Taiwan IC Packaging Balance Sheet Health

Finanzielle Gesundheit Kriterienprüfungen 6/6

Taiwan IC Packaging has a total shareholder equity of NT$1.8B and total debt of NT$0.0, which brings its debt-to-equity ratio to 0%. Its total assets and total liabilities are NT$2.1B and NT$250.6M respectively.

Wichtige Informationen

0%

Verhältnis von Schulden zu Eigenkapital

NT$0

Verschuldung

Zinsdeckungsgradn/a
BargeldNT$545.27m
EigenkapitalNT$1.83b
GesamtverbindlichkeitenNT$250.60m
GesamtvermögenNT$2.08b

Jüngste Berichte zur Finanzlage

Recent updates

We're Not Very Worried About Taiwan IC Packaging's (GTSM:3372) Cash Burn Rate

Apr 19
We're Not Very Worried About Taiwan IC Packaging's (GTSM:3372) Cash Burn Rate

Introducing Taiwan IC Packaging (GTSM:3372), A Stock That Climbed 35% In The Last Year

Feb 25
Introducing Taiwan IC Packaging (GTSM:3372), A Stock That Climbed 35% In The Last Year

Here's Why We're Not Too Worried About Taiwan IC Packaging's (GTSM:3372) Cash Burn Situation

Jan 03
Here's Why We're Not Too Worried About Taiwan IC Packaging's (GTSM:3372) Cash Burn Situation

Analyse der Finanzlage

Kurzfristige Verbindlichkeiten: 3372's short term assets (NT$947.3M) exceed its short term liabilities (NT$178.1M).

Langfristige Verbindlichkeiten: 3372's short term assets (NT$947.3M) exceed its long term liabilities (NT$72.5M).


Geschichte und Analyse des Verhältnisses von Schulden zu Eigenkapital

Verschuldungsgrad: 3372 is debt free.

Schulden abbauen: 3372 had no debt 5 years ago.


Bilanz


Liquiditätsreserve-Analyse

Bei Unternehmen, die in der Vergangenheit im Durchschnitt Verluste gemacht haben, wird geprüft, ob sie über einen Liquiditätsvorlauf von mindestens einem Jahr verfügen.

Stabile Start- und Landebahn für Bargeld: Whilst unprofitable 3372 has sufficient cash runway for more than 3 years if it maintains its current positive free cash flow level.

Vorhersage Cash Runway: 3372 is unprofitable but has sufficient cash runway for more than 3 years, due to free cash flow being positive and growing by 38.5% per year.


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