
Sep 16, 2025, 1:30 PM CST

Castles Technology Balance Sheet

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 20202015 - 2019
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
1,9341,6881,8871,010867.24434.45
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Short-Term Investments
240.4175.1126.5877.08-29.89
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Cash & Short-Term Investments
2,1741,8632,0131,087867.24464.34
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Cash Growth
10.90%-7.44%85.16%25.38%86.77%-18.36%
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Accounts Receivable
2,3442,5241,9551,9691,056935.42
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Other Receivables
72.9450.2670.9456.138.627.29
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Receivables
2,4162,5742,0262,0251,095962.72
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Inventory
1,7872,2751,8422,2741,6571,239
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Prepaid Expenses
131.78173.0387.0162.4341.3453.9
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Other Current Assets
-110.08-9.383.369.36
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Total Current Assets
6,5096,9965,9685,4583,7442,790
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Property, Plant & Equipment
582.52596.88550.7485.06414.73398.65
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Long-Term Investments
51.151.2229.5818.261.582.65
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Goodwill
-131.31----
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Other Intangible Assets
272.28154.2333.1747.1165.6864.51
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Long-Term Deferred Tax Assets
286.67258.05253.75256.65246.92248.99
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Other Long-Term Assets
213.03157.68154.76125.35110.74128.64
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Total Assets
7,9158,3466,9906,3904,5843,633
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Accounts Payable
970.711,2711,0841,6061,118627.26
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Accrued Expenses
-498.12368.02270.67136.11110.88
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Short-Term Debt
1,3821,282762668908.39735.8
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Current Portion of Long-Term Debt
-7.9988.6173.0157.8157.12
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Current Portion of Leases
4343.3327.224.4417.9317.87
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Current Income Taxes Payable
158.22127.5262.05146.7183.8958.93
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Current Unearned Revenue
80.9691.18101.4876.5690.3729.13
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Other Current Liabilities
737.93158.12122.18126.8595.0777.85
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Total Current Liabilities
3,3733,4802,8152,9932,5071,715
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Long-Term Debt
143.89151.89206.77272.9308.35337.94
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Long-Term Leases
118.82127.2396.32108.2844.1722.08
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Long-Term Deferred Tax Liabilities
65.9182.6426.1539.795.1513.37
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Other Long-Term Liabilities
45.031.921.483.6515.274.68
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Total Liabilities
3,7463,8603,1643,4352,8982,110
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Common Stock
1,1041,1041,048995.43895.43895.43
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Additional Paid-In Capital
755.55760.71723.89694.51325.01325.01
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Retained Earnings
2,1982,4411,9211,150442.16272.65
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Treasury Stock
-13.62-18.05-18.05-18.05-18.05-18.05
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Comprehensive Income & Other
19.3553.8414.987.73-29.11-11.45
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Total Common Equity
4,0634,3413,6902,8301,6151,464
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Minority Interest
105.96145.37135.57125.4170.4259.44
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Shareholders' Equity
4,1684,4863,8262,9551,6861,523
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Total Liabilities & Equity
7,9158,3466,9906,3904,5843,633
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Total Debt
1,6881,6121,1811,1471,3371,171
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Net Cash (Debt)
486.28250.99832.36-59.32-469.41-706.46
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Net Cash Growth
-22.46%-69.84%----
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Net Cash Per Share
4.412.277.56-0.57-4.76-7.13
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Filing Date Shares Outstanding
93.7109.59109.28108.997.8797.87
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Total Common Shares Outstanding
93.7109.59109.28108.997.8797.87
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Working Capital
3,1373,5173,1522,4651,2371,075
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Book Value Per Share
43.3639.6133.7725.9816.5114.95
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Tangible Book Value
3,7904,0553,6572,7821,5501,399
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Tangible Book Value Per Share
40.4537.0033.4625.5515.8314.30
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Land
-148.77148.77148.77148.77148.77
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Buildings
-110.49118.15118.04117.29117.49
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Machinery
-484.69422.8274.16238.92209.92
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Construction In Progress
-18.2----
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Updated Jun 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.