Kaori Heat Treatment Co., Ltd. (TPE:8996)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
773.00
+26.00 (3.48%)
Feb 2, 2026, 1:35 PM CST

Kaori Heat Treatment Balance Sheet

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
1,8991,871590.94259.29498.57540.56
Short-Term Investments
42.7149.2621.6422.0447.7843.77
Trading Asset Securities
---42.2141.6844.26
Cash & Short-Term Investments
1,9421,921612.57323.54588.03628.59
Cash Growth
149.92%213.52%89.33%-44.98%-6.45%3.29%
Accounts Receivable
1,122821.7797.32579.65351.12379.9
Other Receivables
33.570.260.830.110.940.13
Receivables
1,156821.96798.14579.75362.07380.03
Inventory
1,4261,0521,2351,180575.51599.44
Other Current Assets
61.3661.0856.29171.8163.4526.53
Total Current Assets
4,5853,8562,7022,2551,5891,635
Property, Plant & Equipment
2,0141,9791,8471,6301,6341,635
Long-Term Investments
185.81108.1494.6112.6788.43151.11
Other Intangible Assets
12.529.012.59---
Long-Term Deferred Tax Assets
34.0515.5515.3312.3114.4618.08
Other Long-Term Assets
196.35135.44167.8145.8786.3536.99
Total Assets
7,0286,1034,8294,1563,4123,475
Accounts Payable
999.76385.11226.31280.65216.22175.56
Accrued Expenses
250.26298.07289.92177.75110.11107.29
Short-Term Debt
950905-750620589.96
Current Portion of Long-Term Debt
84.3753.46254.6588.0578.1350.79
Current Portion of Leases
23.245.012.862.262.722.09
Current Income Taxes Payable
105.5582.39119.1164.7318.0629.69
Current Unearned Revenue
100.133.4538.7358.6734.1214.69
Other Current Liabilities
90.16114.6464.1854.2537.7927.36
Total Current Liabilities
2,6031,877995.761,4761,117997.42
Long-Term Debt
539.62735.21,092594.67393.83500.7
Long-Term Leases
35.476.093.631.143.41.6
Pension & Post-Retirement Benefits
-----23.34
Long-Term Deferred Tax Liabilities
74.9346.3426.9424.711.5627.32
Other Long-Term Liabilities
1.320.87.310.211.493.24
Total Liabilities
3,2552,6662,1252,0971,5271,554
Common Stock
922.48914.65893.84893.84893.84893.84
Additional Paid-In Capital
1,4081,246816.35593.41593.41593.41
Retained Earnings
1,4731,240998.89557.79385.16388.49
Comprehensive Income & Other
86.3436.37-5.413.9512.4345.92
Shareholders' Equity
3,7733,4372,7042,0591,8851,922
Total Liabilities & Equity
7,0286,1034,8294,1563,4123,475
Total Debt
1,6331,7051,3531,4361,0981,145
Net Cash (Debt)
309.27215.79-740.11-1,113-510.03-516.54
Net Cash Per Share
3.312.30-8.27-12.44-5.70-5.77
Filing Date Shares Outstanding
91.7591.4689.3889.3889.3889.38
Total Common Shares Outstanding
91.7591.4689.3889.3889.3889.38
Working Capital
1,9821,9791,706778.56471.92637.16
Book Value Per Share
41.1137.5830.2523.0421.0921.50
Tangible Book Value
3,7593,4282,7012,0591,8851,922
Tangible Book Value Per Share
40.9837.4830.2223.0421.0921.50
Land
711.1704.18704.18704.18704.18704.18
Buildings
880.86852.22825.62812.42744.45732.03
Machinery
1,1671,117927.22716.83687.6682.23
Construction In Progress
--4.2836.2373.2945.24
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.