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Tainergy Tech Co Ltd
TWSE:4934

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Tainergy Tech Co Ltd
TWSE:4934
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Price: 17.6 TWD -1.4%
Market Cap: NT$4B

Balance Sheet

Balance Sheet Decomposition
Tainergy Tech Co Ltd

Balance Sheet
Tainergy Tech Co Ltd

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Balance Sheet
Currency: TWD
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
304
132
276
1 551
535
397
583
1 264
1 109
877
954
584
607
198
23
239
768
550
Cash
0
0
0
0
0
0
270
307
215
289
652
277
196
0
0
0
359
337
Cash Equivalents
304
132
276
1 551
535
397
313
957
895
587
302
307
410
198
23
239
409
213
Short-Term Investments
824
1
0
10
49
0
363
236
421
61
13
91
15
269
260
248
181
129
Total Receivables
1
159
410
474
291
718
484
503
1 163
1 587
1 911
1 169
657
365
267
187
426
349
Accounts Receivables
0
0
180
349
196
693
399
372
881
579
572
456
206
99
68
3
23
10
Other Receivables
0
0
229
125
95
25
85
131
282
1 008
1 339
713
451
266
199
184
403
339
Inventory
2
448
137
242
179
257
507
580
577
291
377
153
77
182
344
400
100
49
Other Current Assets
16
105
181
115
277
462
296
323
330
275
265
272
96
90
695
138
82
84
Total Current Assets
1 146
845
1 003
2 391
1 331
1 834
2 233
2 906
3 600
3 091
3 520
2 269
1 451
1 430
2 222
1 743
1 556
1 161
PP&E Net
59
920
727
1 735
3 423
3 796
3 500
3 339
3 564
3 706
3 261
2 176
2 334
2 101
1 413
1 116
973
877
PP&E Gross
59
920
727
1 735
3 423
3 796
3 500
3 339
3 564
3 706
3 261
2 176
2 334
2 101
1 413
1 116
973
877
Accumulated Depreciation
0
34
156
331
651
1 214
1 759
2 222
2 789
3 405
4 295
5 542
3 941
3 894
590
4 108
4 357
3 898
Intangible Assets
0
0
185
171
184
174
1
1
3
2
1
0
19
17
16
1
1
2
Long-Term Investments
0
0
0
0
0
0
8
8
11
123
107
332
303
323
339
518
478
467
Other Long-Term Assets
137
2 710
2 606
2 526
2 273
1 037
1 074
921
814
719
424
266
63
72
22
25
42
25
Total Assets
1 342
N/A
4 474
+233%
4 520
+1%
6 824
+51%
7 211
+6%
6 841
-5%
6 817
0%
7 175
+5%
7 992
+11%
7 641
-4%
7 312
-4%
5 044
-31%
4 170
-17%
3 943
-5%
4 013
+2%
3 403
-15%
3 051
-10%
2 531
-17%
Liabilities
Accounts Payable
0
58
267
334
354
567
800
677
1 097
695
922
353
216
385
126
149
33
3
Accrued Liabilities
2
16
38
174
81
110
0
0
0
0
0
30
37
45
34
43
55
33
Short-Term Debt
0
250
327
370
1 104
1 261
965
798
404
656
788
1 090
346
433
282
118
91
76
Current Portion of Long-Term Debt
0
0
233
480
641
684
389
276
265
43
169
288
157
132
179
66
59
52
Other Current Liabilities
0
562
140
752
704
947
838
517
612
416
491
287
775
559
1 251
270
306
495
Total Current Liabilities
3
886
1 005
2 110
2 884
3 569
2 992
2 269
2 378
1 809
2 370
2 048
1 531
1 554
1 872
646
546
659
Long-Term Debt
0
1 522
1 391
955
945
409
239
209
68
333
500
425
598
225
273
171
115
95
Deferred Income Tax
0
0
0
0
0
0
2
11
5
1
3
1
1
1
1
1
1
1
Minority Interest
0
0
0
0
0
0
0
0
0
0
0
0
0
2
104
334
178
15
Other Liabilities
0
137
243
220
169
211
218
212
205
190
185
244
242
385
78
77
98
82
Total Liabilities
3
N/A
2 545
+101 680%
2 639
+4%
3 284
+24%
3 998
+22%
4 189
+5%
3 451
-18%
2 701
-22%
2 656
-2%
2 333
-12%
3 058
+31%
2 718
-11%
2 372
-13%
2 167
-9%
2 329
+7%
1 230
-47%
939
-24%
852
-9%
Equity
Common Stock
540
700
825
1 208
1 461
2 061
2 311
2 765
3 165
3 565
3 565
3 565
2 000
2 000
2 250
2 250
2 250
2 250
Retained Earnings
7
183
13
536
248
1 702
241
278
472
12
941
1 834
484
482
1 354
400
428
466
Additional Paid In Capital
802
1 043
1 073
1 813
1 982
2 289
812
1 412
1 709
2 008
1 984
1 052
795
795
1 291
771
771
343
Unrealized Security Profit/Loss
4
1
0
0
0
0
0
0
0
17
28
43
43
43
43
21
21
21
Other Equity
0
3
4
18
20
4
2
19
11
236
327
413
469
494
461
428
460
427
Total Equity
1 339
N/A
1 930
+44%
1 881
-3%
3 539
+88%
3 214
-9%
2 651
-17%
3 366
+27%
4 474
+33%
5 335
+19%
5 308
-1%
4 254
-20%
2 327
-45%
1 799
-23%
1 776
-1%
1 684
-5%
2 173
+29%
2 112
-3%
1 679
-21%
Total Liabilities & Equity
1 342
N/A
4 474
+233%
4 520
+1%
6 824
+51%
7 211
+6%
6 841
-5%
6 817
0%
7 175
+5%
7 992
+11%
7 641
-4%
7 312
-4%
5 044
-31%
4 170
-17%
3 943
-5%
4 013
+2%
3 403
-15%
3 051
-10%
2 531
-17%
Shares Outstanding
Common Shares Outstanding
38
49
58
75
83
116
130
155
178
203
203
203
203
203
225
225
225
225
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