Nan Ren Lake Leisure Amusement Co., Ltd. (TPEX: 5905)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
18.75
-0.50 (-2.60%)
Sep 11, 2024, 11:21 AM 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
Period Ending
Jun '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19
Cash & Equivalents
934.731,1761,1591,1731,034724.13
Short-Term Investments
118.7465.6865.171.6150.48372.83
Trading Asset Securities
147.1114.46201.54132.23111.6239.18
Cash & Short-Term Investments
1,2011,3561,4261,3771,2961,136
Cash Growth
-13.34%-4.88%3.53%6.23%14.10%-8.23%
Accounts Receivable
33.6429.5517.4734.8363.2137.85
Other Receivables
35.7939.3834.8917.8512.9229.99
Receivables
69.4368.9352.3652.6776.1367.84
Inventory
915.5783.42571.04520.42493.55213.35
Prepaid Expenses
55.4131.669.1227.7213.4717.38
Other Current Assets
390.44387.71339.27173.0415.791.23
Total Current Assets
2,6312,6282,4582,1511,8951,436
Property, Plant & Equipment
3,6123,6175,0653,0481,163979.88
Long-Term Investments
505.64510.2470.8326.129.531.37
Goodwill
10.4810.4810.48---
Other Intangible Assets
917.25937.74966.631,008794.22883.85
Long-Term Deferred Tax Assets
122.98114.276.5450.4910.869.23
Other Long-Term Assets
591.58407.72477.66543.6459.2417.02
Total Assets
8,3918,2259,1256,8274,3323,727
Accounts Payable
232.08203.66190.5229.42211.7221.91
Accrued Expenses
95.66158.73143.27106.22153.66160.43
Short-Term Debt
619.5500402.3835840170
Current Portion of Long-Term Debt
699.731,05718.5-5066.67
Current Portion of Leases
87.2484.697.163.03-0.9
Current Income Taxes Payable
1.9812.12.54-3.4515.67
Current Unearned Revenue
307.97252.03217.81169.2341.4339.17
Other Current Liabilities
131.3132.69105.74106.69250.1851.93
Total Current Liabilities
2,1752,4011,1781,5101,550726.67
Long-Term Debt
935.99551.352,237747.062.352.42
Long-Term Leases
1,5291,5581,9821,758--
Long-Term Unearned Revenue
-----0.43
Long-Term Deferred Tax Liabilities
7.36.717.522.522.32.99
Other Long-Term Liabilities
315.05310.38313.25316.52115.79116.35
Total Liabilities
4,9634,8285,7184,3331,672901.96
Common Stock
2,4982,4982,4981,8981,8981,898
Additional Paid-In Capital
325.74311.12371.07350.28337.59323.75
Retained Earnings
-179.79-136.76-163.7-12171.56158.4
Comprensive Income & Other
-11.75-15.56-13.13-13.33-15.32-16.65
Total Common Equity
2,6322,6572,6922,2232,3922,364
Minority Interest
795.67740.09714.29270.46268.33461.67
Shareholders' Equity
3,4283,3973,4072,4942,6602,825
Total Liabilities & Equity
8,3918,2259,1256,8274,3323,727
Total Debt
3,8713,7514,7373,403892.3289.99
Net Cash (Debt)
-2,671-2,395-3,311-2,026404.05846.16
Net Cash Growth
-----52.25%-19.77%
Net Cash Per Share
-10.69-9.59-15.25-10.672.134.31
Filing Date Shares Outstanding
249.83249.82249.83189.83189.82189.82
Total Common Shares Outstanding
249.83249.82249.83189.83189.82189.82
Working Capital
455.89227.011,280641.42344.86709.28
Book Value Per Share
10.5410.6410.7811.7112.6012.45
Tangible Book Value
1,7051,7091,7151,2151,5981,480
Tangible Book Value Per Share
6.826.846.876.408.427.80
Land
1,2901,2901,274845.14845.14685.69
Buildings
526.39526.13538.64476.14487.96478.71
Machinery
614.01611.82604.66557.69550.12545.75
Construction In Progress
294.2239.361,22297.8655.4218.2
Leasehold Improvements
159.41158.78157.55---
Source: S&P Capital IQ. Standard template. Financial Sources.