Hon Hai Precision Industry Co. Ltd. logo

Hon Hai Precision Industry Co. Ltd.

HNHPF | OTC
Chart Builder DCF Calculator
$15.71
-$0.36 (-2.25%)
At close: Sep 24, 2026, 3:55 PM ET
$15.70
-$0.01 (-0.06%)
After-hours: Sep 24, 2026, 3:52 PM ET
Fiscal Quarter
Period Ending
Q2 2026
Jun 29, 2026
Q1 2026
Mar 30, 2026
Q4 2025
Dec 30, 2025
Q3 2025
Sep 29, 2025
Q2 2025
Jun 29, 2025
Q1 2025
Mar 30, 2025
Q4 2024
Dec 30, 2024
Q3 2024
Sep 29, 2024
Q2 2024
Jun 29, 2024
Q1 2024
Mar 30, 2024
Q4 2023
Dec 30, 2023
Q3 2023
Sep 29, 2023
Q2 2023
Jun 29, 2023
Q1 2023
Mar 30, 2023
Q4 2022
Dec 30, 2022
Q3 2022
Sep 29, 2022
Q2 2022
Jun 29, 2022
Q1 2022
Mar 30, 2022
Q4 2021
Dec 30, 2021
Q3 2021
Sep 29, 2021
Q2 2021
Jun 29, 2021
Q1 2021
Mar 30, 2021
Cash & Equivalents
963.14B 986.41B 1.02T 865.25B 870.54B 929.31B 937.27B 791.29B 1.05T 1.16T 1.2T 1.21T 1.19T 1.12T 1.06T 1.2T 1.22T 1.18T 1.06T 1.07T 1.11T 1.11T
Short-Term Investments
568.36B 598.74B 580.32B 429.82B 331.29B 414.19B 378.56B 353.21B 207.71B 141.75B 152.13B 90.39B 48.69B 35.35B 22.16B 39.38B 47.34B 68.98B 49.33B 66.37B 56.16B 49.36B
Long-Term Investments
502.48B 456.33B 447.52B 444.06B 386.51B 406.26B 406.74B 410.18B 408.81B 387.43B 393.28B 389.83B 389.94B 398.47B 436.44B 441.63B 439.62B 451.53B 430.59B 408.79B 409.76B 387.4B
Other Long-Term Assets
12.82B 11.94B 14.17B 17.4B 10.27B 12.69B 11.72B 10.44B 11.6B 17.09B 10.77B 13.02B 14.57B 10.82B 12.68B 10.71B 11.45B 11.04B 10.94B 21.37B 8.34B 9.97B
Receivables
1.43T 1.22T 1.23T 1.3T 988.16B 1.11T 1.2T 1.24T 921.58B 769.13B 936.98B 1.06T 859.23B 768.12B 1.16T 1.32T 993.49B 946.19B 1.22T 990.27B 877.55B 836.06B
Inventory
1.37T 1.21T 1.1T 1.19T 935.83B 1.05T 835.02B 883.54B 808.46B 753.15B 730.77B 772.29B 758.84B 813.16B 939.02B 880.55B 750.87B 754.53B 672.15B 658.64B 531.22B 634.98B
Other Current Assets
2.35B 2.39B 1.65B 1.52B 6.58B 1.77B 1.64B 1.78B 1.82B 1.92B 1.74B 1.73B 1.42B 1.94B 3.06B 3.39B 9.65B 8.75B 11.82B 2.37B 2.78B 1.22B
Total Current Assets
4.38T 4.05T 3.96T 3.82T 3.16T 3.53T 3.38T 3.3T 3.01T 2.85T 3.04T 3.15T 2.87T 2.76T 3.2T 3.47T 3.04T 2.98T 3.03T 2.82T 2.6T 2.65T
Property-Plant & Equipment
655.47B 640.29B 613.59B 547.16B 519.8B 566.39B 533.82B 491.73B 478.99B 459.94B 439.97B 428.69B 409.46B 412B 405.31B 390.45B 369.32B 366.82B 355.22B 339.94B 334.21B 336.21B
Goodwill & Intangibles
39.12B 39.63B 39.7B 38.93B 38.06B 42.62B 42.44B 41.06B 40.93B 40.47B 39.6B 61.51B 56.89B 56.88B 58.28B 58.74B 58.02B 59.47B 57.27B 45.77B 46.23B 47.24B
Total Long-Term Assets
1.24T 1.18T 1.14T 1.07T 979.1B 1.05T 1.02T 976.06B 960.63B 925.36B 903.82B 912.83B 891.6B 899.84B 933.47B 921.23B 900.09B 909.28B 874.46B 833.27B 816.57B 801.96B
Total Assets
5.62T 5.23T 5.1T 4.89T 4.14T 4.59T 4.39T 4.27T 3.97T 3.77T 3.94T 4.06T 3.76T 3.66T 4.13T 4.39T 3.94T 3.89T 3.91T 3.65T 3.42T 3.46T
Account Payables
1.53T 1.32T 1.33T 1.38T 1T 1.13T 1.13T 1.15T 891.11B 728.79B 893.12B 956.08B 774.26B 692.99B 1.07T 1.21T 823.47B 888.44B 1.08T 879.59B 758.86B 803.78B
Deferred Revenue
44.5B 41.46B 43.89B n/a 36.26B 33.77B 30.06B 31.01B 29.65B 30.02B 26.38B 26.46B 22.92B 25.98B 27.95B 27.31B 26.3B 25.17B 21.34B 20.49B 20.09B 20B
Short-Term Debt
1.01T 943.98B 949.67B 922.75B 666.13B 769.27B 649.84B 603.54B 562.21B 582.74B 654.91B 709.83B 637.76B 634.12B 656.65B 796.17B 780.79B 719.53B 618.54B 652.45B 570.34B 594.19B
Other Current Liabilities
373.54B 371.61B 256.33B 116.7B 323.86B 333.14B 261.39B 223.46B 307.25B 295.39B 235.7B 229.26B 302.89B 295.4B 252.5B 233.99B 276.75B 244.17B 182.74B 168.54B 213.43B 208.86B
Total Current Liabilities
3.08T 2.79T 2.71T 2.7T 2.13T 2.36T 2.17T 2.09T 1.87T 1.72T 1.91T 2.01T 1.82T 1.73T 2.11T 2.37T 2T 1.97T 2T 1.82T 1.65T 1.72T
Long-Term Debt
301.42B 314.87B 306.09B 272.71B 290.29B 299.03B 287.79B 296.93B 292.14B 288.42B 271.63B 287.16B 285.23B 254.48B 301.02B 310.51B 296.15B 278.26B 275.6B 263.16B 232.18B 230.65B
Other Long-Term Liabilities
34.16B 41.68B 31.21B 31.27B 19.48B 17.37B 12.85B 9.99B 9.02B 9.58B 8.83B 9.85B 8.63B 4.67B 4.83B 4.92B 5.18B 5.18B 5.52B 5.1B 4.71B 4.81B
Total Long-Term Liabilities
421.61B 445.61B 419.44B 370.77B 372.81B 385.64B 363.33B 378.69B 368.2B 358.99B 339.27B 357.93B 352.91B 320.46B 363.99B 365.97B 353.44B 335.31B 333.2B 313.69B 280.91B 278.69B
Total Liabilities
3.5T 3.24T 3.13T 3.07T 2.5T 2.74T 2.54T 2.47T 2.24T 2.08T 2.25T 2.37T 2.17T 2.05T 2.48T 2.73T 2.35T 2.3T 2.33T 2.13T 1.93T 2T
Total Debt
1.35T 1.29T 1.29T 1.23T 989.63B 1.1T 961.56B 923.63B 878.1B 888.99B 943.25B 1.01T 939.61B 907.12B 975.12B 1.12T 1.09T 1.02T 912.36B 936.31B 823.74B 844.49B
Book Value
2.12T 1.99T 1.97T 1.82T 1.64T 1.84T 1.86T 1.8T 1.73T 1.7T 1.69T 1.69T 1.59T 1.61T 1.66T 1.65T 1.59T 1.59T 1.58T 1.52T 1.49T 1.46T
Book Value Per Share
150.08 124.55 139.97 128.89 116.51 130.48 129.49 128.68 123.26 120.68 119.16 120.51 113.38 114.39 119.09 117.36 112.72 112.38 110.89 107.94 106.25 104.40
Common Stock
140.73B 140.29B 140.03B 139.64B 138.92B 138.92B 138.92B 138.91B 138.63B 138.63B 138.63B 138.63B 138.63B 138.63B 138.63B 138.63B 138.63B 138.63B 138.63B 138.63B 138.63B 138.63B
Retained Earnings
1.28T 1.24T 1.29T 1.14T 1.19T 1.09T 1.12T 1.08T 1.03T 1.05T 1.1T 1.04T 995.8B 970B 1.03T 990.64B 955.84B 941.6B 983.34B 937.32B 898.43B 863.56B
Comprehensive Income
356.15B 271.73B 222.41B 137.13B 42.1B 321.84B 288.15B 287.88B 272.89B 215.75B 168.47B 218.24B 168.69B 202.64B 192.58B 231.24B 207.81B 217.41B 170B 165.04B 177.77B 183.33B
Shareholders Equity
1.91T 1.78T 1.77T 1.64T 1.46T 1.64T 1.65T 1.6T 1.53T 1.49T 1.49T 1.48T 1.39T 1.4T 1.45T 1.45T 1.39T 1.39T 1.38T 1.33T 1.3T 1.27T
Total Investments
1.07T 1.06T 1.03T 873.83B 717.8B 820.45B 785.3B 763.39B 616.52B 529.18B 545.41B 480.23B 438.63B 433.82B 458.6B 481.02B 486.96B 520.5B 479.92B 475.15B 465.92B 436.76B

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