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Taiwan Surface Mounting Technology Corp
TWSE:6278

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Taiwan Surface Mounting Technology Corp
TWSE:6278
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Price: 143 TWD 4.38% Market Closed
Market Cap: NT$41.8B

Balance Sheet

Balance Sheet Decomposition
Taiwan Surface Mounting Technology Corp

Balance Sheet
Taiwan Surface Mounting 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
556
470
450
462
1 015
2 204
3 865
2 544
4 037
5 243
5 155
6 798
6 401
4 515
5 778
6 359
4 990
6 194
7 660
8 222
11 321
12 980
16 366
10 602
Cash
0
0
0
0
0
0
0
0
0
0
0
2 581
2 092
2 993
3 397
3 767
3 072
3 556
6 083
6 920
8 773
6 200
7 068
9 450
Cash Equivalents
556
470
450
462
1 015
2 204
3 865
2 544
4 037
5 243
5 155
4 217
4 310
1 522
2 381
2 592
1 919
2 638
1 577
1 302
2 548
6 780
9 297
1 152
Short-Term Investments
0
46
21
26
34
23
35
25
10
8
9
14
17
1 517
1 002
1 043
645
2 259
2 026
1 366
4 720
10 611
7 912
6 184
Total Receivables
1 203
1 432
2 239
3 097
4 551
7 557
4 455
11 918
12 180
14 509
15 898
12 114
12 472
11 640
12 290
9 497
12 587
12 803
13 024
22 240
18 529
14 866
16 022
15 811
Accounts Receivables
901
1 373
2 143
2 857
4 154
7 300
4 184
11 654
11 775
13 773
15 252
11 610
12 357
11 545
12 218
9 384
12 232
12 504
12 935
22 178
18 398
14 722
15 846
15 671
Other Receivables
302
59
96
240
397
257
271
264
405
736
646
504
116
95
72
113
355
299
89
62
131
144
175
140
Inventory
660
552
648
868
1 135
1 124
800
1 535
2 083
2 863
2 311
1 734
1 809
2 100
2 395
2 084
2 830
3 018
3 266
5 849
4 434
2 698
4 065
3 602
Other Current Assets
81
8
26
125
88
86
108
177
213
463
346
315
268
375
339
348
600
510
474
867
8 225
410
656
543
Total Current Assets
2 498
2 508
3 385
4 579
6 822
10 993
9 262
16 197
18 523
23 086
23 719
20 975
20 967
20 149
21 804
19 332
21 652
24 784
26 450
38 544
39 552
35 365
37 952
36 742
PP&E Net
1 118
1 198
1 324
1 827
2 402
3 313
3 531
3 631
5 058
6 778
7 179
7 530
7 740
7 323
6 656
5 739
6 530
7 207
9 154
15 609
13 954
12 364
13 513
14 142
PP&E Gross
1 118
1 198
1 324
1 827
2 402
3 313
3 531
3 631
5 058
6 778
7 179
7 530
7 740
7 323
6 656
5 739
6 530
7 207
9 154
15 609
13 954
12 364
13 513
14 142
Accumulated Depreciation
359
521
668
782
926
1 096
1 256
1 510
1 809
2 209
2 641
2 686
3 128
3 841
3 887
3 329
3 480
3 470
3 589
3 882
6 744
9 237
10 057
10 502
Intangible Assets
8
7
7
7
124
231
249
213
165
224
221
0
0
0
0
0
0
0
0
0
0
0
0
0
Long-Term Investments
7
69
94
13
0
0
165
239
443
567
580
830
833
787
603
480
286
286
278
253
164
116
119
69
Other Long-Term Assets
42
25
28
24
41
49
69
99
83
122
133
514
476
526
638
628
1 220
888
2 148
1 048
1 500
784
613
700
Total Assets
3 673
N/A
3 808
+4%
4 837
+27%
6 450
+33%
9 390
+46%
14 587
+55%
13 277
-9%
20 380
+53%
24 273
+19%
30 778
+27%
31 832
+3%
29 848
-6%
30 016
+1%
28 784
-4%
29 701
+3%
26 179
-12%
29 687
+13%
33 166
+12%
38 030
+15%
55 454
+46%
55 171
-1%
48 629
-12%
52 196
+7%
51 653
-1%
Liabilities
Accounts Payable
649
1 190
1 787
3 054
4 736
6 697
4 546
10 180
10 592
14 298
14 470
10 806
10 086
9 404
10 398
7 835
10 565
12 711
12 898
21 384
18 174
14 009
15 102
14 250
Accrued Liabilities
61
68
71
251
327
405
387
588
567
726
749
0
0
0
0
0
0
0
0
0
0
0
0
0
Short-Term Debt
1 016
829
1 396
656
101
619
603
593
1 164
990
560
336
3 082
2 585
4 244
3 240
2 856
2 150
4 012
8 681
5 530
5 318
4 504
3 573
Current Portion of Long-Term Debt
131
142
201
184
202
23
37
48
0
0
170
0
22
339
0
0
45
62
649
395
664
49
250
1 088
Other Current Liabilities
709
289
148
49
70
156
207
295
554
626
931
2 732
2 254
2 002
1 701
1 802
2 335
2 461
2 615
4 383
5 234
4 368
4 817
5 184
Total Current Liabilities
2 566
2 517
3 602
4 194
5 436
7 901
5 780
11 704
12 877
16 641
16 880
13 874
15 445
14 330
16 343
12 878
15 802
17 385
20 174
34 843
29 602
23 743
24 673
24 095
Long-Term Debt
178
224
106
166
117
52
49
0
0
839
1 331
741
1 811
1 017
323
917
885
1 598
2 699
2 757
2 949
2 211
2 629
2 384
Deferred Income Tax
23
36
49
119
335
608
711
741
1 029
1 339
1 358
1 379
1 466
1 444
1 376
1 288
1 328
1 364
1 560
1 904
2 894
2 752
2 196
2 092
Minority Interest
0
0
0
0
28
1 373
1 626
1 881
2 411
2 921
3 014
3 333
63
32
11
42
20
11
5
7
13
20
24
23
Other Liabilities
5
5
5
5
5
5
5
5
8
7
6
50
54
47
56
71
72
77
101
96
97
85
88
87
Total Liabilities
2 772
N/A
2 782
+0%
3 762
+35%
4 484
+19%
5 920
+32%
9 938
+68%
8 171
-18%
14 332
+75%
16 325
+14%
21 746
+33%
22 590
+4%
19 377
-14%
18 839
-3%
16 870
-10%
18 108
+7%
15 195
-16%
18 106
+19%
20 435
+13%
24 539
+20%
39 594
+61%
35 555
-10%
28 811
-19%
29 611
+3%
28 681
-3%
Equity
Common Stock
490
600
666
856
1 169
1 412
1 672
1 788
2 184
2 403
2 572
2 700
2 813
2 954
2 954
2 954
2 924
2 924
2 924
2 924
2 924
2 924
2 924
2 924
Retained Earnings
178
199
224
590
1 059
1 565
1 775
2 636
3 572
4 059
4 438
5 500
5 374
5 684
5 799
6 253
6 656
8 308
9 665
12 040
14 330
14 798
16 239
17 375
Additional Paid In Capital
215
215
215
518
1 236
1 669
1 669
1 707
2 859
2 885
2 926
2 528
2 568
2 570
2 570
2 570
2 529
2 515
2 515
2 515
2 506
2 506
2 506
2 506
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
146
275
402
415
52
141
192
183
232
Treasury Stock
0
0
0
0
0
47
120
120
0
0
0
0
0
84
84
84
0
0
0
0
0
0
0
0
Other Equity
18
12
30
2
6
50
109
37
667
315
693
257
422
791
354
563
253
613
1 199
1 567
2
218
1 099
400
Total Equity
901
N/A
1 026
+14%
1 075
+5%
1 966
+83%
3 470
+77%
4 649
+34%
5 106
+10%
6 049
+18%
7 948
+31%
9 031
+14%
9 242
+2%
10 472
+13%
11 178
+7%
11 914
+7%
11 593
-3%
10 984
-5%
11 581
+5%
12 732
+10%
13 490
+6%
15 860
+18%
19 616
+24%
19 818
+1%
22 586
+14%
22 972
+2%
Total Liabilities & Equity
3 673
N/A
3 808
+4%
4 837
+27%
6 450
+33%
9 390
+46%
14 587
+55%
13 277
-9%
20 380
+53%
24 273
+19%
30 778
+27%
31 832
+3%
29 848
-6%
30 016
+1%
28 784
-4%
29 701
+3%
26 179
-12%
29 687
+13%
33 166
+12%
38 030
+15%
55 454
+46%
55 171
-1%
48 629
-12%
52 196
+7%
51 653
-1%
Shares Outstanding
Common Shares Outstanding
196
199
201
235
251
261
245
262
295
295
295
295
295
292
292
292
292
292
292
292
292
292
292
292
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