Silicon Motion Announces Results for the Period Ended September 30, 2024

 
Silicon Motion Technology Corporation
Consolidated Balance Sheet
(In thousands, unaudited)
          
   Sep. 30,
  Jun. 30,
  Sep. 30,
   2023
  2024
  2024
   ($)
  ($)
  ($)
Cash and cash equivalents 295,385  289,175  313,924 
Accounts receivable (net) 193,389  191,692  202,726 
Inventories 199,003  240,811  214,574 
Refundable deposits – current 49,445  51,036  51,102 
Prepaid expenses and other current assets 16,896  31,460  38,246 
Total current assets 754,118  804,174  820,572 
Long-term investments 17,023  17,301  16,878 
Property and equipment (net)   162,107     179,550     181,983  
Other assets   33,672     29,121     29,304  
Total assets   966,920     1,030,146     1,048,737  
                   
Accounts payable   26,975     36,411     30,888  
Income tax payable   26,279     14,103     14,444  
Accrued expenses and other current liabilities   77,502     134,947     131,143  
Total current liabilities   130,756     185,461     176,475  
Other liabilities   62,112     60,182     62,673  
Total liabilities   192,868     245,643     239,148  
Shareholders’ equity   774,052     784,503     809,589  
Total liabilities & shareholders’ equity   966,920     1,030,146     1,048,737  
                   



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