Ocean Plastics Co., Ltd.

TWSE:1321.TW

33.9 (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 682.323471.82414.256413.217460.375382.434332.844314.474322.924262.191321.053208.975249.027259.501297.156309.486175.355352.612
Kortetermijnbeleggingen 336.416289.833436.198298.42199.868118.46614.16615.55290.61425.30120.16320.02520.08321.83924.13519.87305.142540.492
Liquide middelen en kortetermijnbeleggingen 1,018.739761.653850.454711.637660.243500.9347.01330.026413.538287.492341.216229269.11281.34321.291329.356480.497893.104
Nettovorderingen 616.968687.118835.942776.715684.922803.673635.591461.331391.567417.259669.411583.986573.636491.463695.588514.333677.246564.915
Voorraad 453.91532.006968.087510.217511.897520.864527.22688.416586.547714.141607.171623.533661.828948.508712.198721.457873.942665.76
Overige vlottende activa 35.7283.3752.4187.7150.0850.10125.82938.77583.85473.76680.51955.34588.771109.86570.033104.1872.89848.672
Totaal vlottende activa 2,125.3451,984.1522,656.9012,006.2841,857.1471,825.5381,535.651,518.4571,405.891,467.3571,678.1541,491.8641,593.3451,831.1761,799.111,669.3262,104.5832,172.451
Niet-vlottende activa:
Materiële vaste activa, netto 3,432.0913,543.9593,647.0443,574.1313,675.3213,822.8434,082.2824,230.5334,238.6687,196.1166,281.3656,469.6086,503.1482,007.162,049.6621,338.7041,101.537946.854
Goodwill 000000004,162.795000000000
Immateriële activa 0000043.2445.50447.22152.41754.9254.38658.97862.33458.61764.84766.73753.25798.809
Goodwill en immateriële activa 05,342.0425,449.2535,167.9955,003.58343.2445.50447.2214,215.21254.9254.38658.97862.33458.61764.84766.73753.25798.809
Langetermijnbeleggingen 6,336.814852.0691,181.9141,399.304957.8051,136.814675.668663.895578.994674.585704.054714.17630.83659.447615.323563.312288.44254.112
Belastingvorderingen 29.35513.32612.39712.61712.07913.17812.70411.74410.04911.27710.60320.02520.08321.83924.13519.87305.142540.492
Overige niet-vlottende activa 8.0934.41432.67414.83169.5714,805.3224,527.164,446.8687.098332.587306.4630.9641.2651.1060.366689.1514.7183.351
Totaal niet-vlottende activa 9,806.359,785.8110,323.28210,168.8789,718.3599,821.3979,343.3189,400.2539,130.0218,269.4857,356.8717,263.7457,217.662,748.1692,754.3332,677.7672,453.0892,343.618
Totaal activa 11,931.69511,769.96212,980.18312,175.16211,575.50611,646.93510,878.96810,918.7110,535.9119,736.8429,035.0258,755.6098,811.0054,579.3454,553.4434,347.0934,557.6724,516.069
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 451.893391.036755.622450.891437.108561.935385.492430.954344.454379.895539.867435.976461.078574.74604.336398.185890.629621.867
Kortlopende schulden 417.171433.382443.665309.002409.26315.995386.968489.007539.576430.379457.533535.308565.998529.908347.39741571.5148.829
Belastingschulden 5.925.09416.5147.2640.3390.7090.00970.830.0420.035.2630000000
Uitgestelde opbrengsten 21.387253.572272.465242.796211.762217.504182.458291.379572.84279.068191.471116.491155.414125.68175.267116.166159.093160.893
Overige kortlopende verplichtingen 219.7022.1492.292.19610.6990.6920.5396.97410.44614.750.58643.01465.49734.97137.472135.59637.77432.25
Totaal kortlopende verplichtingen 1,110.1531,080.1391,474.0421,004.8851,068.8291,096.126955.4571,218.3141,467.3161,104.0921,189.4571,130.7891,247.9871,265.2981,264.4721,064.9471,158.996963.839
Langlopende verplichtingen:
Langetermijnschulden 3,737.3653,532.5983,287.132,997.0593,577.9383,686.2533,660.123,374.7742,680.2161,850890730500300200335960
Uitgestelde opbrengsten niet-vlottend 85.87533.7832.1214.591115.278117.64103.83594.29966.115468.275511.7330000000
Uitgestelde belastingverplichtingen niet-vlottend 700.7961,101.1981,439.6521,428.6471,413.141,396.5141,375.7631,362.0771,358.1971,356.1151,351.9740000000
Overige niet-vlottende verplichtingen 103.44108.387120.642125.86372.8553.3033.3033.3031.8011.8011.5611,787.6141,794.588423.81412.559368.254410.707403.737
Totaal niet-vlottende verplichtingen 4,627.4764,775.9634,879.5444,566.165,179.2115,203.715,143.0214,834.4534,106.3293,676.1912,755.2682,517.6142,294.588723.81612.559703.254506.707403.737
Totaal passiva 5,737.6295,856.1026,353.5865,571.0456,248.046,299.8366,098.4786,052.7675,573.6454,780.2833,944.7253,648.4033,542.5751,989.1081,877.0311,768.2011,665.7031,367.576
Eigen vermogen:
Preferente aandelen 00000025.86800013.6720000000
Gewone aandelen 2,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2832,272.2822,272.282
Ingehouden winsten 550.254348.542572.207529.654-172.3432,688.8392,570.2642,664.9152,729.0042,705.682,860.086-127.35-167.767-141.45-6.452228.867492.785772.897
Overige gereserveerde algehele resultaten 3,407.0383,321.4323,803.9613,830.5773,255.9233,392.619-25.8682,935.3872,967.6216.993-13.6720000000
Overige totale aandeelhoudersvermogen -35.509-28.397-21.854-28.397-28.397-3,006.642-62.057-3,006.642-3,006.642-28.397-42.0692,962.2733,163.914459.404410.58177.742126.336101.421
Totaal eigen vermogen van aandeelhouders 6,194.0665,913.866,626.5976,604.1175,327.4665,347.0994,780.494,865.9434,962.2664,956.5595,090.35,107.2065,268.432,590.2372,676.4122,578.8922,891.4033,146.6
Totaal eigen vermogen 6,194.0665,913.866,626.5976,604.1175,327.4665,347.0994,780.494,865.9434,962.2664,956.5595,090.35,107.2065,268.432,590.2372,676.4122,578.8922,891.9693,148.493
Totaal passiva en aandeelhoudersvermogen 11,931.69511,769.96212,980.18312,175.16211,575.50611,646.93510,878.96810,918.7110,535.9119,736.8429,035.0258,755.6098,811.0054,579.3454,553.4434,347.0934,557.6724,516.069