Medimaging Integrated Solution Inc. (TPE:6796)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
73.50
-2.00 (-2.65%)
Apr 20, 2026, 12:42 PM CST

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
3-183.826010
Cash & Short-Term Investments
542375.16658.15335.11234.26
Cash Growth
44.47%-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
7.565.622.560.080.05
Total Current Assets
1,028795.52924.53626.14535.65
Property, Plant & Equipment
472.37464.62355.37182.61143.63
Long-Term Investments
--0.250.250.25
Goodwill
5.735.73---
Other Intangible Assets
22.0120.3316.9612.1413.03
Long-Term Deferred Tax Assets
26.7624.1310.476.515.62
Other Long-Term Assets
16.8845.833.0513.7617.67
Total Assets
1,5721,3561,341841.41715.84
Accounts Payable
35.3629.7110.2628.3323.58
Accrued Expenses
43.5442.8738.5542.7838.63
Short-Term Debt
8825--45
Current Portion of Long-Term Debt
212.0318.9818.618.3414.55
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
45.0135.8323.2222.1917.76
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
673.22443.15405.0987.67130.65
Net Cash (Debt)
-131.21-67.99253.06247.44103.61
Net Cash Growth
--2.27%138.81%113.56%
Net Cash Per Share
-3.43-1.776.766.953.20
Filing Date Shares Outstanding
38.2338.2338.0436.5533.01
Total Common Shares Outstanding
38.2338.2338.0436.5533.01
Working Capital
572.69579.92761.32504.1376.8
Book Value Per Share
19.4919.4220.8317.7314.73
Tangible Book Value
717.62716.41775.54636.01473.09
Tangible Book Value Per Share
18.7718.7420.3917.4014.33
Buildings
381.69309.42150.47111.8287.94
Machinery
316.29292.55160.11143.84128.45
Construction In Progress
30.7768.54139.2219.41-
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.