USI Corporation

TWSE:1304.TW

13.6 (TWD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 11,059.54611,498.41510,365.3539,637.0077,927.4038,123.3048,473.86211,924.3037,267.3827,485.5798,679.75211,259.62310,412.8127,789.5286,805.3936,338.1087,603.6887,430.46
Kortetermijnbeleggingen 4,860.7173,261.6096,237.3246,025.0557,038.9435,682.0425,956.7657,235.2587,891.767,142.2110,223.9147,404.5448,543.6258,961.6598,215.3294,602.1644,836.6924,690.983
Liquide middelen en kortetermijnbeleggingen 15,920.26314,760.02416,602.67715,662.06214,966.34613,805.34614,430.62719,159.56115,159.14214,627.78918,903.66618,664.16718,956.43716,751.18715,020.72210,940.27212,440.3812,121.443
Nettovorderingen 5,847.519,438.36510,921.2988,571.438,117.179,579.0239,185.2818,036.647,765.3929,144.9598,625.1857,250.5477,709.9947,713.3216,757.8185,874.8487,849.8126,223.632
Voorraad 6,922.9897,199.6547,599.8434,296.2284,919.5066,703.1046,857.7546,669.4076,967.1818,640.1578,290.8637,171.2487,807.2796,402.6925,425.5345,194.998,159.9396,302.092
Overige vlottende activa 866.738216.907243.2229.83417.1511.90910.76614.56727.33568.368114.114501.09538.635595.288523.563716.4561,289.2331,396.992
Totaal vlottende activa 29,557.531,614.9535,367.0428,539.55428,020.17230,099.38230,484.42833,880.17529,919.0532,481.27335,933.82833,587.05235,012.34531,462.48827,727.63722,726.56629,739.36426,044.159
Niet-vlottende activa:
Materiële vaste activa, netto 28,951.4327,154.75825,198.35224,051.89824,114.41923,825.23923,758.49522,804.81422,600.21120,241.26617,556.16616,244.66915,936.52313,613.7213,399.72413,225.23612,453.02712,491.776
Goodwill 270.211270.211270.211269.026269.026269.026269.026269.026310.891310.891309.026308.423301.974315.405308.9550281.247247.747
Immateriële activa 50.40348.27443.98310.80717.00433.37793.349148.594173.047186.463177.709293.001517.867450.224585.3011,006.206452.626433.953
Goodwill en immateriële activa 320.614318.485314.194279.833286.03302.403362.375417.62483.938497.354486.735601.424819.841765.629894.2561,006.206733.873681.7
Langetermijnbeleggingen 12,425.00412,769.2915,767.54816,929.53710,336.8917,490.5162,135.742-3,984.5-5,202.222-3,696.015-7,577.723-4,259.45-5,758.731-5,603.939-4,663.86-1,503.0264,226.3883,312.212
Belastingvorderingen 1,985.4681,341.378651.568573.85643.715633.334632.062742.972806.801808.703754.59349.22165.375190.41190.302244.52222.16227.439
Overige niet-vlottende activa 832.7894,542.7087,526.5116,949.8448,024.5596,640.1647,020.7498,134.3948,890.3688,082.4311,443.548,680.3469,779.50110,431.07410,285.5386,918.093-17,435.448-16,713.127
Totaal niet-vlottende activa 44,515.30546,126.61949,458.17348,784.96243,405.61438,891.65633,909.42328,115.327,579.09625,933.73822,663.31121,316.2120,842.50919,396.89420,105.9619,891.03117,435.44816,713.127
Totaal activa 74,072.80577,741.56984,825.21377,324.51671,425.78668,991.03864,393.85161,995.47557,498.14658,415.01158,597.13954,903.26255,854.85450,859.38247,833.59742,617.59749,772.99845,855.887
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,017.6673,349.043,528.9983,406.8372,757.3683,392.6873,965.4443,581.0363,130.5873,252.9144,774.4583,518.5463,235.2573,895.5733,537.4342,196.1574,956.5723,647.556
Kortlopende schulden 5,683.8452,793.3745,909.8573,458.2587,125.768,766.6386,236.3748,106.6369,088.49710,940.40710,093.6867,362.6089,049.7936,523.3824,941.3429,144.5514,798.9425,668.272
Belastingschulden 645.0441,647.0452,618.6321,211.35517.913270.351370.062341.875278.882178.004295.733218.593715.427762.874389.213275.546339.21760.837
Uitgestelde opbrengsten 196.1293,937.2585,516.833,448.6072,460.0752,179.0362,382.2462,330.6051,968.3451,975.6732,014.4231,619.3742,346.8412,385.0511,951.1941,194.6551,466.583968.42
Overige kortlopende verplichtingen -711.017-4,299.9-5,553.738-2,228.063-2,984.102-3,349.615-4,056.276-3,649.227-3,227.031-3,242.476-4,951.987-2,529.767-2,502.433-3,415.411-186.856-2,247.31-2,088.448-1,762.519
Totaal kortlopende verplichtingen 11,849.33510,775.85715,549.57712,703.82612,634.38214,651.78412,863.29414,291.96114,369.86716,357.43617,000.77113,707.916,080.14214,047.04214,169.76112,759.75614,429.43812,230.122
Langlopende verplichtingen:
Langetermijnschulden 10,436.41713,621.04210,830.59812,969.47116,523.06114,610.22812,893.31511,240.8647,202.6876,072.8235,510.86,110.856,561.7945,404.9065,552.1986,314.4127,490.4938,945.716
Uitgestelde opbrengsten niet-vlottend 1,992.525891.0971,287.3841,428.4281,610.2421,794.6032,419.8972,987.1223,332.1023,314.4293,322.7380000000
Uitgestelde belastingverplichtingen niet-vlottend 1,298.0841,395.1751,417.9221,434.8061,411.9011,408.2321,329.711,371.5041,439.0081,477.0931,370.7550000000
Overige niet-vlottende verplichtingen 944.512133.51394.77164.34269.25371.48279.21684.538105.18995.36598.5473,895.4953,811.7723,786.7273,833.4263,638.353,554.5053,397.767
Totaal niet-vlottende verplichtingen 14,671.53816,040.82713,630.67515,897.04719,614.45717,884.54516,722.13815,684.02812,078.98610,959.7110,302.8410,006.34510,373.5669,191.6339,385.6249,952.76211,044.99812,343.483
Totaal passiva 26,520.87326,816.68429,180.25228,600.87332,248.83932,536.32929,585.43229,975.98926,448.85327,317.14627,303.61123,714.24526,453.70823,238.67523,555.38522,712.51825,474.43624,573.605
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 11,887.63511,887.63511,887.63511,887.63511,887.63511,887.63511,654.54411,426.02411,426.02411,426.02411,426.02411,426.0249,935.6738,639.7167,714.0327,714.0327,714.0327,714.032
Ingehouden winsten 7,155.2278,377.899,881.2145,606.4624,346.643,513.9433,548.8043,367.8212,947.8915,571.2372,795.793,310.3114,455.1913,701.7772,504.0531,964.5173,090.0562,186.128
Overige gereserveerde algehele resultaten 4,272.8984,278.9253,823.8783,670.4292,648.0613,024.6063,172.9593,408.5573,126.699616.118316.9490000000
Overige totale aandeelhoudersvermogen -61.475-48.358-130.728-173.748-222.833-239.031-251.9-475.606-475.606-292.4012,560.042,565.8241,855.1852,358.5112,568.883218.3451,698.612969.408
Totaal eigen vermogen van aandeelhouders 23,254.28524,496.09225,461.99920,990.77818,659.50318,187.15318,124.40717,726.79617,025.00817,320.97817,098.80317,302.15916,246.04914,700.00412,786.9689,896.89412,502.710,869.568
Totaal eigen vermogen 47,543.950,924.88555,644.96148,723.64339,176.94736,454.70934,808.41932,019.48631,049.29331,097.86531,293.52831,189.01729,401.14627,620.70724,278.21219,905.07924,298.56221,282.282
Totaal passiva en aandeelhoudersvermogen 74,072.80577,741.56984,825.21377,324.51671,425.78668,991.03864,393.85161,995.47557,498.14658,415.01158,597.13954,903.26255,854.85450,859.38247,833.59742,617.59749,772.99845,855.887