Nan Ren Lake Leisure Amusement Co., Ltd. (TPEX: 5905)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
15.10
+0.20 (1.34%)
Nov 19, 2024, 12:26 PM CST

Nan Ren Lake Leisure Amusement Balance Sheet

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 2018 - 2014
Period Ending
Jun '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19 2018 - 2014
Cash & Equivalents
934.731,1761,1591,1731,034724.13
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Short-Term Investments
118.7465.6865.171.6150.48372.83
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Trading Asset Securities
147.1114.46201.54132.23111.6239.18
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Cash & Short-Term Investments
1,2011,3561,4261,3771,2961,136
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Cash Growth
-13.34%-4.88%3.53%6.23%14.10%-8.23%
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Accounts Receivable
33.6429.5517.4734.8363.2137.85
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Other Receivables
35.7939.3834.8917.8512.9229.99
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Receivables
69.4368.9352.3652.6776.1367.84
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Inventory
915.5783.42571.04520.42493.55213.35
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Prepaid Expenses
55.4131.669.1227.7213.4717.38
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Other Current Assets
390.44387.71339.27173.0415.791.23
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Total Current Assets
2,6312,6282,4582,1511,8951,436
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Property, Plant & Equipment
3,6123,6175,0653,0481,163979.88
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Long-Term Investments
505.64510.2470.8326.129.531.37
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Goodwill
10.4810.4810.48---
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Other Intangible Assets
917.25937.74966.631,008794.22883.85
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Long-Term Deferred Tax Assets
122.98114.276.5450.4910.869.23
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Other Long-Term Assets
591.58407.72477.66543.6459.2417.02
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Total Assets
8,3918,2259,1256,8274,3323,727
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Accounts Payable
232.08203.66190.5229.42211.7221.91
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Accrued Expenses
95.66158.73143.27106.22153.66160.43
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Short-Term Debt
619.5500402.3835840170
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Current Portion of Long-Term Debt
699.731,05718.5-5066.67
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Current Portion of Leases
87.2484.697.163.03-0.9
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Current Income Taxes Payable
1.9812.12.54-3.4515.67
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Current Unearned Revenue
307.97252.03217.81169.2341.4339.17
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Other Current Liabilities
131.3132.69105.74106.69250.1851.93
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Total Current Liabilities
2,1752,4011,1781,5101,550726.67
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Long-Term Debt
935.99551.352,237747.062.352.42
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Long-Term Leases
1,5291,5581,9821,758--
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Long-Term Unearned Revenue
-----0.43
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Long-Term Deferred Tax Liabilities
7.36.717.522.522.32.99
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Other Long-Term Liabilities
315.05310.38313.25316.52115.79116.35
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Total Liabilities
4,9634,8285,7184,3331,672901.96
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Common Stock
2,4982,4982,4981,8981,8981,898
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Additional Paid-In Capital
325.74311.12371.07350.28337.59323.75
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Retained Earnings
-179.79-136.76-163.7-12171.56158.4
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Comprehensive Income & Other
-11.75-15.56-13.13-13.33-15.32-16.65
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Total Common Equity
2,6322,6572,6922,2232,3922,364
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Minority Interest
795.67740.09714.29270.46268.33461.67
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Shareholders' Equity
3,4283,3973,4072,4942,6602,825
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Total Liabilities & Equity
8,3918,2259,1256,8274,3323,727
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Total Debt
3,8713,7514,7373,403892.3289.99
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Net Cash (Debt)
-2,671-2,395-3,311-2,026404.05846.16
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Net Cash Growth
-----52.25%-19.77%
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Net Cash Per Share
-10.69-9.59-15.25-10.672.134.31
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Filing Date Shares Outstanding
249.83249.82249.83189.83189.82189.82
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Total Common Shares Outstanding
249.83249.82249.83189.83189.82189.82
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Working Capital
455.89227.011,280641.42344.86709.28
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Book Value Per Share
10.5410.6410.7811.7112.6012.45
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Tangible Book Value
1,7051,7091,7151,2151,5981,480
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Tangible Book Value Per Share
6.826.846.876.408.427.80
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Land
1,2901,2901,274845.14845.14685.69
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Buildings
526.39526.13538.64476.14487.96478.71
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Machinery
614.01611.82604.66557.69550.12545.75
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Construction In Progress
294.2239.361,22297.8655.4218.2
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Leasehold Improvements
159.41158.78157.55---
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Source: S&P Capital IQ. Standard template. Financial Sources.