T

Taiwan Secom Co Ltd
TWSE:9917

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Taiwan Secom Co Ltd
TWSE:9917
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Price: 113 TWD -1.31% Market Closed
Market Cap: NT$51B

Balance Sheet

Balance Sheet Decomposition
Taiwan Secom Co Ltd

Balance Sheet
Taiwan Secom 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
572
691
918
1 144
1 912
2 155
2 473
2 646
2 439
2 430
2 797
3 895
2 902
3 943
3 963
4 841
5 290
5 022
6 316
5 510
4 665
5 153
4 690
5 460
Cash
0
0
0
0
0
0
0
0
0
0
0
0
0
3 210
2 857
3 435
3 968
3 782
4 977
4 104
4 294
4 797
4 277
5 004
Cash Equivalents
572
691
918
1 144
1 912
2 155
2 473
2 646
2 439
2 430
2 797
3 895
2 902
733
1 106
1 406
1 323
1 240
1 339
1 405
372
357
413
456
Short-Term Investments
1 501
1 905
2 523
2 109
1 324
2 098
981
197
441
508
726
1 183
1 171
1 163
210
219
229
375
243
640
620
592
294
397
Total Receivables
520
463
526
572
781
784
1 002
977
920
1 070
1 159
1 173
1 197
1 309
1 396
1 360
1 208
1 338
1 313
1 434
1 798
2 239
2 568
2 326
Accounts Receivables
354
287
316
333
537
538
735
713
671
823
917
918
900
1 020
1 097
1 061
905
1 064
1 021
1 097
1 459
1 940
2 289
2 014
Other Receivables
166
176
210
239
244
246
267
264
249
247
242
255
297
289
299
299
303
274
292
337
339
299
279
313
Inventory
79
59
61
60
92
85
727
663
580
604
633
576
636
707
485
300
295
316
351
477
540
564
525
586
Other Current Assets
81
63
134
107
305
166
406
488
527
495
474
414
1 108
467
513
571
792
716
625
833
853
1 126
1 096
1 206
Total Current Assets
2 754
3 182
4 163
3 994
4 413
5 288
5 590
4 972
4 907
5 107
5 790
7 241
7 014
7 589
6 568
7 291
7 814
7 766
8 847
8 894
8 477
9 674
9 173
9 975
PP&E Net
3 346
3 436
3 682
3 653
4 136
4 280
4 575
4 558
4 474
4 551
4 473
4 916
5 741
6 173
7 730
8 158
8 000
7 806
8 335
8 921
9 060
10 007
10 967
11 091
PP&E Gross
3 346
3 436
3 682
3 653
4 136
4 280
4 575
4 558
4 474
4 551
4 473
4 916
5 741
6 173
7 730
8 158
8 000
7 806
8 335
8 921
9 060
10 007
10 967
11 091
Accumulated Depreciation
3 178
3 370
3 641
3 978
4 443
4 800
5 504
5 714
5 881
6 034
6 397
6 661
7 003
7 294
8 055
8 958
9 306
9 473
9 598
9 740
9 914
9 971
10 187
10 360
Intangible Assets
35
31
27
23
20
16
99
121
134
157
145
124
102
93
88
102
105
96
85
95
96
136
115
115
Goodwill
270
0
0
0
0
0
0
0
0
0
0
0
233
233
266
379
382
335
335
289
267
346
346
351
Note Receivable
1
0
0
0
0
0
0
0
0
0
0
0
68
75
75
77
134
163
182
198
236
194
189
277
Long-Term Investments
2 697
2 749
2 794
3 371
2 692
2 512
3 566
3 721
3 888
3 719
4 078
3 997
4 809
4 950
4 780
3 391
3 719
3 757
3 902
3 865
4 607
4 746
5 209
5 413
Other Long-Term Assets
201
387
353
336
312
422
845
1 008
1 049
900
871
827
796
786
765
844
769
965
813
908
810
800
862
1 043
Other Assets
270
0
0
0
0
0
0
0
0
0
0
0
233
233
266
379
382
335
335
289
267
346
346
351
Total Assets
9 304
N/A
9 785
+5%
11 020
+13%
11 378
+3%
11 573
+2%
12 518
+8%
14 675
+17%
14 379
-2%
14 452
+1%
14 435
0%
15 357
+6%
17 104
+11%
18 762
+10%
19 899
+6%
20 272
+2%
20 243
0%
20 924
+3%
20 888
0%
22 499
+8%
23 169
+3%
23 553
+2%
25 903
+10%
26 860
+4%
28 265
+5%
Liabilities
Accounts Payable
247
218
218
255
379
374
696
485
531
513
589
633
581
830
641
819
931
851
693
656
838
1 184
1 211
1 091
Accrued Liabilities
164
160
360
349
495
511
641
696
662
665
712
745
966
976
1 028
1 009
1 011
1 072
1 147
1 206
1 355
1 469
1 558
1 645
Short-Term Debt
486
1 008
1 450
1 230
378
490
1 165
1 586
1 522
1 054
1 024
1 069
2 713
2 235
2 936
3 010
2 359
2 550
4 120
1 750
550
860
235
1 775
Current Portion of Long-Term Debt
0
0
0
0
0
0
36
27
55
1
1
0
9
53
59
120
251
698
587
738
1 647
2 984
2 225
717
Other Current Liabilities
680
695
881
1 018
1 133
1 330
1 475
1 324
1 339
1 513
1 773
2 697
1 835
2 595
2 295
2 288
2 563
2 309
2 024
2 368
2 458
2 373
2 733
2 619
Total Current Liabilities
1 578
2 081
2 910
2 852
2 386
2 705
4 013
4 118
4 110
3 745
4 100
5 145
6 103
6 689
6 958
7 246
7 116
7 480
8 570
6 718
6 848
8 871
7 962
7 847
Long-Term Debt
0
0
19
18
0
16
16
83
12
8
13
120
130
122
77
913
1 047
375
504
2 401
2 431
2 356
3 749
4 953
Deferred Income Tax
0
0
0
0
0
4
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Minority Interest
170
177
87
94
242
208
586
425
407
378
361
358
419
460
432
398
432
481
445
459
410
488
474
472
Other Liabilities
533
552
597
637
705
757
868
935
1 093
1 265
1 390
1 670
1 975
2 017
2 138
2 150
2 207
2 232
2 241
2 352
2 255
2 147
2 087
1 979
Total Liabilities
2 282
N/A
2 809
+23%
3 613
+29%
3 600
0%
3 333
-7%
3 689
+11%
5 484
+49%
5 561
+1%
5 622
+1%
5 398
-4%
5 864
+9%
7 294
+24%
8 626
+18%
9 288
+8%
9 606
+3%
10 706
+11%
10 802
+1%
10 569
-2%
11 759
+11%
11 930
+1%
11 945
+0%
13 862
+16%
14 273
+3%
15 251
+7%
Equity
Common Stock
4 018
4 219
4 315
4 315
4 401
4 445
4 445
4 445
4 445
4 445
4 445
4 445
4 445
4 512
4 512
4 512
4 512
4 512
4 512
4 512
4 512
4 512
4 512
4 512
Retained Earnings
2 783
2 761
3 071
3 380
3 658
4 170
4 559
4 181
4 304
4 674
5 035
5 448
5 536
5 550
5 721
4 524
5 339
5 542
5 811
6 302
6 575
6 977
7 302
7 761
Additional Paid In Capital
579
593
428
521
577
566
661
679
714
728
823
852
266
702
784
854
691
725
763
814
825
907
1 063
1 153
Unrealized Security Profit/Loss
66
32
24
6
5
72
35
76
50
23
23
100
0
0
0
0
9
72
44
4
87
30
3
158
Treasury Stock
291
566
377
377
321
321
300
264
264
264
264
264
296
296
288
288
288
288
288
288
288
263
233
221
Other Equity
1
1
6
56
71
103
138
147
320
523
523
771
184
143
62
65
140
99
103
105
102
61
59
33
Total Equity
7 022
N/A
6 976
-1%
7 407
+6%
7 777
+5%
8 240
+6%
8 829
+7%
9 192
+4%
8 818
-4%
8 829
+0%
9 037
+2%
9 493
+5%
9 810
+3%
10 136
+3%
10 611
+5%
10 666
+1%
9 536
-11%
10 122
+6%
10 319
+2%
10 739
+4%
11 240
+5%
11 608
+3%
12 042
+4%
12 588
+5%
13 014
+3%
Total Liabilities & Equity
9 304
N/A
9 785
+5%
11 020
+13%
11 378
+3%
11 573
+2%
12 518
+8%
14 675
+17%
14 379
-2%
14 452
+1%
14 435
0%
15 357
+6%
17 104
+11%
18 762
+10%
19 899
+6%
20 272
+2%
20 243
0%
20 924
+3%
20 888
0%
22 499
+8%
23 169
+3%
23 553
+2%
25 903
+10%
26 860
+4%
28 265
+5%
Shares Outstanding
Common Shares Outstanding
437
466
451
451
451
451
451
451
451
451
451
441
441
441
441
441
441
441
441
441
441
442
443
444
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