AirTAC International Group

TWSE:1590.TW

859 (TWD) • At close November 14, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 9,191.7056,345.4514,374.3024,360.4335,236.0043,887.9162,016.7741,826.9432,083.831,644.7211,469.694861.8021,263.1451,914.766354.258
Kortetermijnbeleggingen 872.509262.4261,848.071,397.1563,137.861658.5176.0671,860.8241,008.281849.52121.263224.062198.36600
Liquide middelen en kortetermijnbeleggingen 10,064.2146,607.8776,222.3725,757.5898,373.8654,546.4332,022.8413,687.7673,092.1112,494.2411,590.9571,085.8641,461.5111,914.766354.258
Nettovorderingen 9,971.4899,158.9097,559.8937,115.6715,107.8675,253.2575,432.0613,884.7463,257.3433,011.0762,205.5711,616.8971,434.53400
Voorraad 6,528.3347,250.2575,301.6833,634.7083,153.0164,082.7013,961.0662,158.3151,964.2431,847.4811,543.1791,078.92986.353698.87531.52
Overige vlottende activa 249.467237.072230.256140.943107.203127.866470.372125.24593.14377.339181.74578.564135.19281.60572.258
Totaal vlottende activa 26,813.50423,254.11519,314.20416,648.91116,741.95114,010.25711,880.2739,856.0738,406.847,430.1375,521.4523,928.8224,017.593,751.0211,711.428
Niet-vlottende activa:
Materiële vaste activa, netto 30,346.21129,811.78225,476.7723,227.50421,129.55218,507.514,786.84111,768.56912,082.83110,429.7418,106.4915,628.4814,282.672,790.9642,544.151
Goodwill 0000000021.82922.25321.49620.36521.00719.40620.909
Immateriële activa 35.41140.79351.51960.4260.33276.74176.4177.15685.80580.47647.734163.767166.242106.70363.508
Goodwill en immateriële activa 35.41140.79351.51960.4260.33276.74176.4177.156107.634102.72969.23184.132187.249126.10984.417
Langetermijnbeleggingen 508.97924.692000498.865479.312-1,803.966-898.472-628.137158.2362.67754.4926.00932.568
Belastingvorderingen 316.201392.392568.219597.289570.952484.297370.049272.887188.941158.095100.83525.50918.25714.9486.429
Overige niet-vlottende activa 28.4591,075.7732,267.944896.8571,452.4051,466.8311,312.7072,792.1931,568.2431,443.964560.313322.1671.2430.9570.65
Totaal niet-vlottende activa 31,235.26131,345.43228,364.45224,782.0723,213.24121,034.23417,025.31913,106.83913,049.17711,506.3928,995.0996,222.9664,543.9092,958.9872,668.215
Totaal activa 58,048.76554,599.54747,678.65641,430.98139,955.19235,044.49128,905.59222,962.91221,456.01718,936.52914,516.55110,151.7888,561.4996,710.0084,379.643
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 958.4531,085.3191,076.83875.382523.235532.726792.677454.476350.092397.249421.78286.304269.49254.184175.303
Kortlopende schulden 11,434.53111,347.945,319.96911,497.50613,671.37211,896.7958,710.0958,356.1016,929.3165,419.63,079.6943,231.511,771.145608.122891.252
Belastingschulden 364.847411.459606.389542.221287.102294.103362.459156.604113.343146.162163.80877.631102.89772.66851.097
Uitgestelde opbrengsten 66.88578.2562,407.9051,950.6951,720.739294.1031,343.205867.391661.956726.117627.36319.417326.489342.779220.038
Overige kortlopende verplichtingen 1,987.6912,010.582,147.541,728.804233.4251,162.1531,107.483854.249693.026675.813514.178458.111404.489371.929222.515
Totaal kortlopende verplichtingen 14,812.40714,933.5549,219.4414,739.04316,435.87313,938.6410,972.7149,821.438,085.7776,638.8244,179.464,053.5562,548.0211,306.9031,340.167
Langlopende verplichtingen:
Langetermijnschulden 97.839122.4772,954.1533,731.9424,793.8773,502.951,600.1112,035.0492,636.4671,899.664993.049235.891258.394666.939446.171
Uitgestelde opbrengsten niet-vlottend 34.616-610.4262,805.7263,568.1344,630.542-493.902-370.75-354.2360000000
Uitgestelde belastingverplichtingen niet-vlottend 507.524610.426353.392468.868535.338493.902370.75354.236296.552310.887258.744149.07138.986102.65166.838
Overige niet-vlottende verplichtingen 0000000028.36929.34141.71332.173102.415100.4287.864
Totaal niet-vlottende verplichtingen 639.979732.9033,307.5454,200.815,329.2153,996.8521,970.8612,389.2852,961.3882,239.8921,293.506417.134499.795870.01600.873
Totaal passiva 15,452.38615,666.45712,526.98518,939.85321,765.08817,935.49212,943.57512,210.71511,047.1658,878.7165,472.9664,470.693,047.8162,176.9131,941.04
Eigen vermogen:
Preferente aandelen 082.848527.5151,076.8861,446.861752.242396.966287.0250000000
Gewone aandelen 2,0002,0002,0001,890.251,890.251,890.251,890.251,790.251,790.251,7051,7051,5001,5001,500647
Ingehouden winsten 27,145.1722,867.17219,529.93314,799.92410,867.769,096.8027,610.8065,294.9594,137.2473,677.5122,972.0932,021.991,761.8321,046.3737.063
Overige gereserveerde algehele resultaten -697.182-82.848-527.515-1,076.886-1,446.861-752.242-396.966-287.025424.139620.008315.3710000
Overige totale aandeelhoudersvermogen 14,141.50514,846.14514,846.1456,870.1726,870.1726,870.1726,870.1723,906.963,906.963,935.5513,906.962,074.8812,200.751,864.6511,655.372
Totaal eigen vermogen van aandeelhouders 42,589.49338,925.82935,143.92322,482.75918,180.6217,099.2915,952.11910,640.21510,258.5969,905.3158,899.4245,533.6185,366.3454,411.0242,309.435
Totaal eigen vermogen 42,596.37938,933.0935,151.67122,491.12818,190.10417,108.99915,962.01710,752.19710,408.85210,057.8139,043.5855,681.0985,513.6834,533.0952,438.603
Totaal passiva en aandeelhoudersvermogen 58,048.76554,599.54747,678.65641,430.98139,955.19235,044.49128,905.59222,962.91221,456.01718,936.52914,516.55110,151.7888,561.4996,710.0084,379.643