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CONDENSED CONSOLIDATED STATEMENTS OF FINANCIAL POSITION - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Jun. 30, 2025
CURRENT ASSETS:      
Cash and cash equivalents $ 62,080 $ 127,165 $ 120,521
Restricted cash 395 399 400
Investments 79,044 49,468 50,010
Accounts receivable trade, less allowances of $2,253, $2,167 and $2,593 52,341 47,901 48,698
Other receivables 5,050 6,282 6,845
Inventories:      
Finished goods and work-in-process 79,783 42,148 81,838
Raw materials and supplies 40,072 33,034 45,704
Prepaid expenses 16,169 15,071 10,750
Total current assets 334,934 321,468 364,766
PROPERTY, PLANT AND EQUIPMENT, at cost:      
Land 21,812 21,807 21,783
Buildings 156,598 156,497 148,991
Machinery and equipment 518,361 518,664 500,922
Construction in progress 35,375 15,476 17,942
Operating lease right-of-use assets 4,572 5,026 5,554
Property, plant and equipment, gross 736,718 717,470 695,192
Less - accumulated depreciation 489,308 479,706 472,314
Net property, plant and equipment 247,410 237,764 222,878
OTHER ASSETS:      
Goodwill 73,237 73,237 73,237
Trademarks 175,024 175,024 175,024
Investments 431,784 437,114 333,626
Prepaid expenses and other assets 5,109 7,311 10,248
Deferred income taxes 2,117 2,064 1,677
Total other assets 687,271 694,750 593,812
Total assets 1,269,615 1,253,982 1,181,456
CURRENT LIABILITIES:      
Accounts payable 28,293 15,860 21,158
Bank loans 8,333 994 1,018
Dividends payable 6,776 6,569 6,569
Accrued liabilities 56,961 64,180 60,840
Postretirement health care benefits 635 635 595
Operating lease liabilities 1,039 1,140 1,317
Income taxes payable   5,940  
Deferred compensation 13,734 3,134  
Total current liabilities 115,771 98,452 91,497
NONCURRENT LIABILITIES:      
Deferred income taxes 64,923 66,584 56,932
Postretirement health care benefits 8,800 8,882 8,645
Industrial development bonds   7,500 7,500
Liability for uncertain tax positions 2,734 3,482 2,564
Operating lease liabilities 3,914 4,251 4,584
Deferred compensation and other liabilities 121,665 124,263 116,972
Total noncurrent liabilities 202,036 214,962 197,197
TOOTSIE ROLL INDUSTRIES, INC. SHAREHOLDERS' EQUITY:      
Capital in excess of par value 915,002 847,308 847,308
Retained earnings 9,942 65,472 14,140
Accumulated other comprehensive loss (22,818) (20,501) (17,014)
Treasury stock (at cost) - 111, 108 and 108 shares, respectively (1,991) (1,992) (1,992)
Total Tootsie Roll Industries, Inc. shareholders' equity 952,268 940,972 893,127
Noncontrolling interests (460) (404) (365)
Total equity 951,808 940,568 892,762
Total liabilities and shareholders' equity 1,269,615 1,253,982 1,181,456
Common stock      
TOOTSIE ROLL INDUSTRIES, INC. SHAREHOLDERS' EQUITY:      
Common stock, value 29,848 29,042 29,033
Class B common stock      
TOOTSIE ROLL INDUSTRIES, INC. SHAREHOLDERS' EQUITY:      
Common stock, value $ 22,285 $ 21,643 $ 21,652