Hota Industrial Mfg. Co., Ltd.

TWSE:1536.TW

59.7 (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 831.5761,072.452947.91795.667526.8551,295.721,289.8711,703.596684.584552.882352.023417.316680.557270.998212.111238.762211.721203.147
Kortetermijnbeleggingen 104.615299.145160.671210.063176.53185.058152.197123.793219.44396.83229.929107.39683.224262.768221.755107.844285.15268.602
Liquide middelen en kortetermijnbeleggingen 936.1911,371.5971,108.5811,005.73703.3851,480.7781,442.0681,827.389904.027649.714381.952524.712763.781533.766433.866346.606496.871471.749
Nettovorderingen 2,740.4183,148.1792,813.1882,347.0842,329.8092,137.4611,830.6031,334.991,292.3961,057.858920.1912.713834.579917.672769.336280.381,032.053958.985
Voorraad 3,337.1343,454.9223,056.7861,898.0271,883.5241,756.041,663.8031,257.6311,273.1391,193.9251,072.2231,059.796867.849675.103702.116812.279662.066412.653
Overige vlottende activa 136.429254.443265.115158.616226.592193.225192.643157.75698.53379.142106.06487.38399.35253.24150.1321,004.23938.51834.044
Totaal vlottende activa 7,150.1728,229.1417,243.675,409.4575,143.315,567.5045,129.1174,577.7663,568.0952,980.6392,480.3392,584.6042,565.5612,179.7821,955.452,443.5042,229.5081,877.431
Niet-vlottende activa:
Materiële vaste activa, netto 14,559.27614,075.91713,069.10311,857.89811,021.0928,907.328,104.5115,410.5464,465.9673,667.2483,471.3953,167.1622,947.0352,800.1212,883.8073,027.4723,108.9912,604.817
Goodwill 00000-46.999-50.533-50.822-44.948-46.756000012.48852.22583.5180
Immateriële activa 7.957.5526.6937.03414.14261.17160.756.03549.26248.8249.04811.6650.9643.5076.058.83611.57214.115
Goodwill en immateriële activa 7.957.5526.6937.03414.14214.17210.1675.2134.3142.0689.04811.6650.9643.50718.53861.06195.0914.115
Langetermijnbeleggingen 476.89364.766217.438177.742222.716246.093251.202270.72142.335211.96249.438195.504247.764-100.326-105.25265.648-6.063137.116
Belastingvorderingen 48.39148.29662.15963.34357.20257.58148.04945.58449.60745.01652.657-11.66583.224262.768221.7550285.15272.483
Overige niet-vlottende activa 84.589500.639504.556835.701697.39783.23679.368664.453718.444440.657328.274236.51846.4345.47435.593070.35468.334
Totaal niet-vlottende activa 15,177.09914,697.1713,859.94912,941.71812,012.54210,008.3969,093.2976,396.5165,380.6674,366.9494,110.8123,599.1843,325.4173,011.5443,054.4413,154.1813,553.5223,096.865
Totaal activa 22,327.27122,926.31121,103.61918,351.17517,155.85215,575.914,222.41410,974.2828,948.7627,347.5886,591.1516,183.7885,890.9785,191.3265,009.8915,703.4895,783.034,974.296
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 508.13899.4741,104.467578.526489.771798.505777.071669.838448.398581.271264.323268.338279.825218.664247.545255.797550.445511.655
Kortlopende schulden 5,006.1514,911.7124,680.5313,138.6282,089.6742,182.9331,776.6131,520.011878.585799.461,186.7011,210.4021,177.887916.349794.8532,011.5391,767.379904.984
Belastingschulden 98.328138.04365.1642.97499.45851.82571.669144.722193.673103.43357.47215.4712.3880.380.14211.58353.21714.448
Uitgestelde opbrengsten 98.3280929.631480.687639.41351.825744.721735.045636.33305.683190.944173.49141.622141.448107.656162.016198.993164.189
Overige kortlopende verplichtingen 638.919952.47318.7492,228.4491,624.831,270.44755.111210.843267.227191.84816.804609.38549.351448.756705.45342.12553.83628.341
Totaal kortlopende verplichtingen 6,251.5286,763.6596,733.3786,426.294,843.6884,303.7034,053.5163,135.7372,230.541,878.2621,658.7722,261.612,148.6851,725.2171,855.5072,471.4772,570.6531,609.169
Langlopende verplichtingen:
Langetermijnschulden 6,808.6317,002.5715,420.6795,300.1715,502.4694,168.473,290.5973,357.7972,524.1491,887.5091,778.6981,442.5731,573.9691,488.8151,562.6741,815.3991,036.6961,441.665
Uitgestelde opbrengsten niet-vlottend 274.43500000000000146.5950057.45200
Uitgestelde belastingverplichtingen niet-vlottend 22.95346.65446.66654.35764.2476.16772.00886.82795.869109.496115.71299.88459.11910.72922.79872.23700
Overige niet-vlottende verplichtingen 127.848137.767158.768163.314120.527156.766186.494193.87229.71178.623174.616135.6010.908155.6789.5641.417115.14585.637
Totaal niet-vlottende verplichtingen 7,233.8677,186.9925,626.1135,517.8425,687.2364,401.4033,549.0993,638.4942,849.7282,175.6282,069.0261,678.0581,780.5911,655.2141,675.0361,946.5051,151.8411,527.302
Totaal passiva 13,485.39513,950.65112,359.49111,944.13210,530.9248,705.1067,602.6156,774.2315,080.2684,053.893,727.7983,939.6683,929.2763,380.4313,530.5434,417.9823,722.4943,136.471
Eigen vermogen:
Preferente aandelen 00000000000420.1420.1420.1157.8000
Gewone aandelen 2,795.1752,795.1752,795.1752,545.1752,549.5652,549.5652,549.5652,349.5652,349.5652,349.5652,242.331,583.0031,583.0031,583.0031,583.0031,240.8941,214.2371,011.862
Ingehouden winsten 1,328.3431,530.5141,316.5931,227.6221,533.9011,905.0951,712.9811,520.4361,280.733832.094342.29228.408-461.912-755.987-1,412.954-228.242303.566323.338
Overige gereserveerde algehele resultaten 795.422713.777701.137694.486569.215446.06392.069267.86174.48646.91857.0230000000
Overige totale aandeelhoudersvermogen 3,804.5333,810.23,810.21,885.2751,915.8951,915.8951,915.89513.49513.49513.804169.028-37.095370.247517.2181,107.585228.458497.102456.063
Totaal eigen vermogen van aandeelhouders 8,723.4738,849.6668,623.1056,352.5586,568.5766,816.6156,570.514,151.3563,818.2793,242.3812,810.6712,194.4161,911.4381,764.3341,435.4341,241.112,014.9051,791.263
Totaal eigen vermogen 8,841.8768,975.668,744.1286,407.0436,624.9286,870.7946,619.7994,200.0513,868.4943,293.6982,863.3532,244.121,961.7021,810.8951,479.3481,285.5072,060.5361,837.825
Totaal passiva en aandeelhoudersvermogen 22,327.27122,926.31121,103.61918,351.17517,155.85215,575.914,222.41410,974.2828,948.7627,347.5886,591.1516,183.7885,890.9785,191.3265,009.8915,703.4895,783.034,974.296