Taiwan Styrene Monomer Corporation

TWSE:1310.TW

12.1 (TWD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 612.087765.147253.124793.0221,477.0822,122.961,030.3442,199.9552,673.3471,511.8981,662.411911.5511,143.31,555.533958.3091,063.529893.46948.236
Kortetermijnbeleggingen 312.516260.127477.395192.47249.028158.767327.624173.984250.922218.588145.52169.247183.428347.714380.066188.731403.322429.122
Liquide middelen en kortetermijnbeleggingen 924.6031,025.274730.519985.4921,726.112,281.7271,357.9682,373.9392,924.2691,730.4861,807.9311,080.7981,326.7281,903.2471,338.3751,252.261,296.7821,377.358
Nettovorderingen 830.0681,198.451,139.9541,088.6821,060.2711,137.7742,098.6631,908.027988.686942.012,040.6291,803.6492,459.0622,797.7623,174.7922,169.7743,178.4673,320.421
Voorraad 846.792568.79826.641431.29433.637709.853675.527557.623788.24503.6711,263.0081,459.1951,477.2722,000.3341,905.6611,824.012,391.4362,299.865
Overige vlottende activa 84.9710.2670.0080.1230.5240.4891.573.974.0812.0013.771587.87686.84485.87266.767997.904965.979875.78
Totaal vlottende activa 2,686.4342,792.7812,697.1222,505.5873,220.5424,129.8434,133.7284,843.5594,705.2763,178.1685,115.3394,931.5125,949.9066,787.2156,485.5956,243.9487,832.6647,873.424
Niet-vlottende activa:
Materiële vaste activa, netto 3,513.7333,671.7033,862.9733,960.2634,004.774,133.8954,185.8514,436.2134,719.7273,760.0743,519.5143,567.5473,630.7762,692.9371,945.5132,468.2642,296.122,498.18
Goodwill 00000-3.57-3.736-3.918-4.375-4.59349.80759.74675.23284.4820000
Immateriële activa 5.3966.1257.9329.5712.09819.66920.25416.90118.21317.59121.6099.4260.62249.87819.49117.64938.15536.398
Goodwill en immateriële activa 5.3966.1257.9329.5712.09816.09916.51812.98313.83812.99871.41669.166135.854134.3619.49117.64938.15536.398
Langetermijnbeleggingen 3,157.6421,860.5321,971.4082,199.5811,545.7851,797.2551,875.4571,906.3021,780.3961,624.9171,979.0781,379.0521,478.011,886.6371,814.9491,730.7562,734.7241,341.013
Belastingvorderingen 350.095230.61130.86818.09337.06833.17232.88626.478195.926363.025273.945165.663150.959168.452236.599356.605342.504354.758
Overige niet-vlottende activa 49.904350.897628.887319.276484.079399.782680.251562.219480.371460.639347.795489.706414.385924.9821,176.044480.156753.284915.309
Totaal niet-vlottende activa 7,076.776,119.8676,602.0686,506.7836,083.86,380.2036,790.9636,944.1957,190.2586,221.6536,191.7485,671.1345,809.9845,807.3685,192.5955,153.436,164.7875,145.658
Totaal activa 9,763.2048,912.6489,299.199,012.379,304.34210,510.04610,924.69111,787.75411,895.5349,399.82111,307.08710,602.64611,759.8912,594.58311,678.1911,397.37813,997.45113,019.082
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,011.679895.858977.716798.3051,097.5771,229.3261,146.2711,748.8771,373.706616.0771,761.305844.9021,134.0911,510.5671,856.734897.0911,574.6781,814.155
Kortlopende schulden 1,123.026822.2365.679103.393363.068437.727658.12688.1021,717.8051,451.531,967.4393,079.5743,091.6813,110.5482,383.6943,682.0423,146.6273,213.744
Belastingschulden 1.8737.6690.03136.02269.184243.073188.106156.6616.769002.3491.64360.08313.26640.547122.01112.836
Uitgestelde opbrengsten 40.88169.849229.9315.067343.936716.04518.239589.149348.46269.062387.478372.881394.896625.22501.219491.173387.946382.527
Overige kortlopende verplichtingen 120.2992.71840.87914.534.47310.2720.86921.60647.44269.30270.282405.687396.58386.785380.53612.575172.123184.405
Totaal kortlopende verplichtingen 2,295.8841,890.6251,614.1741,231.2951,809.0542,393.3632,343.4993,047.7343,487.4132,405.9714,186.5044,703.0445,017.2485,633.125,122.1835,082.8815,281.3745,594.831
Langlopende verplichtingen:
Langetermijnschulden 52.04573.71874.41582.06414.629140.902731.921951.331,590.3231,106.374159.302593.966752.986460.635165.469294.867207.64595.151
Uitgestelde opbrengsten niet-vlottend 12.0550.10664.159.20864.44574.12692.92155.88245.08547.76882.2810000000
Uitgestelde belastingverplichtingen niet-vlottend 174.806175.293174.659175.127175.634173.509173.509173.509173.509173.509215.5240000000
Overige niet-vlottende verplichtingen 45.3460.660.7160.9511.3210.73210.5799.16613.8897.4350.3256.838281.21446.942202.668287.129119.48998.497
Totaal niet-vlottende verplichtingen 284.247299.777313.89317.349266.028399.2691,008.931,189.8871,822.8061,335.086457.407850.8041,034.2507.577368.137581.996327.129693.648
Totaal passiva 2,580.1312,190.4021,928.0641,548.6442,075.0822,792.6323,352.4294,237.6215,310.2193,741.0574,643.9115,553.8486,051.4486,140.6975,490.325,664.8775,608.5036,288.479
Eigen vermogen:
Preferente aandelen 000003.437000415.334122.4220000000
Gewone aandelen 5,278.6985,278.6985,278.6985,278.6985,278.6985,278.6985,278.6985,278.6985,278.6985,278.6985,027.3315,027.3315,803.4035,803.4035,803.4036,064.7935,889.6935,665.293
Ingehouden winsten -3.015688.9831,167.693581.9611,320.2682,127.6431,378.1911,531.537695.121413.081942.331-567.092-1,429.007-583.003-188.00314.7171,345.8981,410.537
Overige gereserveerde algehele resultaten 1,647.372462.174672.7411,360.147380.668-3.437562.9302.793137.14-415.334-122.4220000000
Overige totale aandeelhoudersvermogen 4.4342.01941.84133.04642.41856.97868.14270.33984.646-330.688-33.734-225.045462.218418.298153.489-741.668812.447-653.387
Totaal eigen vermogen van aandeelhouders 6,927.4856,471.8747,160.9737,253.8527,022.0527,463.3197,287.9317,183.3676,195.6055,361.0915,935.9284,235.1944,836.6145,638.6985,768.8895,337.8428,048.0386,422.443
Totaal eigen vermogen 7,183.0736,722.2467,371.1267,463.7267,229.267,717.4147,572.2627,550.1336,585.3155,658.7646,663.1765,048.7985,708.4426,453.8866,187.875,732.5018,388.9486,730.603
Totaal passiva en aandeelhoudersvermogen 9,763.2048,912.6489,299.199,012.379,304.34210,510.04610,924.69111,787.75411,895.5349,399.82111,307.08710,602.64611,759.8912,594.58311,678.1911,397.37813,997.45113,019.082