De Licacy Industrial Co., Ltd.

TWSE:1464.TW

14.2 (TWD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,027.6811,351.9271,045.5691,223.481,343.347729.8321,596.151905.877532.494902.261500.341251.881346.965182.609250.352464.038429.781502.434
Kortetermijnbeleggingen 1,212.671,913.8543,672.0632,920.5852,511.8132,140.858958.0271,219.414889.15968.5367.99623.3045.9029.37312.38794.46535.33441.097
Liquide middelen en kortetermijnbeleggingen 2,240.3513,265.7814,717.6324,144.0653,855.162,870.692,554.1782,125.2911,421.653970.791568.337275.185352.867191.982262.739558.503465.115543.531
Nettovorderingen 2,206.5372,332.5872,345.3472,254.2872,800.972,530.7582,026.6231,824.5071,642.1521,672.641884.269802.651844.163733.737520.183533.789483.595370.426
Voorraad 3,331.3293,838.5114,151.6933,210.7973,350.1472,838.0342,400.0131,981.3492,072.9221,927.8551,485.8161,337.3581,536.0441,384.1661,090.9271,023.1531,038.667900.045
Overige vlottende activa 121.259517.398531.231561.533728.14569.578439.803138.02798.44870.81147.74246.27102.729107.79499.04373.67157.60455.796
Totaal vlottende activa 7,899.4769,954.27711,745.90310,170.68210,734.4178,809.067,420.6176,069.1745,235.1754,642.0982,986.1642,461.4642,835.8032,417.6791,972.8922,189.1162,044.9811,869.798
Niet-vlottende activa:
Materiële vaste activa, netto 5,943.325,405.2855,913.6386,292.7236,731.8046,035.3825,413.2943,531.2472,887.5972,551.5811,828.5331,799.7621,920.1721,980.1792,172.2842,098.1342,126.2082,036.011
Goodwill 12.99612.99612.99612.99612.44412.44412.44412.44412.44412.44400000000
Immateriële activa 13.73712.20313.6415.42317.29418.61920.44622.81920.221.351.217237.508226.236171.645186.37556.98354.98754.914
Goodwill en immateriële activa 26.73325.19926.63628.41929.73831.06332.8935.26332.66413.7941.217237.508226.236171.645186.37556.98354.98754.914
Langetermijnbeleggingen 994.795658.072-2,749.537-1,979.75-1,647.779-1,281.713-532.499-805.772-626.246-43.138175.176180.994157.88742.15239.138-56.12-11.3970.447
Belastingvorderingen 178.937222.414322.206283.407175.568153.55483.0739.56344.47917.0585.5960.2590.260.2590.30694.46535.33441.097
Overige niet-vlottende activa 54.6312,067.9313,873.0633,051.9492,759.92,876.6351,584.5842,222.7681,584.691843.854530.657140.19136.801122.196121.60299.13290.08390.825
Totaal niet-vlottende activa 7,198.4168,378.9017,386.0067,676.7488,049.2317,814.9216,581.3395,023.0693,923.1853,383.1492,541.1792,358.7132,441.3562,316.4312,519.7052,292.5942,295.2152,223.294
Totaal activa 15,097.89218,333.17819,131.90917,847.4318,783.64816,623.98114,001.95611,092.2439,158.368,025.2475,527.3434,820.1775,277.1594,734.114,492.5974,481.714,340.1964,093.092
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 450.258591.319917.277749.534791.306617.872654.917554.453588.019502.477286.276182.336171.893160.734113.038191.676174.751122.802
Kortlopende schulden 4,212.1385,566.5297,160.8427,242.5687,066.9448,079.0384,413.9533,477.8642,386.9422,445.8982,041.2611,463.6581,504.6811,050.259765.4981,069.622867.492744.325
Belastingschulden 38.54335.9142.5575.81414.75863.04128.21429.005169.46587.9249.655.5344.6663.5334.8154.2934.3194.367
Uitgestelde opbrengsten 38.5430741.097708.44293563.0411,108.3241,087.3241,303.351764.114348.311256.06325.723338.96314.381238.255159.456147.758
Overige kortlopende verplichtingen 715.298895.119141.629408143.4411,278.5249.60528.43947.946208.27519.32577.46970.433107.31546.80647.0569.16658.828
Totaal kortlopende verplichtingen 5,416.2377,052.9678,960.8459,108.5448,936.69110,038.4716,226.7995,148.084,326.2583,920.7642,695.1731,979.5232,072.731,657.2681,239.7231,546.6031,270.8651,073.713
Langlopende verplichtingen:
Langetermijnschulden 3,713.8024,793.3524,656.4753,195.443,430.9941,225.5921,972.061761.627255.52184.367721040000030
Uitgestelde opbrengsten niet-vlottend 356.023659.97272.03249.37634.85311.46113.53515.72519.16515.131133.592-10400000105.367
Uitgestelde belastingverplichtingen niet-vlottend 35.72158.34241.39136.82353.13560.91448.89557.93882.64782.25766.20951.75360.96562.29172.74290.677103.21897.355
Overige niet-vlottende verplichtingen -339.66751.6282.2432.46459.79466.334110.508169.745193.092158.7391.499220.21195.035237.198287.49586.00391.550.21
Totaal niet-vlottende verplichtingen 3,765.8795,563.2944,772.1413,284.1033,578.7761,364.3012,144.9991,005.035550.425340.494273.3271.964156299.489360.237176.68194.768232.932
Totaal passiva 9,182.11612,616.26113,732.98612,392.64712,515.46711,402.7728,371.7986,153.1154,876.6834,261.2582,968.4732,251.4872,228.731,956.7571,599.961,723.2831,465.6331,306.645
Eigen vermogen:
Preferente aandelen 008.347000000000000000
Gewone aandelen 4,076.3963,845.6573,845.6573,845.6573,845.6573,345.6573,345.6572,776.8162,407.2222,168.962,168.962,168.962,274.391,568.491,568.491,648.491,755.961,755.96
Ingehouden winsten 321.964373.488172.602-162.083578.53241.374563.656553.055713.633920.876-55.63765.30453.07927.5236.14-127.06140.873-30.812
Overige gereserveerde algehele resultaten 123.953400.64-8.347261.51151.764228.05432.626290.263385.36468.3325.2460000000
Overige totale aandeelhoudersvermogen 482.698549.329636.178759.233897.163607.9561,007.933656.851169.725116.92237.057163.482192.718171.453173.191270.619142.745177.027
Totaal eigen vermogen van aandeelhouders 5,005.0115,169.1144,654.4374,704.3175,473.1144,423.0414,949.8724,276.9853,675.9443,275.0862,375.6262,397.7462,520.1871,767.4631,777.8211,792.0481,939.5781,902.175
Totaal eigen vermogen 5,559.7535,716.9175,398.9235,454.7836,268.1815,221.2095,630.1584,939.1284,281.6773,763.9892,558.872,568.693,048.4292,777.3532,892.6372,758.4272,874.5632,786.447
Totaal passiva en aandeelhoudersvermogen 15,097.89218,333.17819,131.90917,847.4318,783.64816,623.98114,001.95611,092.2439,158.368,025.2475,527.3434,820.1775,277.1594,734.114,492.5974,481.714,340.1964,093.092