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TCC Group Holdings financials data including stock price, CreditSafe score, income statement, balance sheet, and cash flow.

Stock Price

NT$32.1

2024-10-29

Market Capitalization

NT$240.6 B

2024-10-29

Revenue

NT$149.8 B

FY, 2025

CreditSafe Score

?
Score changed on Jun 03, 2026
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Financial Statements

TWDFY, 2018FY, 2019FY, 2020FY, 2021FY, 2022FY, 2023FY, 2024FY, 2025
Revenue124.6B122.8B114.4B107.0B113.9B109.3B154.6B149.8B
Cost of goods sold84.5B79.5B69.5B73.5B95.8B79.5B105.4B103.8B
Gross profit41.0B44.3B45.4B34.4B18.7B30.5B50.6B50.2B
Gross profit margin, %36.1%39.7%32.1%16.4%27.9%32.7%33.5%
Operating expense total5.4B5.8B6.2B6.9B8.4B10.5B15.6B17.5B
Depreciation and amortization6.5B7.3B7.3B6.9B8.5B9.3B16.5B18.4B
EBITDA35.6B41.1B42.3B31.7B14.2B24.6B35.6B32.8B
EBITDA margin, %33.5%37.0%29.6%12.4%22.5%23.0%21.9%
EBIT31.1B33.2B34.5B24.3B4.3B14.5B19.0B(4.1B)
EBIT margin, %27.0%30.2%22.7%3.8%13.2%12.3%-2.8%
Interest income584.5M815.8M1.4B1.5B2.1B3.4B5.5B5.5B
Interest expense2.5B2.2B2.0B1.7B2.9B3.5B5.3B5.4B
Pre tax profit30.5B32.6B35.4B26.1B6.6B14.4B22.8B(9.4B)
Income tax expense7.9B7.2B7.4B5.9B2.5B4.4B7.2B2.4B
Net Income22.6B25.5B28.0B20.1B4.2B10.0B15.6B(11.9B)

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