Posiflex Technology, Inc. (TPE:8114)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
189.00
-19.50 (-9.35%)
Jun 25, 2026, 1:30 PM CST

Posiflex Technology Balance Sheet

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
5,2195,7523,8133,0982,3031,934
Short-Term Investments
-6002-461.4269.2
Cash & Short-Term Investments
5,3746,3523,8153,0982,7652,004
Cash Growth
5.87%66.49%23.17%12.04%37.98%-14.63%
Accounts Receivable
2,6101,8922,6261,3021,7171,762
Other Receivables
146.2784.2863.5154.5638.8755.52
Receivables
2,7561,9772,6901,3571,7561,817
Inventory
4,1712,6742,9092,4893,2803,157
Prepaid Expenses
149.96115.25132.829270.9479.02
Other Current Assets
3.995.2297.9299.49562.4967.9
Total Current Assets
12,45511,1239,6457,1358,4347,125
Property, Plant & Equipment
4,2304,1203,5773,5773,6094,008
Long-Term Investments
1,027422.72386.24375.16396.72363.45
Goodwill
2,0211,9861,9501,8361,8411,672
Other Intangible Assets
890.41870.48815.16824.62906.86991.64
Long-Term Accounts Receivable
--0.011.53.074.64
Long-Term Deferred Tax Assets
718.52692.06588.74526.35482.03507.77
Other Long-Term Assets
637.76659.71682.44588.64125.67112.13
Total Assets
21,98019,87417,64514,86415,79814,785
Accounts Payable
1,680915.921,267758.97760.871,255
Accrued Expenses
1,1341,392927.79430.1517.27330.46
Short-Term Debt
1,014371.66850.88959.811,207459.45
Current Portion of Long-Term Debt
7.867.739.3127.586.28498.9
Current Portion of Leases
65.7875.2179.7468.4756.8356.86
Current Income Taxes Payable
795.61614.11383.61254.54296.53193.93
Current Unearned Revenue
452.86373.53302.16315.33327.16502.99
Other Current Liabilities
621.06587.7548.06393.01382.64377.44
Total Current Liabilities
5,7724,3384,3693,2083,5543,675
Long-Term Debt
40.8658.644,6584,6605,1775,736
Long-Term Leases
385.18340.42390.89378.45365.22714.41
Long-Term Unearned Revenue
44.8162.0387.680.96129.7133.96
Pension & Post-Retirement Benefits
26.9327.1125.2726.5513.6719.99
Long-Term Deferred Tax Liabilities
130.1106.86119.5345.3446.6334.57
Other Long-Term Liabilities
106.78105.86142.55135.16147.971.85
Total Liabilities
6,5065,0399,7928,5349,43510,315
Common Stock
764.19764.19762.38755.96754.83749.22
Additional Paid-In Capital
5,1635,153837.47777.12953.1857.76
Retained Earnings
4,5104,2142,9042,2582,2121,696
Comprehensive Income & Other
265.63188.3221.13-174.86-163.95-473.7
Total Common Equity
10,70310,3204,5253,6163,7562,829
Minority Interest
4,7714,5163,3272,7132,6071,641
Shareholders' Equity
15,47414,8357,8526,3306,3634,470
Total Liabilities & Equity
21,98019,87417,64514,86415,79814,785
Total Debt
1,514853.665,9896,0946,8127,465
Net Cash (Debt)
3,8615,499-2,173-2,996-4,048-5,462
Net Cash Per Share
49.8270.87-20.16-27.92-37.69-51.41
Filing Date Shares Outstanding
76.4276.4276.2975.675.4874.92
Total Common Shares Outstanding
76.4276.4276.2975.675.4874.92
Working Capital
6,6846,7855,2763,9274,8803,450
Book Value Per Share
140.05135.0459.3247.8449.7637.76
Tangible Book Value
7,7917,4631,760956.061,008165
Tangible Book Value Per Share
101.9597.6623.0712.6513.362.20
Land
744.4738.77622.02618.58626.37619.54
Buildings
4,0864,0703,5883,5753,5783,558
Machinery
1,5041,4871,3841,3131,2121,110
Construction In Progress
82.15-----