HD Renewable Energy Co., Ltd. (TPE:6873)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
82.50
-1.70 (-2.02%)
Apr 2, 2026, 1:30 PM CST

HD Renewable Energy 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
2,3684,5933,9851,964823.02
Trading Asset Securities
0.611.321--
Cash & Short-Term Investments
2,3684,5953,9861,964823.02
Cash Growth
-48.46%15.27%102.96%138.64%156.44%
Accounts Receivable
6,5863,5893,575689.21839.05
Other Receivables
2.580.740.038.03-
Receivables
6,5893,5903,575697.24839.05
Inventory
304.761,4221,127447.1229.26
Prepaid Expenses
339.19----
Other Current Assets
1,8251,4311,1031,280721.88
Total Current Assets
11,42611,0389,7914,3892,413
Property, Plant & Equipment
15,6923,9542,192759.38294.37
Long-Term Investments
1,8121,746177.64564.76227.34
Other Intangible Assets
127.9699.186.5923.0134.86
Long-Term Deferred Tax Assets
330.96192.89118.4964.5123
Other Long-Term Assets
2,8071,503718.6300.71157.29
Total Assets
32,19618,53313,0856,1013,150
Accounts Payable
1,7051,9201,3851,053547.49
Accrued Expenses
-183.6119.65114.639.72
Short-Term Debt
5,0142,4321,529322.39279.11
Current Portion of Long-Term Debt
2,899347.136.6813.5440.25
Current Portion of Leases
81.3839.2532.1317.66.76
Current Income Taxes Payable
109.19300.6136.5205.42128.61
Current Unearned Revenue
127.241,216645.92566.98316.23
Other Current Liabilities
138.5487.77308.96145.2220.5
Total Current Liabilities
10,0746,5264,1942,4381,379
Long-Term Debt
8,1102,5572,885185.1188.49
Long-Term Leases
683.95123.697.445.317.84
Long-Term Deferred Tax Liabilities
54.042.030.64--
Other Long-Term Liabilities
1,41842.9757.137.3422.46
Total Liabilities
20,3409,2527,2342,7061,507
Common Stock
1,4191,1721,000850700
Additional Paid-In Capital
7,1715,8443,3761,745660.62
Retained Earnings
1,6831,9181,153758.48281.57
Comprehensive Income & Other
142.5211.24-0.1--
Total Common Equity
10,4168,9455,5293,3541,642
Minority Interest
1,440335.67321.1540.750.4
Shareholders' Equity
11,8559,2815,8513,3951,643
Total Liabilities & Equity
32,19618,53313,0856,1013,150
Total Debt
16,7895,4994,580583.95432.46
Net Cash (Debt)
-14,420-904.68-594.141,380390.56
Net Cash Growth
---253.36%388.63%
Net Cash Per Share
-102.45-6.92-5.0614.496.03
Filing Date Shares Outstanding
142.83133.8118.6299.4981.93
Total Common Shares Outstanding
142.83133.8117.0599.4981.93
Working Capital
1,3514,5125,5971,9501,035
Book Value Per Share
72.9266.8647.2433.7120.04
Tangible Book Value
10,2888,8465,4433,3311,607
Tangible Book Value Per Share
72.0366.1146.5033.4819.62
Land
-825.66422.05134.55-
Buildings
-192.46191.2976.76-
Machinery
-523.62401.07345.54173.46
Construction In Progress
-2,3891,135187.71124.87
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.