Synnex Technology International Corp
TWSE:2347

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Synnex Technology International Corp
TWSE:2347
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Price: 75.9 TWD -0.78% Market Closed
Market Cap: 126.6B TWD
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Balance Sheet

Balance Sheet Decomposition
Synnex Technology International Corp

Current Assets 183.3B
Cash & Short-Term Investments 52B
Receivables 80.4B
Other Current Assets 50.9B
Non-Current Assets 35.6B
Long-Term Investments 19.3B
PP&E 12.4B
Intangibles 646.7m
Other Non-Current Assets 3.2B
Current Liabilities 120.3B
Accounts Payable 38.2B
Accrued Liabilities 1.3B
Short-Term Debt 63B
Other Current Liabilities 17.7B
Non-Current Liabilities 25.2B
Long-Term Debt 15.5B
Other Non-Current Liabilities 9.7B

Balance Sheet
Synnex Technology International Corp

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Balance Sheet
Currency: TWD
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
22 632
13 899
7 474
5 715
5 675
6 342
15 230
7 053
14 482
11 156
Cash
2 786
2 437
3 241
4 173
3 169
4 448
12 701
7 013
12 054
10 882
Cash Equivalents
19 847
11 462
4 233
1 542
2 505
1 894
2 529
40
2 428
274
Short-Term Investments
1 627
1 839
2 040
1 961
1 762
10 082
130
14 564
25 951
22 811
Total Receivables
52 827
54 398
56 468
63 505
64 766
58 934
70 859
91 793
86 515
86 290
Accounts Receivables
38 970
38 252
41 087
48 288
48 895
45 526
56 639
78 929
72 200
74 189
Other Receivables
13 856
16 146
15 381
15 217
15 871
13 408
14 219
12 864
14 316
12 101
Inventory
31 182
35 259
33 648
36 259
40 800
31 692
30 887
47 713
57 299
53 143
Other Current Assets
3 492
3 236
2 552
3 221
4 680
4 252
4 498
4 929
6 319
7 282
Total Current Assets
111 760
108 630
102 183
110 661
117 683
111 302
121 603
166 052
190 568
180 683
PP&E Net
6 737
7 061
6 835
6 857
6 919
10 381
10 865
10 674
10 953
11 627
PP&E Gross
6 737
7 061
6 835
6 857
6 919
10 381
10 865
10 674
10 953
11 627
Accumulated Depreciation
2 437
2 100
2 209
2 163
1 995
1 839
2 066
2 079
2 272
2 140
Intangible Assets
98
123
142
106
77
98
105
116
111
97
Goodwill
315
327
560
536
555
548
533
524
554
554
Note Receivable
688
619
522
645
1 126
1 212
978
1 475
1 550
1 564
Long-Term Investments
13 498
14 496
14 238
16 049
17 224
21 112
22 818
20 280
15 635
18 272
Other Long-Term Assets
2 819
3 531
3 349
3 949
3 934
3 036
2 774
2 563
2 275
1 443
Other Assets
315
327
560
536
555
548
533
524
554
554
Total Assets
135 916
N/A
134 788
-1%
127 831
-5%
138 801
+9%
147 518
+6%
147 689
+0%
159 676
+8%
201 684
+26%
221 646
+10%
214 240
-3%
Liabilities
Accounts Payable
30 699
30 048
31 105
37 843
39 298
35 746
33 589
50 093
31 864
35 961
Accrued Liabilities
1 433
1 129
1 465
1 570
1 395
1 651
1 435
1 897
1 688
1 524
Short-Term Debt
46 396
52 954
44 108
44 661
48 466
48 120
56 697
65 817
78 174
59 503
Current Portion of Long-Term Debt
0
0
0
0
0
242
234
222
286
1 682
Other Current Liabilities
6 467
6 214
6 646
7 273
8 201
8 707
9 789
11 366
11 359
12 125
Total Current Liabilities
84 996
90 345
83 323
91 346
97 360
94 466
101 744
129 394
123 371
110 795
Long-Term Debt
4 042
0
0
0
0
548
311
1 724
16 168
21 759
Deferred Income Tax
157
112
144
164
245
174
194
4 110
6 763
6 796
Minority Interest
882
1 057
1 310
1 590
1 789
2 131
2 267
2 281
2 368
2 684
Other Liabilities
512
456
481
529
553
556
576
565
414
391
Total Liabilities
90 589
N/A
91 969
+2%
85 259
-7%
93 630
+10%
99 948
+7%
97 875
-2%
105 093
+7%
138 073
+31%
149 083
+8%
142 426
-4%
Equity
Common Stock
15 885
15 885
16 679
16 679
16 679
16 679
16 679
16 679
16 679
16 679
Retained Earnings
14 986
12 920
14 534
18 948
22 221
25 687
29 531
40 978
48 416
49 492
Additional Paid In Capital
14 332
14 140
14 196
14 365
14 847
14 743
14 709
14 200
13 506
13 529
Unrealized Security Profit/Loss
58
60
207
429
274
1 331
2 354
2 394
571
1 134
Other Equity
66
67
3 044
5 250
5 903
8 626
8 690
10 641
5 467
6 752
Total Equity
45 327
N/A
42 818
-6%
42 572
-1%
45 171
+6%
47 571
+5%
49 814
+5%
54 583
+10%
63 611
+17%
72 563
+14%
71 814
-1%
Total Liabilities & Equity
135 916
N/A
134 788
-1%
127 831
-5%
138 801
+9%
147 518
+6%
147 689
+0%
159 676
+8%
201 684
+26%
221 646
+10%
214 240
-3%
Shares Outstanding
Common Shares Outstanding
1 668
1 668
1 668
1 668
1 668
1 668
1 668
1 668
1 668
1 668

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