Medimaging Integrated Solution Inc. (TPE:6796)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
75.00
+2.20 (3.02%)
At close: Mar 27, 2026

TPE:6796 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
539375.16474.33275.11224.26
Short-Term Investments
7.55-183.826010
Trading Asset Securities
0.02----
Cash & Short-Term Investments
546.57375.16658.15335.11234.26
Cash Growth
45.69%-43.00%96.40%43.05%27.00%
Accounts Receivable
204.3187.8497.69117.81145.26
Other Receivables
4.516.052.553.242.36
Receivables
208.81193.9100.24121.05147.62
Inventory
246.09203.13148.27151.64133.29
Prepaid Expenses
23.5117.7115.3118.2620.43
Other Current Assets
2.995.622.560.080.05
Total Current Assets
1,028795.52924.53626.14535.65
Property, Plant & Equipment
472.37464.62355.37182.61143.63
Long-Term Investments
2.43-0.250.250.25
Goodwill
-5.73---
Other Intangible Assets
27.7420.3316.9612.1413.03
Long-Term Deferred Tax Assets
26.7624.1310.476.515.62
Other Long-Term Assets
14.4545.833.0513.7617.67
Total Assets
1,5721,3561,341841.41715.84
Accounts Payable
35.3629.7110.2628.3323.58
Accrued Expenses
-42.8738.5542.7838.63
Short-Term Debt
8825--45
Current Portion of Long-Term Debt
222.9218.9818.618.3414.55
Current Portion of Leases
5.414.483.582.541.28
Current Income Taxes Payable
6.988.7518.747.1112.58
Current Unearned Revenue
18.9349.9850.260.765.47
Other Current Liabilities
77.6635.8323.2222.1917.76
Total Current Liabilities
455.26215.6163.21122.04158.85
Long-Term Debt
328.08349.97343.7947.2854.88
Long-Term Leases
39.6944.7239.1219.5114.94
Long-Term Deferred Tax Liabilities
1.052.41-2.96-
Other Long-Term Liabilities
2.260.972.011.471.05
Total Liabilities
826.34613.67548.13193.26229.72
Common Stock
382.34347.58345.84332.28300.06
Additional Paid-In Capital
299.35321.32319.49202.4590
Retained Earnings
69.5379.18136.05121.8104.98
Comprehensive Income & Other
-5.85-5.61-8.88-8.38-8.92
Shareholders' Equity
745.37742.47792.5648.15486.12
Total Liabilities & Equity
1,5721,3561,341841.41715.84
Total Debt
684.11443.15405.0987.67130.65
Net Cash (Debt)
-137.54-67.99253.06247.44103.61
Net Cash Growth
--2.27%138.81%113.56%
Net Cash Per Share
-3.56-1.776.766.953.20
Filing Date Shares Outstanding
39.838.2338.0436.5533.01
Total Common Shares Outstanding
39.838.2338.0436.5533.01
Working Capital
572.69579.92761.32504.1376.8
Book Value Per Share
18.7319.4220.8317.7314.73
Tangible Book Value
717.62716.41775.54636.01473.09
Tangible Book Value Per Share
18.0318.7420.3917.4014.33
Buildings
-309.42150.47111.8287.94
Machinery
-292.55160.11143.84128.45
Construction In Progress
-68.54139.2219.41-
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.