Proxene Tools Co., Ltd. (TPEX:6904)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
124.00
+4.00 (3.33%)
At close: Mar 25, 2026

Proxene Tools Balance Sheet

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
594.16328.9368.69213.67169.05
Short-Term Investments
74.7113.580--
Trading Asset Securities
0.0396.33---
Cash & Short-Term Investments
668.9438.72448.69213.67169.05
Cash Growth
52.47%-2.22%109.99%26.39%56.29%
Accounts Receivable
65.07153.36105.45100.0791.81
Other Receivables
5.0848.156.577.876.9
Receivables
70.15201.51112.01107.9598.71
Inventory
188.96233.19227.62224.33228.29
Other Current Assets
6.9629.313.9719.1821.02
Total Current Assets
934.98902.72802.29565.13517.07
Property, Plant & Equipment
805.93833.25802.59786.88610.39
Other Intangible Assets
0.710.680.080.291.24
Long-Term Deferred Tax Assets
9.4610.567.635.686.74
Other Long-Term Assets
4.816.4915.984.943.79
Total Assets
1,7561,7541,6291,3631,139
Accounts Payable
1716.9714.7122.0937.99
Accrued Expenses
-37.0438.5435.227.3
Short-Term Debt
330254.3710513.5123.29
Current Portion of Long-Term Debt
47.3850.9550.3147.3113.26
Current Portion of Leases
1.451.431.470.370.49
Current Income Taxes Payable
9.3923.2327.4627.9420
Current Unearned Revenue
8.415.8818.4617.1815.34
Other Current Liabilities
62.7458.9540.1262.815.53
Total Current Liabilities
476.35458.82296.07226.4153.19
Long-Term Debt
206.87162.39323.63449.22450.19
Long-Term Leases
5.396.848.210.240.6
Long-Term Unearned Revenue
12.2712.8413.4313.038.71
Long-Term Deferred Tax Liabilities
20.9719.1712.959.276.21
Total Liabilities
721.85660.07654.28698.15618.9
Common Stock
185185185165165
Additional Paid-In Capital
239.4722722743.7343.73
Retained Earnings
618.6684.46566.61457.44317.86
Comprehensive Income & Other
-9.04-2.83-4.32-1.41-6.27
Total Common Equity
1,0341,094974.29664.76520.32
Shareholders' Equity
1,0341,094974.29664.76520.32
Total Liabilities & Equity
1,7561,7541,6291,3631,139
Total Debt
591.1475.98488.62510.65487.83
Net Cash (Debt)
77.8-37.26-39.93-296.98-318.78
Net Cash Per Share
4.19-2.01-2.39-17.93-19.23
Filing Date Shares Outstanding
18.518.518.516.516.5
Total Common Shares Outstanding
18.518.518.516.516.5
Working Capital
458.62443.9506.22338.73363.88
Book Value Per Share
55.9059.1252.6640.2931.53
Tangible Book Value
1,0331,093974.21664.47519.08
Tangible Book Value Per Share
55.8659.0852.6640.2731.46
Land
-293.77293.77293.77293.77
Buildings
-461.37450.33415.2254.05
Machinery
-336.14272.33251.32193.51
Construction In Progress
--8.7128.8251.13
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.