Sanlien Technology Corp. (TPEX:5493)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
89.00
+0.40 (0.45%)
May 29, 2026, 1:30 PM CST

Sanlien 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
754.72813.7784.86714.33656.65537.1
Short-Term Investments
18.57---0.113.86
Trading Asset Securities
73.1399.33110.35131.8123.37143.6
Cash & Short-Term Investments
846.41913.02895.21846.14780.12684.55
Cash Growth
7.54%1.99%5.80%8.46%13.96%8.71%
Accounts Receivable
1,2061,148998.03937.84977.76876.1
Other Receivables
39.7839.3716.346.4621.617.75
Receivables
1,2461,1871,014984.3999.36893.85
Inventory
1,2671,3731,0831,0391,189752.56
Prepaid Expenses
47.528.3928.5422.9617.3819.8
Other Current Assets
-18.5717.5119.2326.8116
Total Current Assets
3,4073,5203,0392,9113,0122,367
Property, Plant & Equipment
1,0411,0421,0191,0401,021953.12
Long-Term Investments
1,2911,3791,3981,003760.41807.66
Goodwill
-16.5516.5516.5516.5516.55
Other Intangible Assets
23.974.518.1810.849.612.53
Long-Term Accounts Receivable
-43.5264.5584.5--
Long-Term Deferred Tax Assets
26.0428.1120.4416.0119.4118.2
Other Long-Term Assets
50.9844.0344.3735.2628.7940.44
Total Assets
5,8396,0775,6145,1184,8684,205
Accounts Payable
1,2691,4211,1611,0141,079786.13
Accrued Expenses
-259.61250.55219.69211.92131.91
Short-Term Debt
549.96579.98572.88716.41685.45495.85
Current Portion of Long-Term Debt
-86.75-140-100
Current Portion of Leases
12.5312.2414.018.075.733.69
Current Income Taxes Payable
82.5852.6947.2218.4854.8339.71
Current Unearned Revenue
51.0453.2437.5628.1734.9534.14
Other Current Liabilities
438.92144.67109.53115.74106.3136.78
Total Current Liabilities
2,4042,6102,1922,2612,1791,728
Long-Term Debt
206.94112.381906022040
Long-Term Leases
19.821.4731.2514.38.486.41
Pension & Post-Retirement Benefits
-6.946.125.292.092
Long-Term Deferred Tax Liabilities
42.245.8242.8931.2830.3723.15
Other Long-Term Liabilities
8.411.261.262.09--
Total Liabilities
2,6812,7982,4642,3742,4401,800
Common Stock
436.89436.89436.89416.09416.09416.09
Additional Paid-In Capital
44.244.244.1944.1944.243.31
Retained Earnings
996.961,060989.58933.89748.49714.05
Treasury Stock
------12.52
Comprehensive Income & Other
360.63492.04520.35257.91168.02252.09
Total Common Equity
1,8392,0331,9911,6521,3771,413
Minority Interest
1,3191,2461,1591,0921,051992.48
Shareholders' Equity
3,1583,2793,1502,7442,4282,405
Total Liabilities & Equity
5,8396,0775,6145,1184,8684,205
Total Debt
789.22812.81808.13938.78919.66645.94
Net Cash (Debt)
57.19100.2187.08-92.64-139.5438.62
Net Cash Growth
-15.08%----73.52%
Net Cash Per Share
1.332.291.99-2.12-3.200.89
Filing Date Shares Outstanding
55.2243.6943.6943.6943.6943.37
Total Common Shares Outstanding
55.2243.6943.6943.6943.6943.37
Working Capital
1,003909.43846.79650.53833.63638.55
Book Value Per Share
33.3046.5345.5737.8131.5132.58
Tangible Book Value
1,8152,0121,9661,6251,3511,394
Tangible Book Value Per Share
32.8746.0545.0137.1930.9132.14
Land
-422.35393.03393.03393.03393.03
Buildings
-544.65565.62571.46560.76560.76
Machinery
-619.29623.53568.63604.16494.42