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Accton Technology Corp
TWSE:2345

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Accton Technology Corp
TWSE:2345
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Price: 1 670 TWD -0.89% Market Closed
Market Cap: NT$937.1B

Balance Sheet

Balance Sheet Decomposition
Accton Technology Corp

Balance Sheet
Accton Technology Corp

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Balance Sheet
Currency: TWD
Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
3 788
1 719
1 569
2 282
1 753
2 536
2 249
3 026
2 516
2 267
3 580
4 272
4 485
5 383
6 521
3 944
4 296
6 222
4 895
6 258
8 695
14 070
18 116
27 891
Cash
0
0
0
0
0
0
0
0
0
0
0
2 806
1 818
3 277
3 721
1 985
2 235
4 216
3 547
5 043
4 282
3 599
4 522
7 579
Cash Equivalents
3 788
1 719
1 569
2 282
1 753
2 536
2 249
3 026
2 516
2 267
3 580
1 466
2 667
2 105
2 800
1 959
2 061
2 006
1 348
1 215
4 413
10 472
13 594
20 311
Short-Term Investments
661
1 448
536
435
63
56
31
1 397
666
390
334
76
119
533
1 541
1 278
405
4 777
5 804
1 334
6 320
10 262
7 348
23 573
Total Receivables
3 927
4 676
3 805
4 091
3 744
3 149
2 854
3 307
4 040
4 518
4 130
3 242
4 082
3 700
4 341
6 230
8 176
7 125
9 195
10 731
13 730
11 722
21 714
38 653
Accounts Receivables
3 754
4 302
3 089
3 242
3 259
2 667
2 792
3 134
3 793
4 119
3 620
2 948
3 818
3 532
4 173
6 096
7 981
6 967
8 844
10 316
13 137
11 119
20 763
37 275
Other Receivables
173
374
716
849
485
482
62
173
247
399
510
294
263
169
168
134
196
157
350
415
593
604
952
1 378
Inventory
2 603
2 885
2 339
2 371
2 566
2 843
2 934
2 950
3 803
3 983
2 691
3 035
3 287
3 632
3 592
5 779
7 814
8 717
8 179
13 246
12 788
13 551
19 371
30 202
Other Current Assets
1 054
355
144
909
1 083
142
247
128
169
320
215
929
239
259
191
213
182
208
368
214
349
386
4 089
749
Total Current Assets
12 032
11 084
8 393
10 087
9 209
8 726
8 316
10 810
11 193
11 477
10 949
11 553
12 211
13 507
16 186
17 444
20 874
27 049
28 440
31 782
41 883
49 991
70 639
121 067
PP&E Net
1 571
1 447
1 611
1 585
1 460
1 129
1 899
1 767
1 784
2 345
2 173
1 392
1 270
1 072
927
874
1 015
2 028
2 265
2 582
3 523
5 573
8 222
12 985
PP&E Gross
1 571
1 447
1 611
1 585
1 460
1 129
1 899
1 767
1 784
2 345
2 173
1 392
1 270
1 072
927
874
1 015
2 028
2 265
2 582
3 523
5 573
8 222
12 985
Accumulated Depreciation
1 007
1 204
1 497
1 600
1 427
1 271
1 529
1 531
1 383
1 606
1 771
2 040
2 156
2 389
2 346
2 394
2 507
2 695
2 833
3 259
3 694
4 045
3 126
4 130
Intangible Assets
335
169
27
0
0
0
0
0
0
0
0
100
176
138
36
36
34
54
74
107
166
154
779
741
Goodwill
0
0
0
0
0
0
0
0
0
0
0
7
7
7
2
2
2
2
2
2
2
2
217
2
Note Receivable
0
23
10
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Long-Term Investments
3 331
2 545
2 152
859
1 189
1 036
732
286
186
144
163
224
224
167
237
274
275
231
150
207
172
316
6 018
7 593
Other Long-Term Assets
956
637
759
750
479
518
537
507
414
349
352
270
256
96
116
117
179
158
192
341
315
539
590
842
Other Assets
0
0
0
0
0
0
0
0
0
0
0
7
7
7
2
2
2
2
2
2
2
2
217
2
Total Assets
18 226
N/A
15 905
-13%
12 952
-19%
13 281
+3%
12 337
-7%
11 409
-8%
11 485
+1%
13 370
+16%
13 577
+2%
14 316
+5%
13 637
-5%
13 546
-1%
14 145
+4%
14 988
+6%
17 504
+17%
18 747
+7%
22 378
+19%
29 521
+32%
31 123
+5%
35 021
+13%
46 061
+32%
56 576
+23%
86 467
+53%
143 231
+66%
Liabilities
Accounts Payable
2 834
4 473
3 458
3 777
3 754
3 821
2 996
4 062
4 569
5 143
4 910
4 897
5 020
5 158
6 304
6 302
8 751
9 935
8 639
11 567
12 478
13 681
25 955
58 486
Accrued Liabilities
544
747
695
792
1 047
1 006
982
850
1 066
1 193
1 117
162
467
551
674
821
994
1 619
1 621
1 833
2 336
2 560
2 956
5 357
Short-Term Debt
1 068
2 460
914
1 319
535
240
0
416
300
91
0
0
95
0
0
0
0
0
0
0
0
133
175
333
Current Portion of Long-Term Debt
0
5
0
0
293
0
56
57
87
67
112
48
0
0
0
0
0
129
171
389
1 153
511
494
522
Other Current Liabilities
265
577
286
131
118
136
65
88
41
57
44
1 059
982
1 072
1 660
1 945
2 324
3 554
4 401
3 855
5 601
12 194
17 341
17 486
Total Current Liabilities
4 711
8 263
5 353
6 018
5 747
5 203
4 100
5 473
6 064
6 551
6 182
6 166
6 563
6 782
8 638
9 068
12 068
15 238
14 831
17 643
21 568
29 080
46 920
82 184
Long-Term Debt
464
0
916
811
303
0
265
207
409
530
263
222
0
0
0
0
0
1 392
1 730
1 757
3 772
1 919
2 125
2 389
Deferred Income Tax
0
0
0
0
0
0
0
0
0
0
0
17
0
0
0
0
0
0
0
0
268
365
966
984
Minority Interest
0
0
0
295
71
18
477
486
60
55
3
14
7
8
26
7
7
3
3
0
0
0
108
96
Other Liabilities
83
284
251
104
112
86
93
52
48
50
39
53
22
26
27
30
31
88
78
68
24
24
21
39
Total Liabilities
5 258
N/A
8 546
+63%
6 521
-24%
7 228
+11%
6 233
-14%
5 307
-15%
4 935
-7%
6 218
+26%
6 581
+6%
7 187
+9%
6 487
-10%
6 472
0%
6 593
+2%
6 816
+3%
8 691
+28%
9 105
+5%
12 106
+33%
16 721
+38%
16 643
0%
19 468
+17%
25 633
+32%
31 388
+22%
50 140
+60%
85 692
+71%
Equity
Common Stock
5 690
5 846
5 846
5 846
5 474
5 445
5 445
5 050
5 042
5 208
5 242
5 301
5 341
5 370
5 454
5 545
5 576
5 581
5 595
5 599
5 601
5 604
5 611
5 611
Retained Earnings
1 588
2 793
620
302
471
301
409
655
1 103
1 058
1 161
1 168
1 338
1 919
2 746
3 606
4 259
7 003
8 585
9 656
14 482
19 199
26 971
47 196
Additional Paid In Capital
5 694
5 030
2 232
1 608
1 232
741
438
438
499
544
589
592
611
655
726
777
795
806
825
844
858
875
899
915
Unrealized Security Profit/Loss
0
0
0
0
30
5
43
848
358
116
93
18
25
31
13
14
34
46
19
1
91
27
3 082
3 877
Treasury Stock
330
999
1 204
1 346
399
51
58
125
51
51
51
51
51
51
51
51
51
51
51
51
51
51
51
51
Other Equity
325
274
178
247
239
272
358
287
45
254
116
47
288
248
76
221
273
493
454
494
371
466
186
9
Total Equity
12 968
N/A
7 359
-43%
6 431
-13%
6 053
-6%
6 104
+1%
6 101
0%
6 550
+7%
7 152
+9%
6 996
-2%
7 129
+2%
7 150
+0%
7 074
-1%
7 552
+7%
8 172
+8%
8 812
+8%
9 642
+9%
10 272
+7%
12 800
+25%
14 480
+13%
15 553
+7%
20 428
+31%
25 188
+23%
36 327
+44%
57 540
+58%
Total Liabilities & Equity
18 226
N/A
15 905
-13%
12 952
-19%
13 281
+3%
12 337
-7%
11 409
-8%
11 485
+1%
13 370
+16%
13 577
+2%
14 316
+5%
13 637
-5%
13 546
-1%
14 145
+4%
14 988
+6%
17 504
+17%
18 747
+7%
22 378
+19%
29 521
+32%
31 123
+5%
35 021
+13%
46 061
+32%
56 576
+23%
86 467
+53%
143 231
+66%
Shares Outstanding
Common Shares Outstanding
642
567
555
545
543
562
561
515
520
519
522
528
532
535
543
552
555
556
557
558
558
558
559
559
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