Below are the financial statements of TCC Group Holdings, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
All figures in billions of TWD | 2024 as of Not Specified | 2023 as of Not Specified |
---|---|---|
Current assets | 173.38a | 153.11a |
Property, plant and equipment | 214.71a | 124.12a |
Intangible assets | 64.54a | 29.76a |
Other assets | 140.78a | 162.45a |
Total assets | 593.41a | 469.44a |
Current liabilities | 86.37a | 72.58a |
Non-current liabilities | 199.13a | 142.96a |
Total liabilities | 285.51a | 215.54a |
Capital | 77.51a | 77.51a |
Capital surplus | 74.79a | 74.12a |
Retained earnings | 72.77a | 70.58a |
Other equity | 23.76a | 9.46a |
Equity attributable to owners of the parent | 248.1a | 230.93a |
Non-controlling interests | 59.81a | 22.97a |
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