Proxene Tools Co., Ltd. (TPEX:6904)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
132.00
-2.00 (-1.49%)
Jun 17, 2025, 1:30 PM CST

Proxene Tools Balance Sheet

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021
Period Ending
Mar '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
298.84328.9368.69213.67169.05
Short-Term Investments
3313.580--
Trading Asset Securities
182.9696.33---
Cash & Short-Term Investments
514.8438.72448.69213.67169.05
Cash Growth
36.30%-2.22%109.99%26.39%-
Accounts Receivable
140.26153.36105.45100.0791.81
Other Receivables
40.9548.156.577.876.9
Receivables
181.2201.51112.01107.9598.71
Inventory
218.05233.19227.62224.33228.29
Other Current Assets
28.6329.313.9719.1821.02
Total Current Assets
942.67902.72802.29565.13517.07
Property, Plant & Equipment
833833.25802.59786.88610.39
Other Intangible Assets
0.640.680.080.291.24
Long-Term Deferred Tax Assets
8.8710.567.635.686.74
Other Long-Term Assets
3.196.4915.984.943.79
Total Assets
1,7881,7541,6291,3631,139
Accounts Payable
19.3716.9714.7122.0937.99
Accrued Expenses
25.7237.0438.5435.227.3
Short-Term Debt
246.15254.3710513.5123.29
Current Portion of Long-Term Debt
46.7650.9550.3147.3113.26
Current Portion of Leases
1.441.431.470.370.49
Current Income Taxes Payable
32.7623.2327.4627.9420
Current Unearned Revenue
16.8615.8818.4617.1815.34
Other Current Liabilities
105.7758.9540.1262.815.53
Total Current Liabilities
494.82458.82296.07226.4153.19
Long-Term Debt
136.44162.39323.63449.22450.19
Long-Term Leases
6.486.848.210.240.6
Long-Term Unearned Revenue
12.712.8413.4313.038.71
Long-Term Deferred Tax Liabilities
20.7619.1712.959.276.21
Total Liabilities
671.18660.07654.28698.15618.9
Common Stock
185185185165165
Additional Paid-In Capital
226.9722722743.7343.73
Retained Earnings
707.1684.46566.61457.44317.86
Comprehensive Income & Other
-1.88-2.83-4.32-1.41-6.27
Shareholders' Equity
1,1171,094974.29664.76520.32
Total Liabilities & Equity
1,7881,7541,6291,3631,139
Total Debt
437.26475.98488.62510.65487.83
Net Cash (Debt)
77.54-37.26-39.93-296.98-318.78
Net Cash Per Share
4.19-2.01-2.39-17.93-19.23
Filing Date Shares Outstanding
18.518.518.516.516.51
Total Common Shares Outstanding
18.518.518.516.516.51
Working Capital
447.86443.9506.22338.73363.88
Book Value Per Share
60.3959.1252.6640.2931.51
Tangible Book Value
1,1171,093974.21664.47519.08
Tangible Book Value Per Share
60.3559.0852.6640.2731.44
Land
293.77293.77293.77293.77293.77
Buildings
462.75461.37450.33415.2254.05
Machinery
344.55336.14272.33251.32193.51
Construction In Progress
--8.7128.8251.13
Updated Mar 14, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.