Kaori Heat Treatment Co., Ltd. (TPE:8996)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
1,125.00
+5.00 (0.45%)
Jun 5, 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
1,5951,579385.11226.31280.65216.22
Accrued Expenses
-412.4298.07289.92177.75110.11
Short-Term Debt
690850905-750620
Current Portion of Long-Term Debt
153.48323.6853.46254.6588.0578.13
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
956.83141.39114.6464.1854.2537.79
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
1,1361,4491,7051,3531,4361,098
Net Cash (Debt)
808.45297.78215.79-740.11-1,113-510.03
Net Cash Growth
-37.99%----
Net Cash Per Share
9.483.192.30-8.27-12.44-5.70
Filing Date Shares Outstanding
100.9491.9891.4689.3889.3889.38
Total Common Shares Outstanding
100.9491.9891.4689.3889.3889.38
Working Capital
2,3102,0051,9791,706778.56471.92
Book Value Per Share
45.9545.3737.5830.2523.0421.09
Tangible Book Value
4,6214,1583,4282,7012,0591,885
Tangible Book Value Per Share
45.7845.2037.4830.2223.0421.09
Land
-824.46704.18704.18704.18704.18
Buildings
-885.43852.22825.62812.42744.45
Machinery
-1,2111,117927.22716.83687.6
Construction In Progress
---4.2836.2373.29