Kaori Heat Treatment Co., Ltd. (TPE:8996)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
1,460.00
+10.00 (0.69%)
Jun 25, 2026, 1:30 PM CST

Kaori Heat Treatment 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
1,8741,6771,871590.94259.29498.57
Short-Term Investments
69.4467.4449.2621.6422.0447.78
Trading Asset Securities
0.512.64--42.2141.68
Cash & Short-Term Investments
1,9441,7471,921612.57323.54588.03
Cash Growth
58.49%-9.04%213.52%89.33%-44.98%-6.45%
Accounts Receivable
2,1111,814821.7797.32579.65351.12
Other Receivables
47.23.80.260.830.110.94
Receivables
2,1581,817821.96798.14579.75362.07
Inventory
1,8851,8531,0521,2351,180575.51
Other Current Assets
130.69162.2461.0856.29171.8163.45
Total Current Assets
6,1185,5803,8562,7022,2551,589
Property, Plant & Equipment
2,1902,1271,9791,8471,6301,634
Long-Term Investments
291.99194.5108.1494.6112.6788.43
Other Intangible Assets
17.6815.059.012.59--
Long-Term Deferred Tax Assets
35.3157.7715.5515.3312.3114.46
Other Long-Term Assets
248.9152.21135.44167.8145.8786.35
Total Assets
8,9018,1276,1034,8294,1563,412
Accounts Payable
1,6481,579385.11226.31280.65216.22
Accrued Expenses
278.29412.4298.07289.92177.75110.11
Short-Term Debt
690850905-750620
Current Portion of Long-Term Debt
137.2323.6853.46254.6588.0578.13
Current Portion of Leases
22.1522.25.012.862.262.72
Current Income Taxes Payable
335.18209.5482.39119.1164.7318.06
Current Unearned Revenue
55.9536.6333.4538.7358.6734.12
Other Current Liabilities
641.49141.39114.6464.1854.2537.79
Total Current Liabilities
3,8083,5751,877995.761,4761,117
Long-Term Debt
245.17223.65735.21,092594.67393.83
Long-Term Leases
25.1329.686.093.631.143.4
Long-Term Unearned Revenue
77.8346.43----
Long-Term Deferred Tax Liabilities
97.8274.3246.3426.9424.711.56
Other Long-Term Liabilities
1.381.380.87.310.211.49
Total Liabilities
4,2563,9502,6662,1252,0971,527
Common Stock
933.87924.83914.65893.84893.84893.84
Additional Paid-In Capital
1,6461,4571,246816.35593.41593.41
Retained Earnings
1,9711,7891,240998.89557.79385.16
Treasury Stock
-118.09-118.09----
Comprehensive Income & Other
205.44120.0736.37-5.413.9512.43
Total Common Equity
4,6394,1733,4372,7042,0591,885
Minority Interest
7.214.08----
Shareholders' Equity
4,6464,1773,4372,7042,0591,885
Total Liabilities & Equity
8,9018,1276,1034,8294,1563,412
Total Debt
1,1201,4491,7051,3531,4361,098
Net Cash (Debt)
824.73297.78215.79-740.11-1,113-510.03
Net Cash Growth
-37.99%----
Net Cash Per Share
8.803.192.30-8.27-12.44-5.70
Filing Date Shares Outstanding
92.8991.9891.4689.3889.3889.38
Total Common Shares Outstanding
92.8991.9891.4689.3889.3889.38
Working Capital
2,3102,0051,9791,706778.56471.92
Book Value Per Share
49.9445.3737.5830.2523.0421.09
Tangible Book Value
4,6214,1583,4282,7012,0591,885
Tangible Book Value Per Share
49.7545.2037.4830.2223.0421.09
Land
822.08824.46704.18704.18704.18704.18
Buildings
888.27885.43852.22825.62812.42744.45
Machinery
1,2971,2111,117927.22716.83687.6
Construction In Progress
16.07--4.2836.2373.29