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台塑 — Financial Statements
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line ItemFY 2025Dec 31, 2025
+Revenue 175.4M
Revenue Growth % --
Cost Of Revenue 169.8M
+Gross Profit 5.6M
Gross Margin % 3.2%
Operating Expenses 13.1M
+Operating Income -7.5M
Operating Margin % -4.3%
Non Operating Income -2.7M
Pretax Income -10.2M
Income Tax -166,341
Income Continuing Operations -10.0M
+Net Income -10.0M
Net Margin % -5.7%
Net Income Parent -10.0M
Other Comprehensive Income 87.4M
Comprehensive Income 77.3M
Eps Basic -1.58
Line ItemFY 2025Dec 31, 2025
Current Assets 155.4M
Non Current Assets 402.1M
Total Assets 557.5M
Current Liabilities 75.8M
Non Current Liabilities 118.5M
Total Liabilities 194.3M
Capital Stock 63.7M
Capital Surplus 11.9M
Retained Earnings 197.0M
Other Equity 90.7M
Treasury Stock 0.00
Equity Parent 363.2M
Total Equity 363.2M
Crypto Equity 0.00
Prior Period Equity 0.00
Book Value Per Share 57.06
Non Controlling Interest 0.00
No data available for this statement.
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