Tex-Ray Industrial Co., Ltd.

TWSE:1467.TW

10.5 (TWD) • At close November 5, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,102.6882,144.6131,343.0261,368.318843.457870.8641,073.8811,028.0531,294.5271,583.5171,104.688846.2571,093.579684.518635.875
Kortetermijnbeleggingen 226.088178.19172.533202.376292.456151.10199.37996.72939.0118.29193.488363.55442.433196.73297.641
Liquide middelen en kortetermijnbeleggingen 2,328.7762,322.8031,515.5591,570.6941,135.9131,021.9651,173.261,124.7821,333.5381,591.8081,198.1761,209.8071,536.012881.25733.516
Nettovorderingen 970.797982.4671,539.5931,370.8391,312.4621,776.6451,430.3531,434.11,330.0141,385.9391,240.6581,348.4391,377.831,101.7041,039.017
Voorraad 925.691,250.8171,495.2121,328.5991,313.0421,421.0771,218.3311,264.2041,476.2971,438.8231,312.2151,361.9081,297.5381,344.879968.892
Overige vlottende activa 6.657.5533.1494.1735.2063.682.9941.9536.6748.9395.209142.97653.41156.0735.247
Totaal vlottende activa 4,231.9134,563.644,553.5134,274.3053,766.6234,223.3673,824.9383,825.0394,146.5234,425.5093,756.2584,063.134,264.7913,383.9032,776.672
Niet-vlottende activa:
Materiële vaste activa, netto 2,113.8122,237.7342,265.7052,234.1982,421.0862,248.2692,364.4982,351.5592,091.5392,158.812,072.7341,887.4441,950.1991,690.6121,360.684
Goodwill 205.624214.187201.282207.539222.861231.567229.121249.81257.942258.22256.907266.532294.447294.447310.723
Immateriële activa 35.63742.70646.95655.44431.80431.325253.957273.923285.3278.221274.69539.77132.31738.61780.646
Goodwill en immateriële activa 241.261256.893248.238262.983254.665262.892253.957273.923285.3278.221274.695306.303326.764333.064391.369
Langetermijnbeleggingen -141.728-110.867-123.648-146.878-128.41724.9334.026-3.09346.037200.2491.013-266.79-364.50659.987228.456
Belastingvorderingen 29.05958.05961.78345.833.13729.50231.59963.82161.73245.5557.15617.3487.6510.03815.675
Overige niet-vlottende activa 1,792.4841,651.031,612.6741,442.512638.025317.671331.684245.094310.732132.679131.481502.083575.903414.341336.932
Totaal niet-vlottende activa 4,034.8884,092.8494,064.7523,838.6153,218.4962,883.2672,985.7642,931.3042,795.342,815.5092,537.0792,446.3882,496.012,508.0422,333.116
Totaal activa 8,266.8018,656.4898,618.2658,112.926,985.1197,106.6346,810.7026,756.3436,941.8637,241.0186,293.3376,509.5186,760.8015,891.9455,109.788
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 447.123536.277872.157724.724587.664786.098606.187589.673470.325601.409560.376711.281747.149594.361434.355
Kortlopende schulden 2,129.1491,886.1842,000.8171,563.7941,670.2891,744.1971,686.0311,731.9831,737.5021,169.5591,422.7611,276.2121,248.9842,418.4221,000.601
Belastingschulden 32.58360.881101.41799.15282.96668.78189.46674.17249.77531.53600000
Uitgestelde opbrengsten 485.582111.828532.107726.856464.3768.781499.197633.818426.414494.868431.442218.655463.185223.574263.346
Overige kortlopende verplichtingen 9.148433.6437.965.6014.046448.6557.24916.10710.8166.2627.005589.081413268.063157.982
Totaal kortlopende verplichtingen 3,071.0022,967.9323,413.0413,020.9752,726.3693,047.7312,798.6642,971.5812,645.0572,272.0982,421.5842,795.2292,872.3183,504.421,856.284
Langlopende verplichtingen:
Langetermijnschulden 2,101.6962,273.1461,880.9431,531.1941,506.521,373.141,686.4691,277.6921,429.7471,700.5871,348.298811.6321,135.166197.6811,118.89
Uitgestelde opbrengsten niet-vlottend 6.754021.93327.70131.64931.49233.22641.67351.42363.66679.6250000
Uitgestelde belastingverplichtingen niet-vlottend 178.483180.307178.613178.36366.04369.94170.12970.85170.02971.38870.7530000
Overige niet-vlottende verplichtingen 6.30816.14916.96622.68785.37549.2264.823.1541.7841.7840.607306.243356.292264.102254.418
Totaal niet-vlottende verplichtingen 2,293.2412,469.6022,098.4551,759.9451,689.5871,523.7991,794.6441,393.371,552.9831,837.4251,499.2831,117.8751,491.458461.7831,373.308
Totaal passiva 5,364.2435,437.5345,511.4964,780.924,415.9564,571.534,593.3084,364.9514,198.044,109.5233,920.8673,913.1044,363.7763,966.2033,229.592
Eigen vermogen:
Preferente aandelen 000049.968372.604243.29945.6225.63161.333202.7340000
Gewone aandelen 2,336.2472,336.2472,336.2472,336.2472,336.2472,336.2472,102.6222,102.6222,102.6222,102.6221,682.0981,682.0981,649.1151,649.1151,649.115
Ingehouden winsten 94.321259.608281.648473.64307.142228.457288.86368.404353.283453.267333.695183.579149.73585.639-80.166
Overige gereserveerde algehele resultaten 511.123415.964268.899527.151-49.968-372.604-243.299-45.62-25.63-161.333-202.7340000
Overige totale aandeelhoudersvermogen -177.17847.87347.888-149-197.865-152.097-285.106-181.805-245.782-23.891-141.5558.12858.27936.914148.484
Totaal eigen vermogen van aandeelhouders 2,764.5133,059.6922,934.6823,188.0382,445.5242,412.6072,106.3762,289.2212,210.1232,531.9981,874.2431,923.8051,857.1291,771.6681,717.433
Totaal eigen vermogen 2,902.5583,218.9553,106.7693,3322,569.1632,535.1042,217.3942,391.3922,743.8233,131.4952,372.472,596.4142,397.0251,925.7421,880.196
Totaal passiva en aandeelhoudersvermogen 8,266.8018,656.4898,618.2658,112.926,985.1197,106.6346,810.7026,756.3436,941.8637,241.0186,293.3376,509.5186,760.8015,891.9455,109.788