Walsin Lihwa Corporation

TWSE:1605.TW

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 16,347.01219,397.97310,387.58111,944.40811,753.0069,406.15410,952.6917,733.5848,887.5546,417.0867,556.0826,060.11512,939.83610,218.6398,753.32817,226.25321,521.4718,194.37
Kortetermijnbeleggingen 2,298.564555.959546.7972,094.5761,858.0991,699.5122,991.4394,212.3592,368.684,126.876853.387557.8971,923.9744,793.7821,417.3482,379.7473.8982,558.595
Liquide middelen en kortetermijnbeleggingen 17,963.62819,953.93210,934.37814,038.98413,611.10511,105.66613,944.1311,945.94311,256.23410,543.9628,409.4696,618.01214,863.8115,012.42110,170.67619,605.95321,995.36820,752.965
Nettovorderingen 028,771.6621,102.081015,283.04219,428.62315,342.27914,458.57316,377.05317,592.909-7.08316,680.6191,231.293007,883.95400
Voorraad 33,704.29636,080.29131,659.72321,080.53522,019.08826,048.51932,297.13927,124.68822,608.0622,908.52121,061.17622,366.61830,074.00835,466.08828,579.97514,550.7820,349.39816,019.768
Overige vlottende activa 6,406.2398,204.6485,6695,294.3429,922.5212,128.4752,061.4561,827.501959.0471,095.04323,395.59818,436.4420,611.24321,394.4953,840.8161,506.6543,249.6652,056.327
Totaal vlottende activa 78,751.98892,707.38569,320.6456,176.80860,789.79458,726.91363,652.43455,356.70551,200.39452,140.43552,866.24347,666.89464,885.58268,050.23251,282.13743,547.34160,885.95448,987.801
Niet-vlottende activa:
Materiële vaste activa, netto 82,873.97969,965.82143,277.99835,958.62729,208.93225,083.43620,984.8920,483.86317,575.65518,439.03321,635.47934,973.05134,060.57330,919.65828,977.82827,777.40423,949.54620,929.68
Goodwill 4,157.87783.393152.771000000000000000
Immateriële activa 7,997.8194,883.14120.659175168.134164.451169.726177.029199.08201.172199.1781,661.0951,755.2661,576.9572,578.7262,114.1942,734.0032,347.843
Goodwill en immateriële activa 12,155.6964,966.534173.43175168.134164.451169.726177.029199.08201.172199.1781,661.0951,755.2661,576.9572,578.7262,114.1942,734.0032,347.843
Langetermijnbeleggingen 69,965.04460,804.66955,194.90743,267.01832,477.73332,847.55728,431.12919,826.42718,516.96418,530.06720,649.96719,718.59620,589.07220,413.2521,251.70420,219.21130,007.128,067.845
Belastingvorderingen 4,234.8523,448.2772,818.5492,428.5452,048.1761,657.5111,222.431,011.1291,162.6831,505.1371,471.5931,005.01981.57893.35804.453653.408439.393459.824
Overige niet-vlottende activa 18,388.47220,632.16712,249.37413,558.00813,373.63314,174.24215,790.13617,324.06116,028.51517,941.60216,585.8813,778.5033,841.4355,137.1831,851.1363,132.1381,407.6243,087.706
Totaal niet-vlottende activa 187,618.043159,817.468113,714.25895,387.19877,276.60873,927.19766,598.31158,822.50953,482.89756,617.01160,542.09861,136.25561,227.91658,940.39855,463.84753,896.35558,537.66654,892.898
Totaal activa 266,370.031252,524.853183,034.898151,564.006138,066.402132,654.11130,250.745114,179.214104,683.291108,757.446113,408.341108,803.149126,113.498126,990.63106,745.98497,443.696119,423.62103,880.699
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 16,390.66917,497.3158,493.9217,494.4716,967.8178,648.7399,281.9817,739.0496,173.7656,928.786,103.9195,037.44110,494.0239,478.4368,393.2253,394.7257,983.8564,999.97
Kortlopende schulden 13,724.21819,164.53918,246.26413,063.93812,876.35714,993.2497,395.52611,696.2336,066.9697,924.99919,392.39112,776.54339,482.94925,490.44712,717.19610,298.81729,419.34315,864.914
Belastingschulden 5,861.1436,103.4626,082.1524,557.7614,587.5624,389.9523,147.8111,619.5771,397.4961,470.129173.23923.755430.867775.415226.40525.991107.979731.346
Uitgestelde opbrengsten 13.8286.01410,984.3589,711.5559,509.7754,389.95217,134.46811,938.5623,744.9013,804.059,194.1314,739.6466,110.8235,016.3593,531.8673,486.3993,674.5363,539.935
Overige kortlopende verplichtingen 14,769.4718,098.0386,030.1766,341.98716,311.8174,095.1314,469.40411,305.9253,440.6433,647.97410,193.7295,194.1627,169.2135,716.754,679.48926,944.4914,571.8933,572.344
Totaal kortlopende verplichtingen 50,759.32860,869.36838,852.51331,458.15740,743.55332,146.9734,618.16932,360.78417,078.87319,971.88235,863.26924,036.98957,577.05241,461.04826,016.31540,664.02442,083.07125,168.574
Langlopende verplichtingen:
Langetermijnschulden 50,639.92652,371.46132,529.62831,681.27117,154.7219,348.00821,082.05514,476.75720,693.92620,114.84612,103.58219,663.6161,145.84615,779.10821,212.532-527.2659,820.21310,933.762
Uitgestelde opbrengsten niet-vlottend 836.5150560.362384.299536.614645.403868.311817.2181,425.5061,309.5111,222.3461,460.0258.48258.4821,424.0091,417.3591,030.5390
Uitgestelde belastingverplichtingen niet-vlottend 6,587.7325,797.9382,214.65214.457179.314182.494168.512164.075195.057355.803356.24265.58378.3251,526.379.9279.00980.2130
Overige niet-vlottende verplichtingen 3,097.2173,664.874931.477544.992886.087421.489365.131261.157295.964280.9322,887.9711,483.9962,872.6281,159.438795.081,071.083881.6342,562.084
Totaal niet-vlottende verplichtingen 61,161.3961,834.27336,236.11732,825.01918,756.73521,242.79723,352.3216,536.42524,035.95923,370.60315,347.79522,673.2154,155.28118,523.32823,511.5413,177.25511,812.59913,495.846
Totaal passiva 111,920.718122,703.64175,088.6364,283.17659,500.28853,389.76757,970.48948,897.20941,114.83243,342.48551,211.06446,710.20461,732.33359,984.37649,527.85643,841.27953,895.6738,664.42
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 40,313.32937,313.32934,313.32932,260.00233,260.00233,260.00233,660.00233,960.00235,760.00235,760.00235,760.00236,160.00236,160.00236,154.45530,692.00432,063.24432,443.14332,443.143
Ingehouden winsten 48,803.24851,762.05838,965.38927,791.57722,023.14125,494.92313,240.5749,674.2266,006.3059,932.5181,813.125-3,328.458-2,723.0365,873.0117,485.5796,050.14312,067.18315,534.183
Overige gereserveerde algehele resultaten 6,281.45212,945.78817,267.86811,827.8589,147.5965,708.31311,186.0617,740.7747,857.3682,452.684823.5350000000
Overige totale aandeelhoudersvermogen 45,412.28623,893.13314,893.52612,121.72812,621.83612,621.83612,221.83611,921.83611,918.57710,645.33710,938.2317,631.6324,358.54823,316.09618,069.86514,329.23819,385.90618,011.436
Totaal eigen vermogen van aandeelhouders 140,810.315123,580.876105,883.52484,468.23577,384.34177,328.01270,523.46363,365.94261,680.0763,499.31559,971.27257,836.87362,509.2465,343.56255,604.26952,442.62563,896.23263,408.171
Totaal eigen vermogen 154,449.313129,821.212107,946.26887,280.8378,566.11479,264.34372,280.25665,282.00563,568.45965,414.96162,197.27762,092.94564,381.16567,006.25457,218.12853,602.41765,527.9565,216.279
Totaal passiva en aandeelhoudersvermogen 266,370.031252,524.853183,034.898151,564.006138,066.402132,654.11130,250.745114,179.214104,683.291108,757.446113,408.341108,803.149126,113.498126,990.63106,745.98497,443.696119,423.62103,880.699