Proxene Tools Co., Ltd. (TPEX:6904)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
118.50
0.00 (0.00%)
Apr 21, 2026, 1:14 PM CST

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
66.7113.580--
Trading Asset Securities
0.0396.33---
Cash & Short-Term Investments
660.9438.72448.69213.67169.05
Cash Growth
50.64%-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
14.9629.313.9719.1821.02
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
24.9234.6838.5435.227.3
Short-Term Debt
330254.3710513.5123.29
Current Portion of Long-Term Debt
33.150.9550.3147.3113.26
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
52.161.3140.1262.815.53
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
226.97226.9722743.7343.73
Retained Earnings
618.6684.46566.61457.44317.86
Comprehensive Income & Other
3.46-2.8-4.32-1.41-6.27
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
576.82475.98488.62510.65487.83
Net Cash (Debt)
84.09-37.26-39.93-296.98-318.78
Net Cash Per Share
4.53-2.01-2.39-17.93-19.23
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
55.8959.1252.6640.2931.53
Tangible Book Value
1,0331,093974.21664.47519.08
Tangible Book Value Per Share
55.8659.0852.6640.2731.46
Land
293.77293.77293.77293.77293.77
Buildings
462.69461.37450.33415.2254.05
Machinery
340.94336.14272.33251.32193.51
Construction In Progress
--8.7128.8251.13
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.