Quanta Computer Inc
TWSE:2382
Balance Sheet
Balance Sheet Decomposition
Quanta Computer Inc
Quanta Computer Inc
Balance Sheet
Quanta Computer Inc
| 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 |
14 751
|
9 196
|
31 661
|
34 329
|
65 229
|
27 342
|
46 279
|
59 222
|
64 797
|
137 043
|
263 884
|
188 110
|
207 448
|
222 057
|
132 739
|
202 911
|
198 763
|
211 281
|
192 606
|
207 371
|
162 257
|
204 637
|
177 234
|
163 992
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
18 438
|
44 952
|
33 495
|
19 512
|
26 144
|
39 693
|
79 384
|
102 248
|
100 976
|
120 497
|
63 451
|
97 403
|
|
| Cash Equivalents |
14 751
|
9 196
|
31 661
|
34 329
|
65 229
|
27 342
|
46 279
|
59 222
|
64 797
|
137 043
|
263 884
|
188 110
|
189 010
|
177 106
|
99 244
|
183 400
|
172 620
|
171 588
|
113 221
|
105 123
|
61 281
|
84 140
|
113 784
|
66 589
|
|
| Short-Term Investments |
2 918
|
15 925
|
19 127
|
15 884
|
26 126
|
36 127
|
20 087
|
28 133
|
41 552
|
42 664
|
34 302
|
18 520
|
14 199
|
27 201
|
49 118
|
31 942
|
52 734
|
42 602
|
30 879
|
42 394
|
19 446
|
13 610
|
44 202
|
38 148
|
|
| Total Receivables |
24 206
|
31 216
|
42 532
|
54 008
|
79 919
|
74 149
|
128 822
|
103 563
|
154 562
|
183 158
|
189 698
|
195 632
|
181 443
|
186 440
|
163 853
|
170 690
|
173 158
|
207 258
|
204 314
|
201 313
|
266 324
|
285 501
|
262 076
|
372 909
|
|
| Accounts Receivables |
24 023
|
30 879
|
42 005
|
53 010
|
79 283
|
72 871
|
128 337
|
102 495
|
153 201
|
181 512
|
187 607
|
193 620
|
179 024
|
183 377
|
161 170
|
168 440
|
169 995
|
202 779
|
201 146
|
198 920
|
265 119
|
283 992
|
259 907
|
371 246
|
|
| Other Receivables |
183
|
337
|
527
|
998
|
636
|
1 278
|
485
|
1 068
|
1 361
|
1 646
|
2 091
|
2 012
|
2 419
|
3 063
|
2 683
|
2 250
|
3 163
|
4 478
|
3 167
|
2 393
|
1 205
|
1 509
|
2 168
|
1 663
|
|
| Inventory |
10 706
|
17 483
|
25 711
|
21 902
|
43 266
|
43 090
|
76 165
|
50 317
|
53 946
|
81 374
|
113 907
|
96 168
|
86 553
|
100 740
|
122 342
|
122 186
|
135 255
|
136 055
|
122 569
|
149 214
|
196 596
|
225 856
|
123 764
|
261 886
|
|
| Other Current Assets |
1 576
|
1 977
|
1 272
|
1 733
|
2 597
|
2 021
|
3 029
|
5 410
|
4 521
|
4 082
|
4 405
|
7 558
|
6 783
|
4 630
|
2 430
|
4 697
|
2 771
|
3 555
|
2 378
|
4 346
|
4 794
|
3 665
|
3 172
|
3 758
|
|
| Total Current Assets |
54 157
|
75 796
|
120 303
|
127 857
|
217 137
|
182 729
|
274 382
|
246 644
|
319 378
|
448 321
|
606 195
|
505 988
|
496 426
|
541 068
|
470 482
|
532 426
|
562 682
|
600 751
|
552 745
|
604 638
|
649 417
|
733 270
|
610 448
|
840 694
|
|
| PP&E Net |
7 643
|
10 455
|
17 250
|
23 916
|
147 242
|
30 466
|
37 763
|
44 359
|
45 074
|
48 494
|
53 507
|
50 830
|
48 042
|
51 163
|
49 203
|
45 463
|
42 185
|
49 435
|
50 513
|
49 774
|
55 651
|
67 395
|
64 639
|
72 497
|
|
| PP&E Gross |
7 643
|
10 455
|
17 250
|
23 916
|
147 242
|
30 466
|
37 763
|
44 359
|
45 074
|
48 494
|
53 507
|
50 830
|
48 042
|
51 163
|
49 203
|
45 463
|
42 185
|
49 435
|
50 513
|
49 774
|
55 651
|
67 395
|
64 639
|
72 497
|
|
| Accumulated Depreciation |
2 300
|
3 023
|
3 668
|
3 661
|
28 579
|
6 002
|
8 870
|
12 771
|
16 389
|
19 397
|
25 599
|
28 698
|
35 007
|
38 847
|
39 375
|
40 702
|
41 390
|
45 523
|
46 661
|
43 415
|
45 465
|
54 668
|
60 736
|
69 359
|
|
| Intangible Assets |
187
|
303
|
128
|
113
|
1 248
|
516
|
1 231
|
1 358
|
1 650
|
1 639
|
1 724
|
1 665
|
358
|
297
|
280
|
275
|
341
|
442
|
425
|
422
|
401
|
462
|
505
|
499
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
407
|
0
|
0
|
0
|
0
|
0
|
0
|
519
|
526
|
530
|
407
|
407
|
407
|
407
|
407
|
407
|
407
|
0
|
0
|
|
| Long-Term Investments |
10 212
|
12 686
|
17 710
|
20 964
|
10 202
|
12 083
|
11 856
|
10 766
|
10 841
|
12 102
|
8 570
|
8 353
|
7 384
|
8 316
|
2 499
|
1 884
|
1 782
|
1 808
|
2 866
|
2 777
|
4 336
|
5 125
|
6 293
|
8 922
|
|
| Other Long-Term Assets |
780
|
536
|
819
|
785
|
3 946
|
973
|
578
|
468
|
462
|
1 427
|
913
|
789
|
5 357
|
6 445
|
8 579
|
6 975
|
5 979
|
6 625
|
7 670
|
5 840
|
7 357
|
9 470
|
8 235
|
9 836
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
407
|
0
|
0
|
0
|
0
|
0
|
0
|
519
|
526
|
530
|
407
|
407
|
407
|
407
|
407
|
407
|
407
|
0
|
0
|
|
| Total Assets |
72 979
N/A
|
99 777
+37%
|
156 210
+57%
|
173 633
+11%
|
379 774
+119%
|
227 173
-40%
|
325 810
+43%
|
303 595
-7%
|
377 404
+24%
|
511 984
+36%
|
670 909
+31%
|
567 625
-15%
|
558 085
-2%
|
607 815
+9%
|
531 574
-13%
|
587 430
+11%
|
613 376
+4%
|
659 467
+8%
|
614 627
-7%
|
663 857
+8%
|
717 570
+8%
|
816 128
+14%
|
690 120
-15%
|
932 446
+35%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
12 739
|
26 519
|
50 587
|
56 048
|
90 877
|
83 013
|
159 907
|
119 656
|
162 487
|
192 400
|
197 876
|
191 910
|
191 283
|
175 376
|
146 792
|
175 581
|
161 245
|
175 026
|
150 773
|
191 110
|
229 941
|
213 514
|
168 322
|
282 782
|
|
| Accrued Liabilities |
2 950
|
2 941
|
3 829
|
3 850
|
9 654
|
5 339
|
6 707
|
9 754
|
10 509
|
10 971
|
12 333
|
11 676
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Short-Term Debt |
5 441
|
12 895
|
20 914
|
21 926
|
30 835
|
31 325
|
29 879
|
34 164
|
63 150
|
131 148
|
268 735
|
170 123
|
159 159
|
189 826
|
148 470
|
183 886
|
231 706
|
244 487
|
182 336
|
164 903
|
165 631
|
204 712
|
156 978
|
157 067
|
|
| Current Portion of Long-Term Debt |
8 146
|
5 839
|
5 493
|
15 449
|
25 315
|
9 904
|
9 451
|
9 509
|
1 665
|
49
|
0
|
12 205
|
896
|
11 755
|
8 208
|
0
|
17 898
|
0
|
15 346
|
6 283
|
1 801
|
45 985
|
2 970
|
23 970
|
|
| Other Current Liabilities |
2 280
|
2 630
|
2 466
|
5 474
|
21 073
|
11 189
|
19 881
|
23 538
|
24 787
|
28 074
|
35 194
|
30 438
|
41 371
|
65 040
|
65 506
|
67 666
|
62 540
|
78 615
|
94 741
|
115 174
|
123 349
|
164 380
|
154 742
|
174 879
|
|
| Total Current Liabilities |
31 555
|
50 824
|
83 289
|
102 747
|
177 753
|
140 770
|
225 824
|
196 620
|
262 599
|
362 641
|
514 138
|
416 352
|
392 709
|
441 997
|
368 975
|
427 134
|
473 389
|
498 128
|
443 196
|
477 470
|
520 721
|
628 591
|
483 013
|
638 699
|
|
| Long-Term Debt |
948
|
681
|
10 619
|
5 724
|
81 919
|
9 150
|
5 237
|
13 513
|
52
|
29 847
|
32 736
|
18 691
|
31 401
|
22 953
|
20 899
|
19 361
|
0
|
18 443
|
27 888
|
33 063
|
25 033
|
7 287
|
7 802
|
54 250
|
|
| Deferred Income Tax |
0
|
3
|
0
|
0
|
0
|
0
|
4
|
826
|
198
|
0
|
0
|
1 231
|
2 107
|
1 842
|
385
|
368
|
290
|
769
|
722
|
2 100
|
2 900
|
3 112
|
5 010
|
8 582
|
|
| Minority Interest |
0
|
0
|
0
|
0
|
50 581
|
4 852
|
7 353
|
6 559
|
7 390
|
7 521
|
7 418
|
7 407
|
7 785
|
7 718
|
7 343
|
6 863
|
6 366
|
6 330
|
6 289
|
5 933
|
6 988
|
7 365
|
7 685
|
8 020
|
|
| Other Liabilities |
32
|
39
|
50
|
35
|
167
|
3
|
1
|
1
|
547
|
372
|
273
|
124
|
782
|
943
|
1 229
|
850
|
908
|
900
|
890
|
932
|
787
|
615
|
403
|
610
|
|
| Total Liabilities |
32 535
N/A
|
51 547
+58%
|
93 958
+82%
|
108 507
+15%
|
310 421
+186%
|
154 776
-50%
|
238 420
+54%
|
217 520
-9%
|
270 784
+24%
|
400 381
+48%
|
554 565
+39%
|
443 806
-20%
|
434 783
-2%
|
475 452
+9%
|
398 832
-16%
|
454 577
+14%
|
480 954
+6%
|
524 570
+9%
|
478 985
-9%
|
519 498
+8%
|
556 430
+7%
|
646 970
+16%
|
503 913
-22%
|
710 161
+41%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
20 825
|
24 618
|
27 992
|
31 073
|
32 393
|
33 630
|
34 753
|
36 495
|
37 820
|
38 339
|
38 411
|
38 487
|
38 626
|
38 626
|
38 626
|
38 626
|
38 626
|
38 626
|
38 626
|
38 626
|
38 626
|
38 626
|
38 626
|
38 626
|
|
| Retained Earnings |
18 959
|
20 950
|
26 364
|
28 802
|
27 379
|
31 018
|
39 865
|
46 088
|
54 523
|
58 997
|
68 227
|
75 884
|
78 771
|
82 980
|
84 830
|
85 257
|
86 044
|
88 240
|
90 495
|
101 464
|
115 015
|
118 763
|
135 403
|
160 446
|
|
| Additional Paid In Capital |
601
|
2 615
|
7 908
|
8 863
|
9 580
|
7 123
|
7 268
|
7 265
|
12 144
|
13 827
|
14 060
|
14 247
|
14 019
|
14 031
|
14 043
|
14 054
|
14 073
|
14 085
|
14 091
|
14 102
|
14 223
|
14 224
|
14 295
|
17 309
|
|
| Unrealized Security Profit/Loss |
0
|
2
|
0
|
15
|
0
|
1 065
|
5 184
|
3 691
|
690
|
163
|
6 580
|
6 465
|
0
|
0
|
10 634
|
9 860
|
9 713
|
10 052
|
10 587
|
9 157
|
4 616
|
8 586
|
7 469
|
8 646
|
|
| Treasury Stock |
0
|
0
|
0
|
3 217
|
0
|
635
|
635
|
2 042
|
476
|
476
|
333
|
333
|
333
|
333
|
333
|
333
|
333
|
333
|
333
|
333
|
333
|
333
|
333
|
333
|
|
| Other Equity |
59
|
47
|
11
|
379
|
2
|
195
|
955
|
1 960
|
1 918
|
753
|
2 559
|
1 999
|
7 781
|
2 941
|
6 211
|
5 109
|
3 725
|
4 330
|
3 350
|
343
|
1 776
|
6 464
|
5 686
|
14 884
|
|
| Total Equity |
40 444
N/A
|
48 229
+19%
|
62 253
+29%
|
65 126
+5%
|
69 354
+6%
|
72 397
+4%
|
87 390
+21%
|
86 075
-2%
|
106 619
+24%
|
111 603
+5%
|
116 344
+4%
|
123 819
+6%
|
123 302
0%
|
132 362
+7%
|
132 742
+0%
|
132 853
+0%
|
132 422
0%
|
134 897
+2%
|
135 642
+1%
|
144 360
+6%
|
161 139
+12%
|
169 158
+5%
|
186 207
+10%
|
222 286
+19%
|
|
| Total Liabilities & Equity |
72 979
N/A
|
99 777
+37%
|
156 210
+57%
|
173 633
+11%
|
379 774
+119%
|
227 173
-40%
|
325 810
+43%
|
303 595
-7%
|
377 404
+24%
|
511 984
+36%
|
670 909
+31%
|
567 625
-15%
|
558 085
-2%
|
607 815
+9%
|
531 574
-13%
|
587 430
+11%
|
613 376
+4%
|
659 467
+8%
|
614 627
-7%
|
663 857
+8%
|
717 570
+8%
|
816 128
+14%
|
690 120
-15%
|
932 446
+35%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
3 293
|
3 385
|
3 499
|
3 462
|
3 506
|
3 553
|
3 600
|
3 629
|
3 770
|
3 822
|
3 833
|
3 841
|
3 855
|
3 855
|
3 855
|
3 855
|
3 855
|
3 855
|
3 855
|
3 855
|
3 855
|
3 855
|
3 855
|
3 855
|
|