Universal Cement Corporation

TWSE:1104.TW

30.65 (TWD) • At close September 20, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) TWD.

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,418.31784.464292.032294.665250.642269.426192.742197.262395.027396.132429.215352.972823.044428.19756.163788.211947.793715.686
Kortetermijnbeleggingen 2,832.8892,450.6212,720.1622,329.2512,421.9112,204.8132,320.3772,056.1711,033.792617.29492.613114.80954.37181.019010.86630.393742.564
Liquide middelen en kortetermijnbeleggingen 4,251.1993,235.0853,012.1942,623.9162,672.5532,474.2392,513.1192,253.4331,428.8191,013.422921.828467.781877.415509.209756.163799.0711,578.1861,458.25
Nettovorderingen 2,192.4792,014.0951,689.911,476.6051,318.6191,281.1591,036.4811,075.1691,143.3231,301.9491,300.6561,307.5891,056.8993,883.1191,565.9412,923.46400
Voorraad 388.373393.983297.842283.445264.17293.881303.136309.386338.241326.165340.696334.456264.626255.07526.404883.862768.633716.544
Overige vlottende activa 4.3835.4234.7157.67411.929.33310.3026.861129.97211.14567.95521.208133.78161.669623.90814.25400
Totaal vlottende activa 6,836.4345,648.5865,004.6614,391.644,267.2624,058.6123,863.0383,644.8493,040.3552,652.6812,631.1352,131.0342,332.724,809.0673,472.4164,620.6514,819.2394,441.536
Niet-vlottende activa:
Materiële vaste activa, netto 7,610.0828,205.5187,196.1446,988.9956,406.6586,050.6775,902.8025,718.4895,587.6355,736.2385,846.8635,890.9785,853.8195,703.4768,777.3526,949.4716,114.0366,137.933
Goodwill 000000000000000000
Immateriële activa 10.64811.9928.4048.0757.8548.5488.49.1048.5238.8119.32814.28815.13613.709338.481422.707354.788393.051
Goodwill en immateriële activa 10.64811.9928.4048.0757.8548.5488.49.1048.5238.8119.32814.28815.13613.709338.481422.707354.788393.051
Langetermijnbeleggingen 10,027.30210,623.9769,210.9279,289.3468,690.288,752.0547,686.6387,469.1339,014.4759,692.9698,290.2027,448.0227,058.5416,440.44706,146.9664,751.864,161.378
Belastingvorderingen 16.51113.89820.698.2453.866.0464.2255.0984.2837.43810.6617.362.62927.84010.86630.393742.564
Overige niet-vlottende activa 3,688.5833,307.9253,655.9963,416.6354,026.0193,700.6353,764.1053,500.4772,315.61,284.619958.794443.91443.852519.2697,566.6372,540.682,458.9932,209.05
Totaal niet-vlottende activa 21,353.12622,163.30920,092.16119,711.29619,134.67118,517.9617,366.1716,702.30116,930.51616,730.07515,115.84813,804.55813,373.97712,704.74116,682.4716,070.68414,310.0713,643.976
Totaal activa 28,189.5627,811.89525,096.82224,102.93623,401.93322,576.57221,229.20820,347.1519,970.87119,382.75617,746.98315,935.59215,706.69717,513.80820,154.88620,691.33519,129.30918,085.512
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 743.093704.25670.711540.347529.06521.684405.017456.887508.348492.758515.526509.832429.818492.017442.875666.118583.106509.718
Kortlopende schulden 2,747.4663,529.9863,127.4982,887.9112,956.2972,577.7291,970.7241,677.7321,583.8441,245.909930.091424.593370.01770.93942.0573,250.662,081.3441,763.557
Belastingschulden 157.831121.86119.51748.15648.61261.57981.875170.822125.18581.26225.2215.47642.45426.22922.2545.17822.76236.067
Uitgestelde opbrengsten 566.21494.104426.196347.141317.457316.903328.937408.971343.289304.061231.725173.959370.224300.789255.019000
Overige kortlopende verplichtingen 22.0822.9720.63820.02529.0419.16325.95525.75126.14825.88923.10721.27760.431135.327254.766437.254358.708407.17
Totaal kortlopende verplichtingen 4,078.8494,751.314,245.0433,795.4243,831.8543,435.4792,730.6332,569.3412,461.6292,068.6171,700.4491,129.6611,230.4831,699.0631,894.7174,354.0323,023.1582,680.445
Langlopende verplichtingen:
Langetermijnschulden 175.887218.71233.167259.001182.939000000001,5754,024.9532,425.6922,333.1992,361.43
Uitgestelde opbrengsten niet-vlottend 0035.04164.050000000001,423.4391,590.2481,625.1921,620.3621,622.124
Uitgestelde belastingverplichtingen niet-vlottend 1,245.1071,305.7181,187.8111,188.2191,189.7971,187.7521,184.6191,183.3091,182.8911,183.8351,190.2326.1328.1070.02150.76625.35332.23535.655
Overige niet-vlottende verplichtingen 11.5839.67911.28410.88994.297124.068159.195198.377325.965332.334317.1531,416.5671,407.1946.49310.9811.97812.9278.351
Totaal niet-vlottende verplichtingen 1,432.5771,534.1071,467.3031,522.1591,467.0331,311.821,343.8141,381.6861,508.8561,516.1691,507.3851,422.6991,415.3013,004.9535,676.9474,088.2153,998.7234,027.56
Totaal passiva 5,511.4266,285.4175,712.3465,317.5835,298.8874,747.2994,074.4473,951.0273,970.4853,584.7863,207.8342,552.362,645.7844,704.0167,571.6648,442.2477,021.8816,708.005
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 6,732.1756,536.0926,536.0926,536.0926,536.0926,536.0926,536.0926,345.726,282.8916,159.6976,038.9196,038.9196,038.9196,038.9196,038.9196,038.9195,591.5925,083.265
Ingehouden winsten 8,099.8177,372.0386,092.0235,838.495,449.8995,104.3084,793.0034,503.3753,6317,993.0172,510.5531,783.8431,479.5491,814.28981.3621,665.3562,083.8242,221.934
Overige gereserveerde algehele resultaten 6,935.9476,908.7526,560.8796,215.8235,956.0366,033.6565,660.8575,368.3965,886.7811,468.7521,029.0590000000
Overige totale aandeelhoudersvermogen 101.243101.02244.47165.82241.4341.26546.95147.11249.27220.8114,787.5485,385.6945,350.8334,741.925,346.5653,804.1143,679.1323,386.456
Totaal eigen vermogen van aandeelhouders 21,869.18220,917.90419,233.46518,656.22717,983.45717,715.32117,036.90316,264.60315,849.94415,642.27714,366.07913,208.45612,869.30112,595.11912,366.84611,508.38911,354.54810,691.655
Totaal eigen vermogen 22,678.13421,526.47819,384.47618,785.35318,103.04617,829.27317,154.76116,396.12316,000.38615,797.9714,539.14913,383.23213,060.91312,809.79212,583.22212,249.08812,107.42811,377.507
Totaal passiva en aandeelhoudersvermogen 28,189.5627,811.89525,096.82224,102.93623,401.93322,576.57221,229.20820,347.1519,970.87119,382.75617,746.98315,935.59215,706.69717,513.80820,154.88620,691.33519,129.30918,085.512