Gudeng Equipment Co., LTD. (TPEX:6953)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
169.00
+0.50 (0.30%)
Aug 15, 2025, 2:31 PM CST

TPEX:6953 Balance Sheet

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
1,0901,322997.7624.26372.72208.14
Short-Term Investments
2103101019-20
Cash & Short-Term Investments
1,3001,6321,008643.26372.72228.14
Cash Growth
-20.65%61.96%56.65%72.59%63.38%-
Accounts Receivable
210.47300.88130.76273.8677.6755.31
Other Receivables
27.771.923.170.01--
Receivables
238.24302.8133.93273.8877.6755.31
Inventory
430.33434565.68606.56462.53273.91
Prepaid Expenses
10.631.751.381.42.291.02
Other Current Assets
--0.0453.356.923.53
Total Current Assets
1,9792,3711,7091,578922.12561.9
Property, Plant & Equipment
334.96216.35114.2636.0916.3412.87
Long-Term Investments
4716.767.54---
Goodwill
-22.1224.6224.6224.6245.06
Other Intangible Assets
22.453.324.484.37.9711.63
Long-Term Deferred Tax Assets
12.0917.8813.738.53.333.57
Other Long-Term Assets
4.484.027.363.134.6-
Total Assets
2,4002,6511,8811,655978.98635.03
Accounts Payable
219.41228.37156.14278.7212.18103.33
Accrued Expenses
-115.38105.22105.5359.2642.72
Current Portion of Leases
14.6814.779.473.013.97-
Current Income Taxes Payable
17.4845.0635.8543.8113.8215.01
Current Unearned Revenue
432.25487.23766.59616.65437.69292.94
Other Current Liabilities
112.1957.2839.4435.8738.9535.45
Total Current Liabilities
796948.091,1131,084765.86489.45
Long-Term Leases
123.28130.5429.2818.02--
Long-Term Deferred Tax Liabilities
0.32.140.32.94--
Total Liabilities
919.581,0811,1471,105765.86489.45
Common Stock
300.15300.15272.98225.6110.455.2
Additional Paid-In Capital
785.74785.7493.593.519.4619.46
Retained Earnings
399.47484.25367.22231.4783.2670.93
Comprehensive Income & Other
-5.20.13-0.39---
Shareholders' Equity
1,4801,570733.31550.57213.12145.58
Total Liabilities & Equity
2,4002,6511,8811,655978.98635.03
Total Debt
137.96145.3138.7521.043.97-
Net Cash (Debt)
1,1621,487968.95622.23368.75228.14
Net Cash Growth
-27.57%53.44%55.72%68.74%61.64%-
Net Cash Per Share
38.3050.5233.7927.9431.5319.32
Filing Date Shares Outstanding
30.0730.0227.322.5611.0411.04
Total Common Shares Outstanding
30.0730.0227.322.5611.0411.04
Working Capital
1,1831,423596.01494.88156.2672.45
Book Value Per Share
49.2252.3226.8624.4019.3013.19
Tangible Book Value
1,4581,545704.21521.65180.5388.9
Tangible Book Value Per Share
48.4851.4725.8023.1216.358.05
Machinery
-97.4591.6528.9820.5817.97
Construction In Progress
-12.03----
Leasehold Improvements
-13.2310.53---
Source: S&P Global Market Intelligence. Standard template. Financial Sources.