Posiflex Technology, Inc. (TPE:8114)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
229.00
-9.50 (-3.98%)
Jun 5, 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
3.136002-461.4269.2
Cash & Short-Term Investments
5,3786,3523,8153,0982,7652,004
Cash Growth
5.93%66.49%23.17%12.04%37.98%-14.63%
Accounts Receivable
2,6101,8922,6261,3021,7171,762
Other Receivables
1.8784.2863.5154.5638.8755.52
Receivables
2,6121,9772,6901,3571,7561,817
Inventory
4,1712,6742,9092,4893,2803,157
Prepaid Expenses
-115.25132.829270.9479.02
Other Current Assets
295.215.2297.9299.49562.4967.9
Total Current Assets
12,45511,1239,6457,1358,4347,125
Property, Plant & Equipment
4,2304,1203,5773,5773,6094,008
Long-Term Investments
1,509422.72386.24375.16396.72363.45
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
155.14659.71682.44588.64125.67112.13
Total Assets
21,98019,87417,64514,86415,79814,785
Accounts Payable
1,680915.921,267758.97760.871,255
Accrued Expenses
-1,392927.79430.1517.27330.46
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
1,755587.7548.06393.01382.64377.44
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)
3,8645,499-2,173-2,996-4,048-5,462
Net Cash Per Share
48.9770.87-20.16-27.92-37.69-51.41
Filing Date Shares Outstanding
107.4376.4276.2975.675.4874.92
Total Common Shares Outstanding
107.4376.4276.2975.675.4874.92
Working Capital
6,6846,7855,2763,9274,8803,450
Book Value Per Share
99.62135.0459.3247.8449.7637.76
Tangible Book Value
7,7917,4631,760956.061,008165
Tangible Book Value Per Share
72.5297.6623.0712.6513.362.20
Land
-738.77622.02618.58626.37619.54
Buildings
-4,0703,5883,5753,5783,558
Machinery
-1,4871,3841,3131,2121,110