TREDEGAR CORPTG

時価総額
$2.6億
PER
アルミ押出材とPEフィルム製造の有力企業。高性能表面保護フィルムや建築・自動車向け押出材ブランドを展開、特許32件保有。2024年11月1日にTerphaneをObenへ1.16億ドルで売却。米国・中国・アジア中心に展開。
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents69495350443036343119107
Restricted Cash----------4-
Accounts Receivable, after Allowance for Credit Loss---------856865
Income taxes recoverable33-108327411-
Inventories6175717465668794811288251
Prepaid expenses and other8768788109101217
Total current assets246239235256211208284269233243177140
Land1913121211119910555
Buildings106111109135121126101101107717368
Machinery and equipment620626678644623660661683695456463427
Total property, plant and equipment746749799791755798771793811532541499
Less: accumulated depreciation488496516521523537548565568346358362
Net property, plant and equipment257253283270231261223228243186183137
Right-of-use leased assets--------19141215
Identifiable intangible assets, net------41362312107
Goodwill------1288181713622
Deferred income tax assets---------444533
Other assets545050482831945342
Noncurrent assets of discontinued operations-----------0
Total assets779783793789623651756707713542446356
Accounts payable7482839484811081131041159565
Accrued expenses404342323439424246322422
Lease liability, short-term--------3222
Short-Term Debt----------1261
Taxes Payable---------110
Current liabilities of discontinued operations-----------1
Total current liabilities11412512512611812015115515215024992
Lease liability, long-term--------18131113
ABL revolving facility12512813913710495152102421372061
Pension and other postretirement benefit obligations, net------99881073576
Deferred Income Taxes and Other Tax Liabilities, Noncurrent-----------0
Other non-current liabilities729855114110104885644
Total liabilities382411390417351340412353336340291175
Common Stock, Value, Issued141521242932353946596264
Common stock held in trust for savings restoration plan (118,543 shares at December 31, 2024 and December 31, 2023)111111222222
Foreign currency translation adjustment120-19-47-113-94-86-97-101-86-835
Gain (loss) on derivative financial instruments----------210
Pension and other postretirement benefit adjustments9110372104969091819659-1-1
Retained earnings463461474499453464487498530293178113
Total shareholders’ equity397372403372273311344355377202156181
Total liabilities and shareholders’ equity779783793789623651756707713542446356