China Electric Mfg. Corporation

TWSE:1611.TW

17.45 (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 481.712653.472569.552358.239668.395425.6291,263.395421.305548.334785.682880.132555.535716.5781,392.4561,397.1531,556.341,252.5922,013.125
Kortetermijnbeleggingen 1,088.861944.166941.3931,286.891950.083993.2761,471.5121,036.309941.289120.538157.41298.59180.693149.727.92614.719285.064358.172
Liquide middelen en kortetermijnbeleggingen 1,570.5731,597.6381,510.9451,645.131,618.4781,418.9052,734.9071,457.6141,489.623906.221,037.544654.126797.2711,542.1561,425.0791,571.0591,537.6562,371.297
Nettovorderingen 260.681269.046323.425323.917431.796775.7421,089.919624.332597.354918.1481,083.0172,768.511,735.4421,595.791,137.3721,002.3631,256.323776.275
Voorraad 476.118494.311567.146539.25587.585652.866668.094971.345728.125916.3281,172.561864.843542.246706.962457.476655.921687.09580.717
Overige vlottende activa 111.29114.815217.85131.45811.1259.17611.4045.85310.3836.22410.35212.648.9549.7223.82466.69564.10464.779
Totaal vlottende activa 2,418.6632,375.812,619.3672,539.7552,648.9842,856.6894,504.3243,059.1442,825.4852,746.923,303.4744,300.1193,083.9133,854.633,023.7513,296.0383,545.1733,793.068
Niet-vlottende activa:
Materiële vaste activa, netto 577.16832.766865.223952.1881,351.6671,290.7631,384.9542,021.0272,328.6432,694.8483,441.1053,827.1182,563.6911,616.421,189.3592,322.8372,574.9942,110.625
Goodwill 000000000000000000
Immateriële activa 00000000000010.51911.68712.85614.02515.14215.933
Goodwill en immateriële activa 0805.672,785.543,505.3192,769.9061,605.2582,060.9091,612.4191,512.9581,458.091,459.14344.40610.51911.68712.85614.02515.14215.933
Langetermijnbeleggingen 2,268.711-805.67-790.354-1,238.267-705.037-468.606-947.974-190.128608.5411,553.5741,727.8111,354.5512,211.3822,114.4021,995.521,329.0071,106.9751,019.548
Belastingvorderingen 158.648159.015157.175164.087160.867168.46142.219123.6894.78582.96373.17349.30126.7821,008.896470.82853.88957.81749.594
Overige niet-vlottende activa 44.6182,010.28457.17959.71763.35174.19967.27259.06243.53527.6491.37469.468950.672163.003164.563414.173485.082523.709
Totaal niet-vlottende activa 3,049.1373,002.0653,074.7633,443.0443,640.7542,670.0742,707.383,626.064,588.4625,817.1156,792.6035,644.8445,763.0464,914.4083,833.1264,133.9314,240.013,719.409
Totaal activa 5,467.85,377.8755,694.135,982.7996,289.7385,526.7637,211.7046,685.2047,413.9478,564.03510,096.0779,944.9638,846.9598,769.0386,856.8777,429.9697,785.1837,512.477
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 214.895246.936311.695249.923339.519382.449304.437501.318344.159398.536428.445705.036683.233809.621635.133430.565455.149429.376
Kortlopende schulden 625.413624.427631.01640.617632.5981608501,4601,431.632,426.241,8402,699.5921,170.3464901.5878.44231.392
Belastingschulden 0.45910.5579.57316.6290.68547.36533.1680.6811.51915.62962.29879.88841.57749.4596.51456.1566.02520.898
Uitgestelde opbrengsten 52.08162.325172.44146.635255.88747.365794.992189.964138.172113.213208.358200.285236.996341.772312.701421.033463.276292.713
Overige kortlopende verplichtingen 63.31773.4470.5181.9872.555208.4912.73516.3614.46525.17933.41959.3815.63221.12731.0940.332.3650.23
Totaal kortlopende verplichtingen 955.7061,007.1351,115.6631,039.1621,230.559798.3051,952.1642,167.6421,928.4262,963.1682,510.2223,664.2932,106.2071,662.52980.515860.37923.79723.711
Langlopende verplichtingen:
Langetermijnschulden 20.0120.96635.62747.66551.9810003.94801,717.15600798.7780000
Uitgestelde opbrengsten niet-vlottend 000549.7420000-3.94804.12111.9954.20600000
Uitgestelde belastingverplichtingen niet-vlottend 130.819131.001127.099129.623130.235197.547192.209258.397265.642269.508261.4060000000
Overige niet-vlottende verplichtingen 32.62411.58311.5988.4018.0817.94348.57424.0168.277.6456.841318.816348.917282.374292.09354.552352.891354.591
Totaal niet-vlottende verplichtingen 183.453163.55174.324735.431190.297205.49240.783282.413273.912277.1531,989.524330.811353.1231,081.152292.09354.552352.891354.591
Totaal passiva 1,139.1591,170.6851,289.9871,774.5931,420.8561,003.7952,192.9472,450.0552,202.3383,240.3214,499.7463,995.1042,459.332,743.6721,272.6051,214.9221,276.6811,078.302
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 3,227.3583,227.3583,227.3583,227.3583,585.9533,984.3923,984.3923,984.3923,984.3923,984.3923,984.3923,984.3923,984.3923,927.6253,817.1753,817.1753,817.1753,817.175
Ingehouden winsten 584.131534.16743.958562.313969.358191.67553.185-871.699-16.359726.951-350.557176.359606.959635.929629.3891,161.0071,403.1631,334.045
Overige gereserveerde algehele resultaten 516.691440.248427.403413.111308.147344.682407.182889.7131,006.60776.13479.8420000000
Overige totale aandeelhoudersvermogen 0.4615.4245.4245.4245.4242.2240.262222.124226.072524.1311,869.3131,769.5991,737.4031,420.9621,088.853393.228418.149429.104
Totaal eigen vermogen van aandeelhouders 4,328.6414,207.194,404.1434,208.2064,868.8824,522.9684,945.0214,224.535,200.7125,311.6085,582.995,930.356,328.7545,984.5165,535.4175,371.415,638.4875,580.324
Totaal eigen vermogen 4,328.6414,207.194,404.1434,208.2064,868.8824,522.9685,018.7574,235.1495,211.6095,323.7145,596.3315,949.8596,387.6296,025.3665,584.2726,215.0476,508.5026,434.175
Totaal passiva en aandeelhoudersvermogen 5,467.85,377.8755,694.135,982.7996,289.7385,526.7637,211.7046,685.2047,413.9478,564.03510,096.0779,944.9638,846.9598,769.0386,856.8777,429.9697,785.1837,512.477