T

Test Rite International Co Ltd
TWSE:2908

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Test Rite International Co Ltd
TWSE:2908
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Price: 19.9 TWD
Market Cap: NT$10.1B

Balance Sheet

Balance Sheet Decomposition
Test Rite International Co Ltd

Balance Sheet
Test Rite International Co Ltd

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Balance Sheet
Currency: TWD
Dec-2001 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
Assets
Cash & Cash Equivalents
280
214
1 182
763
1 523
1 245
3 428
1 264
1 320
1 111
2 096
1 882
2 419
2 316
1 903
2 303
1 461
1 996
1 462
2 517
1 986
2 757
1 607
2 571
Cash
0
0
0
0
0
0
0
0
0
0
0
0
2 297
2 285
1 769
2 171
1 425
1 927
1 458
2 515
1 985
2 196
1 572
2 571
Cash Equivalents
280
214
1 182
763
1 523
1 245
3 428
1 264
1 320
1 111
2 096
1 882
122
31
135
131
36
68
4
2
1
561
35
0
Short-Term Investments
471
287
1 073
1 058
908
654
557
435
746
602
252
301
516
905
1 048
577
622
319
655
579
413
372
309
658
Total Receivables
989
2 555
2 633
3 095
2 333
2 317
3 978
3 674
1 928
2 464
3 273
2 776
3 215
3 522
2 730
2 709
3 401
4 882
4 558
6 006
6 606
5 599
7 236
7 928
Accounts Receivables
930
2 425
2 503
2 793
1 898
2 024
2 972
2 519
1 552
2 122
2 922
2 406
2 754
3 032
2 411
2 403
2 977
4 690
4 383
5 502
6 274
5 159
6 606
7 622
Other Receivables
59
130
130
302
435
293
1 006
1 155
376
342
351
370
461
490
319
306
424
192
175
503
331
440
630
306
Inventory
251
349
457
1 028
3 854
4 241
4 186
3 889
4 085
4 736
5 928
4 841
5 154
5 696
6 719
6 643
6 044
5 780
6 493
6 182
8 080
7 799
6 183
5 966
Other Current Assets
877
450
235
484
1 265
1 109
940
933
888
964
1 176
677
708
755
623
410
323
386
432
977
536
564
440
444
Total Current Assets
2 868
3 855
5 580
6 427
9 883
9 565
13 088
10 196
8 968
9 877
12 726
10 476
12 011
13 194
13 023
12 641
11 851
13 363
13 601
16 261
17 621
17 092
15 775
17 568
PP&E Net
2 835
2 519
2 444
2 203
5 990
7 467
6 370
6 377
6 205
6 408
7 695
6 162
6 208
6 048
6 411
6 172
5 618
6 887
16 096
15 417
15 077
15 751
14 389
11 944
PP&E Gross
2 835
2 519
2 444
2 203
5 990
7 467
6 370
6 377
6 205
6 408
7 695
6 162
6 208
6 048
6 411
6 172
5 618
6 887
16 096
15 417
15 077
15 751
14 389
11 944
Accumulated Depreciation
470
652
703
922
2 750
4 346
4 434
4 674
5 215
5 609
6 151
5 491
6 152
0
7 180
7 827
7 973
7 819
6 830
7 028
6 956
7 174
7 355
7 633
Intangible Assets
0
0
0
0
0
2
11
17
30
86
210
288
214
242
271
236
235
230
221
185
154
135
138
192
Goodwill
0
0
0
0
0
1 407
1 605
3 539
3 645
3 636
3 648
2 880
2 205
2 231
2 343
2 336
2 336
2 361
2 356
2 358
2 346
2 350
2 354
2 322
Note Receivable
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
113
98
122
121
108
92
Long-Term Investments
1 525
1 735
2 118
2 430
1 062
373
340
190
221
210
205
124
122
121
144
203
311
93
63
109
77
100
550
761
Other Long-Term Assets
278
389
348
309
558
1 862
3 138
3 216
3 154
2 954
3 080
2 700
2 612
3 085
3 003
2 729
2 520
3 065
3 225
3 234
2 976
3 198
3 278
3 234
Other Assets
0
0
0
0
0
1 407
1 605
3 539
3 645
3 636
3 648
2 880
2 205
2 231
2 343
2 336
2 336
2 361
2 356
2 358
2 346
2 350
2 354
2 322
Total Assets
7 506
N/A
8 498
+13%
10 490
+23%
11 369
+8%
17 493
+54%
20 676
+18%
24 552
+19%
23 535
-4%
22 222
-6%
23 171
+4%
27 562
+19%
22 631
-18%
23 372
+3%
24 921
+7%
25 195
+1%
24 317
-3%
22 872
-6%
25 998
+14%
35 676
+37%
37 662
+6%
38 372
+2%
38 746
+1%
36 591
-6%
36 114
-1%
Liabilities
Accounts Payable
626
1 176
1 302
1 386
2 752
3 348
3 276
2 653
2 887
3 213
4 472
4 531
5 467
5 896
5 824
5 805
5 526
6 158
6 427
8 629
8 378
5 495
5 992
6 535
Accrued Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
1 263
1 223
1 388
1 136
1 277
1 306
1 992
2 071
0
0
0
Short-Term Debt
184
90
351
655
3 463
4 115
4 956
4 727
3 106
2 925
3 591
1 785
2 267
2 830
2 333
1 800
1 292
2 247
1 357
1 332
1 699
2 572
2 621
2 622
Current Portion of Long-Term Debt
72
13
211
71
596
399
500
542
347
12
0
200
300
500
1 604
600
1 225
1 074
1 807
2 057
1 835
2 927
2 299
1 859
Other Current Liabilities
955
889
880
1 135
1 812
1 700
2 362
2 196
2 124
2 430
3 416
3 099
2 771
879
1 110
1 216
1 052
1 297
1 141
1 556
1 983
3 322
2 273
2 470
Total Current Liabilities
1 838
2 167
2 745
3 247
8 623
9 560
11 094
10 118
8 464
8 580
11 478
9 616
10 804
11 368
12 094
10 809
10 231
12 053
12 037
15 566
15 967
14 317
13 185
13 486
Long-Term Debt
1 099
1 121
2 356
1 824
1 716
2 686
2 800
5 273
5 349
5 988
7 151
5 013
5 228
5 663
5 107
5 572
4 492
6 095
16 773
14 928
15 198
17 059
16 263
14 649
Deferred Income Tax
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
28
23
21
18
15
12
135
140
184
Minority Interest
0
0
259
416
1 424
2 265
2 068
566
412
394
488
19
30
28
3
3
42
76
139
146
163
188
240
491
Other Liabilities
325
111
269
448
169
324
2 479
2 233
1 963
1 870
1 703
1 237
547
530
565
493
454
416
411
369
213
159
209
149
Total Liabilities
3 262
N/A
3 399
+4%
5 628
+66%
5 935
+5%
11 931
+101%
14 836
+24%
18 441
+24%
18 190
-1%
16 187
-11%
16 831
+4%
20 820
+24%
15 885
-24%
16 610
+5%
17 587
+6%
17 769
+1%
16 904
-5%
15 242
-10%
18 660
+22%
29 379
+57%
31 024
+6%
31 552
+2%
31 857
+1%
30 037
-6%
28 959
-4%
Equity
Common Stock
2 880
3 479
3 707
3 973
4 167
4 488
4 652
4 737
5 312
5 164
5 074
5 220
5 220
5 140
5 099
5 099
5 099
5 099
5 099
5 099
5 099
5 099
5 099
5 099
Retained Earnings
1 161
1 310
892
1 479
1 392
1 094
1 198
910
834
1 082
1 355
1 511
1 580
1 733
1 682
1 807
2 064
1 832
1 555
2 348
2 599
2 450
2 062
2 120
Additional Paid In Capital
308
408
409
505
525
601
551
520
722
702
694
694
694
679
673
673
648
648
353
1
1
1
1
2
Unrealized Security Profit/Loss
0
0
0
0
0
1
13
9
0
4
28
0
0
0
0
0
0
27
30
43
19
36
23
85
Treasury Stock
108
108
161
547
547
364
338
897
897
616
437
729
729
0
0
0
0
0
313
313
313
313
313
0
Other Equity
4
10
15
24
25
22
60
85
65
13
29
50
2
30
29
166
180
215
367
453
546
312
319
151
Total Equity
4 244
N/A
5 099
+20%
4 863
-5%
5 434
+12%
5 562
+2%
5 840
+5%
6 111
+5%
5 346
-13%
6 035
+13%
6 340
+5%
6 743
+6%
6 746
+0%
6 763
+0%
7 333
+8%
7 426
+1%
7 413
0%
7 630
+3%
7 338
-4%
6 297
-14%
6 638
+5%
6 820
+3%
6 889
+1%
6 554
-5%
7 155
+9%
Total Liabilities & Equity
7 506
N/A
8 498
+13%
10 490
+23%
11 369
+8%
17 493
+54%
20 676
+18%
24 552
+19%
23 535
-4%
22 222
-6%
23 171
+4%
27 562
+19%
22 631
-18%
23 372
+3%
24 921
+7%
25 195
+1%
24 317
-3%
22 872
-6%
25 998
+14%
35 676
+37%
37 662
+6%
38 372
+2%
38 746
+1%
36 591
-6%
36 114
-1%
Shares Outstanding
Common Shares Outstanding
378
418
420
423
437
462
473
446
499
499
502
487
487
502
510
510
510
510
496
496
496
496
496
510
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